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BWP

Baldwin Wealth Partners Portfolio holdings

AUM $1.53B
1-Year Est. Return 28.5%
This Fund
S&P 500
This Quarter Est. Return
+3.11%
1 Year Est. Return
+28.5%
3 Year Est. Return
+85.86%
5 Year Est. Return
+102.78%
10 Year Est. Return
+445.81%
AUM
$486M
AUM Growth
-$71.1M
Cap. Flow
-$82.2M
Cap. Flow %
-16.92%
Top 10 Hldgs %
33.76%
Holding
521
New
21
Increased
112
Reduced
145
Closed
56

Sector Composition

Rank Sector Weight
1 Financials 14.55%
2 Healthcare 14.38%
3 Technology 12.3%
4 Energy 11.84%
5 Consumer Discretionary 10.4%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
AMZN icon
1
Amazon
AMZN
$2.51T
$25M 5.15%
698,960
-81,580
-10% -$2.76M
AAPL icon
2
Apple
AAPL
$4.72T
$20.6M 4.24%
862,900
-80,704
-9% -$2.01M
GE icon
3
GE Aerospace
GE
$362B
$17.6M 3.62%
116,493
+2,988
+3% +$436K
PYPL icon
4
PayPal
PYPL
$49.4B
$16M 3.3%
439,470
+141
+0% +$5.39K
BRK.B icon
5
Berkshire Hathaway Class B
BRK.B
$1.06T
$15.8M 3.25%
109,057
-1,668
-2% -$238K
TMO icon
6
Thermo Fisher Scientific
TMO
$213B
$15.6M 3.22%
105,830
+1,220
+1% +$180K
FRC
7
DELISTED
First Republic Bank
FRC
$14.1M 2.91%
201,830
-1,250
-0.6% -$86.6K
LDP icon
8
Cohen & Steers Duration Preferred & Income Fund
LDP
$602M
$13.5M 2.78%
555,224
+69,314
+14% +$1.64M
EPD icon
9
Enterprise Products Partners
EPD
$83.9B
$13.4M 2.75%
456,847
+14,481
+3% +$389K
MMP
10
DELISTED
Magellan Midstream Partners, L.P.
MMP
$12.4M 2.56%
163,523
+5,084
+3% +$361K
BUD icon
11
AB InBev
BUD
$155B
$12.1M 2.5%
92,232
+193
+0.2% +$24.3K
PEP icon
12
PepsiCo
PEP
$184B
$11.8M 2.43%
111,664
+2,591
+2% +$267K
MRK icon
13
Merck
MRK
$322B
$11.6M 2.38%
210,202
+11,031
+6% +$587K
CHKP icon
14
Check Point Software Technologies
CHKP
$13.1B
$10.5M 2.17%
132,083
-7,439
-5% -$623K
AMGN icon
15
Amgen
AMGN
$201B
$9.73M 2%
63,926
-9,764
-13% -$1.52M
URI icon
16
United Rentals
URI
$71.4B
$9.67M 1.99%
144,062
+1,609
+1% +$105K
XOM icon
17
ExxonMobil
XOM
$650B
$9.65M 1.99%
102,929
-313
-0.3% -$27.7K
NKE icon
18
Nike
NKE
$60.8B
$9.51M 1.96%
172,286
-6,973
-4% -$397K
NVS icon
19
Novartis
NVS
$297B
$9.26M 1.9%
125,211
+7,325
+6% +$506K
FSLR icon
20
First Solar
FSLR
$22.1B
$9.14M 1.88%
188,564
+57,837
+44% +$3.08M
MAR icon
21
Marriott International
MAR
$96.1B
$8.85M 1.82%
133,196
-1,165
-0.9% -$78.1K
TGNA
22
DELISTED
TEGNA Inc
TGNA
$8.41M 1.73%
567,198
-4,446
-0.8% -$65K
SLB icon
23
SLB Ltd
SLB
$70.6B
$7.95M 1.64%
100,507
+32,316
+47% +$2.48M
TFCFA
24
DELISTED
Twenty-First Century Fox, Inc. Class A
TFCFA
$7.66M 1.58%
283,056
+28,523
+11% +$831K
AIG icon
25
American International
AIG
$41.4B
$7.57M 1.56%
143,175
-3,385
-2% -$187K

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Baldwin Wealth Partners's Q2 2016 Portfolio in Review

As of Q2 2016, Baldwin Wealth Partners held 521 positions worth $486M, down 13% from $557M the previous quarter. Its ten largest holdings account for 34% of the portfolio.

Baldwin Wealth Partners withdrew a net $82.2M in Q2 2016, closing 56 positions and reducing 145 holdings. Its most notable exit was MCGRAW-HILL FINANCIAL INC COM, an estimated $7.82M position sold in full.

By sector, the portfolio is most concentrated in Financials at 15% of assets, down from 17% a quarter earlier, followed by Healthcare and Technology.

Against the trend, Baldwin Wealth Partners opened a new position in Trane Technologies worth $635K.

  • Baldwin Wealth Partners's largest Q2 2016 buy was Trane Technologies: 9,975 shares worth $635K.
  • Baldwin Wealth Partners added most to LyondellBasell Industries in Q2 2016, an estimated $3.21M increase.
  • Baldwin Wealth Partners's biggest Q2 2016 reduction was Adobe, cutting an estimated $2.99M.
  • Baldwin Wealth Partners fully exited MCGRAW-HILL FINANCIAL INC COM in Q2 2016, selling an estimated $7.82M.
  • Baldwin Wealth Partners's ten largest holdings make up 34% of its $486M portfolio in Q2 2016.
  • Baldwin Wealth Partners opened 21 new positions and closed 56 in Q2 2016.
  • Baldwin Wealth Partners's portfolio value fell 13% quarter-over-quarter to $486M.

Based on Baldwin Wealth Partners's 13F filing for Q2 2016, filed 11 Aug 2016.