Institution

Redwood Investment Management, LLC

CIK 0001717479 - 2024Q4 report dated 2024-12-31

Shown positions

100

Shown market value

$779,860

Net value change

+$779,860

100 changed positions shown

Largest reported increase

IWM

ISHARES TR

+$137,793

Largest reported decrease

No negative value changes shown.

Latest 13F holdings

Top reported positions by market value. 13F filings are delayed and may not reflect current holdings.

TickerIssuerValueSharesChangeValue changeReport
IWMISHARES TR

464287655

$137,793623,612NEW new+$137,7932024-12-31SEC filing
LSAFTWO RDS SHARED TR

90214Q774

$67,2731,660,243NEW new+$67,2732024-12-31SEC filing
SQEWTWO RDS SHARED TR

90214Q683

$43,3171,287,278NEW new+$43,3172024-12-31SEC filing
LSATTWO RDS SHARED TR

90214Q691

$43,0971,071,969NEW new+$43,0972024-12-31SEC filing
VOOVANGUARD

922908363

$34,45463,945NEW new+$34,4542024-12-31SEC filing
UnmappedTWO RDS SHARED TR

90214Q717

$33,4251,026,896NEW new+$33,4252024-12-31SEC filing
SPYGSPDR PORTFOLIO S&P 500 GROWT

78464A409

$28,000318,543NEW new+$28,0002024-12-31SEC filing
SPYVSPDR PORT S&P 500 VALUE

78464A508

$26,142511,184NEW new+$26,1422024-12-31SEC filing
DYLDTWO RDS SHARED TR

90214Q675

$18,534825,183NEW new+$18,5342024-12-31SEC filing
SLYVSPDR S&P 600 SMALL CAP VALUE

78464A300

$13,801158,179NEW new+$13,8012024-12-31SEC filing
OEFISHARES TR

464287101

$12,27342,488NEW new+$12,2732024-12-31SEC filing
TLOSPDR PORT LNG TRM TRSRY

78464A664

$11,746448,510NEW new+$11,7462024-12-31SEC filing
SCHCSCHWAB STRATEGIC TR

808524888

$7,822227,833NEW new+$7,8222024-12-31SEC filing
SPLGSPDR SERIES TRUST

78464A854

$7,261105,330NEW new+$7,2612024-12-31SEC filing
AAPLAPPLE INC

037833100

$7,23228,881NEW new+$7,2322024-12-31SEC filing
HPQHP INC

40434L105

$7,018215,080NEW new+$7,0182024-12-31SEC filing
AGGISHARES TR

464287226

$6,66168,745NEW new+$6,6612024-12-31SEC filing
HRHEALTHCARE REALTY TRUST INC

42226K105

$6,076358,445NEW new+$6,0762024-12-31SEC filing
MTCHMATCH GROUP INC

57667L107

$6,022184,097NEW new+$6,0222024-12-31SEC filing
MSFTMICROSOFT CORP

594918104

$5,85613,892NEW new+$5,8562024-12-31SEC filing
TNLTRAVEL LEISURE CO

894164102

$5,434107,713NEW new+$5,4342024-12-31SEC filing
SPBSPECTRUM BRANDS HOLDINGS INC

84790A105

$5,41964,141NEW new+$5,4192024-12-31SEC filing
HRBH&R BLOCK INC

093671105

$5,414102,452NEW new+$5,4142024-12-31SEC filing
MTGMGIC INVESTMENT CORP

552848103

$5,410228,185NEW new+$5,4102024-12-31SEC filing
BYDBOYD GAMING CORP

103304101

$5,13770,815NEW new+$5,1372024-12-31SEC filing
Redwood Investment Management, LLC 13F holdings | YouAnalyst