
CHICAGO PARTNERS INVESTMENT GROUP LLC
Latest 13F filing data - Q3 2025
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | ASST | 44K | $63.74K |
![]() | APO | 44K | $5.49M |
![]() | NRXP | 42K | $125.98K |
![]() | KO | 41K | $2.87M |
![]() | IOVA | 41K | $88.87K |
![]() | MODD | 40K | $21.78K |
![]() | CSCO | 39K | $2.84M |
![]() | AQN | 39K | $223.78K |
![]() | ADM | 38K | $2.36M |
![]() | AROC | 38K | $981.76K |
![]() | EQT | 38K | $1.99M |
![]() | V | 38K | $13.10M |
![]() | TXG | 37K | $496.93K |
![]() | VZ | 37K | $1.45M |
![]() | HE | 36K | $426.49K |
![]() | WFC | 35K | $3.07M |
![]() | PG | 35K | $5.27M |
![]() | WEN | 34K | $299.54K |
![]() | LUMN | 34K | $343.23K |
![]() | MNKD | 34K | $180.47K |

Strive, Inc.
ASST
Shares Held
44K
Value
$63.74K

Apollo Global Management, Inc.
APO
Shares Held
44K
Value
$5.49M

NRx Pharmaceuticals, Inc.
NRXP
Shares Held
42K
Value
$125.98K

The Coca-Cola Company
KO
Shares Held
41K
Value
$2.87M

Iovance Biotherapeutics, Inc.
IOVA
Shares Held
41K
Value
$88.87K

Modular Medical, Inc.
MODD
Shares Held
40K
Value
$21.78K

Cisco Systems, Inc.
CSCO
Shares Held
39K
Value
$2.84M

Algonquin Power & Utilities Corp.
AQN
Shares Held
39K
Value
$223.78K

Archer-Daniels-Midland Company
ADM
Shares Held
38K
Value
$2.36M

Archrock, Inc.
AROC
Shares Held
38K
Value
$981.76K

EQT Corporation
EQT
Shares Held
38K
Value
$1.99M

Visa Inc.
V
Shares Held
38K
Value
$13.10M

10x Genomics, Inc.
TXG
Shares Held
37K
Value
$496.93K

Verizon Communications Inc.
VZ
Shares Held
37K
Value
$1.45M

Hawaiian Electric Industries, Inc.
HE
Shares Held
36K
Value
$426.49K

Wells Fargo & Company
WFC
Shares Held
35K
Value
$3.07M

The Procter & Gamble Company
PG
Shares Held
35K
Value
$5.27M

The Wendy's Company
WEN
Shares Held
34K
Value
$299.54K

Lumen Technologies, Inc.
LUMN
Shares Held
34K
Value
$343.23K

MannKind Corporation
MNKD
Shares Held
34K
Value
$180.47K
