Robinson Capital Management, LLC (CIK: 0001599795) 总部位于 63 Kercheval, Suite 111, Grosse Pointe Farms, Michigan 48236. 该机构定期向美国证券交易委员会(SEC)提交 13F 表格,披露其证券投资组合。
截至最近报告期 (2026-03-31), 该机构管理的投资组合总价值为 $2.39亿, 共持有 109 项资产. 申报历史中已提交了 46 份 13F 文件.
查看该机构的完整 SEC 申报记录:
🔗 查看所有 SEC 文件
Q1 2026 — 前十大持仓集中度:59.1%. 季度换手率:44.9%. ▲ 9 新建, +23 加仓, −13 减仓, ×29 清仓.
| 名称 | 股数 | 市值 | 权重 | 变动 | 活动 |
|---|---|---|---|---|---|
|
Blackrock Muniholdings Fund
N/A
|
206.65万 | $2,421.91万 | 10.14% | ▲ 1,786,591 | 增持 638.3% |
|
Blackrock Muniyield Quality
N/A
|
163.23万 | $1,841.26万 | 7.71% | ▲ 1,064,012 | 增持 187.2% |
| 161.98万 | $1,749.36万 | 7.32% | ▲ 1,095,393 | 增持 208.9% | |
|
Blackrock Munihold Ca Qlty
N/A
|
112.25万 | $1,211.13万 | 5.07% | ▲ 868,424 | 增持 341.9% |
|
Eaton Vance Municipal Bond
N/A
|
103.52万 | $1,020.74万 | 4.27% | ▲ 358,441 | 增持 53.0% |
|
Blackrock Muniyield Ny Qlty
N/A
|
95.36万 | $951.74万 | 3.98% | ▲ 835,630 | 增持 708.0% |
|
Rivernorth Flex Muni Ii
N/A
|
64.37万 | $838.13万 | 3.51% | ▲ 200,312 | 增持 45.2% |
|
Invesco Municipal Opport
N/A
|
75.88万 | $730.7万 | 3.06% | ▼ 415,285 | 减持 -35.4% |
|
Western Asset Managed Munici
N/A
|
66.84万 | $681.8万 | 2.85% | ▲ 76,331 | 增持 12.9% |
|
Nyli Mackay Dt Muni Oppo Fnd
N/A
|
43.25万 | $646.16万 | 2.70% | ▲ 52,947 | 增持 14.0% |