American Assets Investment Management, LLC

Institutional InvestorSimilar funds →SEC EDGAR: CIK 1389256
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13F Reported Value

$1.7B

Holdings

146

Latest Filing

2026-06-30

Filing Quarter

Q2 2026

Portfolio Overview

American Assets Investment Management, LLC disclosed 146 positions worth $1.7B in its Form 13F-HR for Q2 2026, led by $BAC (BANK OF AMERICA CORP /DE/) at 4.9% of the equity portfolio, followed by $WFC and $AAPL. During the quarter the fund opened 2 new positions and exited 2 — including a new stake in $FDXF and a full exit from $CCZ. The portfolio is most concentrated in Financials (34.7% of disclosed assets). All figures are sourced directly from American Assets Investment Management, LLC’s Form 13F-HR filing with the SEC under CIK 1389256.

Sector Allocation

FinancialsTechnologyEnergyHealthcareIndustrialsUtilities

AUM History

Top Equity Holdings by Value

Quarterly Activity — Q2 2026

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Top Holdings

AI Quality Scored

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32-signal composite ranking on each of American Assets Investment Management, LLC's 146 positions.

Showing top 10 of 146 holdings.

Sector Allocation

Financials

$573.0M

Technology

$338.8M

Energy

$191.3M

Healthcare

$148.3M

Industrials

$132.5M

Utilities

$82.0M

Real Estate

$72.4M

Consumer Staples

$53.4M

Full Holdings — American Assets Investment Management, LLC (Q2 2026)

All 146 disclosed positions from the latest Form 13F-HR, with quarter-over-quarter share changes and 13F Pro quality scores. Sourced from SEC EDGAR.

TickerCompanyValue
BAC$BACBANK OF AMERICA CORP /DE/$80.5M
WFC$WFCWELLS FARGO & COMPANY/MN$77.7M
AAPL$AAPLApple Inc.$60.8M
JPM$JPMJPMORGAN CHASE & CO$59.6M
XOM.R34088$XOM.R34088EXXON MOBIL CORP$56.1M
GS$GSGOLDMAN SACHS GROUP INC$55.5M
SHEL$SHELShell plc$50.5M
CAT$CATCATERPILLAR INC$47.9M
SNDK$SNDKSandisk Corp$45.5M
WDC$WDCWESTERN DIGITAL CORP$38.3M
AAT$AATAmerican Assets Trust, Inc.$36.5M
MSFT$MSFTMICROSOFT CORP$33.4M
RGTI$RGTIRigetti Computing, Inc.$31.7M
CVX$CVXCHEVRON CORP$29.8M
TSM$TSMTAIWAN SEMICONDUCTOR MANUFACTURING CO LTD$28.7M
C$CCITIGROUP INC$22.5M
TFC$TFCTRUIST FINANCIAL CORP$22.1M
PSX$PSXPhillips 66$22.1M
RY$RYROYAL BANK OF CANADA$21.4M
GOOG$GOOGAlphabet Inc.$21.1M
MS$MSMORGAN STANLEY$20.2M
TD$TDTORONTO DOMINION BANK$20.0M
COF$COFCAPITAL ONE FINANCIAL CORP$20.0M
GE$GEGENERAL ELECTRIC CO$19.6M
WMT$WMTWalmart Inc.$18.3M
AMD$AMDADVANCED MICRO DEVICES INC$17.4M
ESS$ESSESSEX PROPERTY TRUST, INC.$17.3M
BMO$BMOBANK OF MONTREAL /CAN/$17.0M
BNY$BNYBank of New York Mellon Corp$16.6M
USB$USBUS BANCORP \DE\$16.3M
MRK$MRKMerck & Co., Inc.$16.1M
HSBC$HSBCHSBC HOLDINGS PLC$15.9M
IBM$IBMINTERNATIONAL BUSINESS MACHINES CORP$15.5M
GEV$GEVGE Vernova Inc.$15.4M
ABBV$ABBVAbbVie Inc.$15.2M
PNC$PNCPNC FINANCIAL SERVICES GROUP, INC.$14.8M
NVS$NVSNOVARTIS AG$14.7M
JNJ$JNJJOHNSON & JOHNSON$14.5M
STT$STTSTATE STREET CORP$14.4M
LLY$LLYELI LILLY & Co$14.4M
AMGN$AMGNAMGEN INC$12.7M
DE$DEDEERE & CO$12.7M
KO$KOCOCA COLA CO$12.2M
TTE$TTETotalEnergies SE$11.7M
KR$KRKROGER CO$11.4M
FDX$FDXFEDEX CORP$11.0M
NTRS$NTRSNORTHERN TRUST CORP$10.4M
UL$ULUNILEVER PLC$9.1M
PNW$PNWPINNACLE WEST CAPITAL CORP$8.9M
MET$METMETLIFE INC$8.7M
BNS$BNSBANK OF NOVA SCOTIA$8.7M
PFH$PFHPRUDENTIAL FINANCIAL INC$8.7M
SRE$SRESEMPRA$8.5M
CB$CBChubb Ltd$8.5M
CEG$CEGConstellation Energy Corp$8.3M
AEP$AEPAMERICAN ELECTRIC POWER CO INC$8.2M
SCHW$SCHWSCHWAB CHARLES CORP$8.0M
URI$URIUNITED RENTALS, INC.$7.9M
LEN$LENLENNAR CORP /NEW/$7.8M
NRG$NRGNRG ENERGY, INC.$7.8M
HLT$HLTHilton Worldwide Holdings Inc.$7.7M
NOC$NOCNORTHROP GRUMMAN CORP /DE/$7.6M
EIX$EIXEDISON INTERNATIONAL$7.4M
BMY$BMYBRISTOL MYERS SQUIBB CO$7.3M
MCHP$MCHPMICROCHIP TECHNOLOGY INC$7.3M
COP$COPCONOCOPHILLIPS$7.3M
VMRK$VMRKVIVMARK RESIDENTIAL$6.8M
DGX$DGXQUEST DIAGNOSTICS INC$6.8M
WEC$WECWEC ENERGY GROUP, INC.$5.8M
RTX$RTXRTX Corp$5.7M
XEL$XELXCEL ENERGY INC$5.6M
MDT$MDTMedtronic plc$5.6M
CAH$CAHCARDINAL HEALTH INC$5.5M
PPG$PPGPPG INDUSTRIES INC$5.5M
UTHR$UTHRUNITED THERAPEUTICS Corp$5.4M
PEP$PEPPEPSICO INC$5.4M
ALLY$ALLYAlly Financial Inc.$5.3M
AMP$AMPAMERIPRISE FINANCIAL INC$5.2M
TM$TMTOYOTA MOTOR CORP/$5.1M
LH$LHLABCORP HOLDINGS INC.$5.0M
JEF$JEFJefferies Financial Group Inc.$5.0M
ISHARES TR - RUSSELL 2000 ETF$4.8M
EXC$EXCEXELON CORP$4.7M
Q$QQnity Electronics, Inc.$4.4M
NEE$NEENEXTERA ENERGY INC$4.4M
ET$ETEnergy Transfer LP$4.3M
DUK$DUKDuke Energy CORP$4.1M
UNP$UNPUNION PACIFIC CORP$4.1M
MSGS$MSGSMadison Square Garden Sports Corp.$4.0M
KMI$KMIKINDER MORGAN, INC.$4.0M
AA$AAAlcoa Corp$3.9M
JCI$JCIJohnson Controls International plc$3.8M
KVUE$KVUEKenvue Inc.$3.8M
AIG$AIGAMERICAN INTERNATIONAL GROUP, INC.$3.7M
PM$PMPhilip Morris International Inc.$3.6M
MDLZ$MDLZMondelez International, Inc.$3.5M
HCA$HCAHCA Healthcare, Inc.$3.5M
CM$CMCANADIAN IMPERIAL BANK OF COMMERCE /CAN/$3.5M
SNY$SNYSanofi$3.4M
FE$FEFIRSTENERGY CORP$3.3M
RBC$RBCRBC Bearings INC$3.2M
SELECT SECTOR SPDR TR - ST STR UTIL ETF$3.1M
ORCL$ORCLORACLE CORP$2.9M
GILD$GILDGILEAD SCIENCES, INC.$2.9M
SYK$SYKSTRYKER CORP$2.8M
CI$CICigna Group$2.8M
ABT$ABTABBOTT LABORATORIES$2.8M
FDXF$FDXFFedEx Freight Holding Company, Inc.$2.6M
PPL$PPLPPL Corp$2.5M
PG$PGPROCTER & GAMBLE Co$2.5M
SO$SOSOUTHERN CO$2.4M
ADM$ADMArcher-Daniels-Midland Co$2.4M
PFE$PFEPFIZER INC$2.3M
WHD$WHDCactus, Inc.$2.3M
BABA$BABAAlibaba Group Holding Ltd$2.3M
PBI$PBIPITNEY BOWES INC /DE/$2.3M
WELL$WELLWELLTOWER INC.$2.3M
GSK$GSKGSK plc$2.1M
SLG$SLGSL GREEN REALTY CORP$2.1M
NLY$NLYANNALY CAPITAL MANAGEMENT INC$2.0M
AGNC$AGNCAGNC Investment Corp.$2.0M
WYNN$WYNNWYNN RESORTS LTD$1.9M
REGN$REGNREGENERON PHARMACEUTICALS, INC.$1.9M
EPD$EPDENTERPRISE PRODUCTS PARTNERS L.P.$1.8M
DD$DDDuPont de Nemours, Inc.$1.8M
JAZZ$JAZZJazz Pharmaceuticals plc$1.7M
WY$WYWEYERHAEUSER CO$1.7M
UPS$UPSUNITED PARCEL SERVICE INC$1.6M
DVN$DVNDEVON ENERGY CORP/DE$1.4M
A$AAGILENT TECHNOLOGIES, INC.$1.3M
MRP$MRPMillrose Properties, Inc.$1.3M
RIVN$RIVNRivian Automotive, Inc. / DE$1.3M
BHF$BHFBrighthouse Financial, Inc.$1.3M
ALC$ALCALCON INC$1.3M
BAX$BAXBAXTER INTERNATIONAL INC$1.2M
CTVA$CTVACorteva, Inc.$1.2M
BRK.B$BRK.BBERKSHIRE HATHAWAY INC$1.1M
GEHC$GEHCGE HealthCare Technologies Inc.$1.1M
HLN$HLNHaleon plc$933,000
BDX$BDXBECTON DICKINSON & CO$832,315
SNOW$SNOWSnowflake Inc.$763,500
MICC$MICCMagnum Ice Cream Co N.V.$591,940
LMND$LMNDLemonade, Inc.$422,825
SPG$SPGSIMON PROPERTY GROUP INC.$412,132
GIS$GISGENERAL MILLS INC$348,000
WAT$WATWATERS CORP /DE/$279,029

New Positions (2)

FDXF$FDXF FedEx Freight Holding Company, Inc.$2.6M
DVN$DVN DEVON ENERGY CORP/DE$1.4M

Exited Positions (2)

CCZ$CCZ COMCAST CORP
CTRA$CTRA Coterra Energy Inc.

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