BIC

Beach Investment Counsel Portfolio holdings

AUM $679M
1-Year Return 20.29%
This Quarter Return
+4.03%
1 Year Return
+20.29%
3 Year Return
+36.01%
5 Year Return
+173%
10 Year Return
+252.34%
AUM
$936M
AUM Growth
Cap. Flow
+$936M
Cap. Flow %
100%
Top 10 Hldgs %
45.3%
Holding
184
New
184
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Energy 29.78%
2 Financials 25.06%
3 Healthcare 11.89%
4 Industrials 7.13%
5 Consumer Staples 6.33%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
BRK.A icon
126
Berkshire Hathaway Class A
BRK.A
$1.08T
$506K 0.05%
+3
New +$506K
CMA icon
127
Comerica
CMA
$8.85B
$497K 0.05%
+12,480
New +$497K
AB icon
128
AllianceBernstein
AB
$4.29B
$493K 0.05%
+23,702
New +$493K
ROK icon
129
Rockwell Automation
ROK
$38.2B
$492K 0.05%
+5,920
New +$492K
FWONA icon
130
Liberty Media Series A
FWONA
$22.6B
$479K 0.05%
+21,289
New +$479K
EEP
131
DELISTED
Enbridge Energy Partners
EEP
$479K 0.05%
+15,700
New +$479K
AMZN icon
132
Amazon
AMZN
$2.48T
$476K 0.05%
+34,300
New +$476K
MON
133
DELISTED
Monsanto Co
MON
$476K 0.05%
+4,820
New +$476K
ITW icon
134
Illinois Tool Works
ITW
$77.6B
$474K 0.05%
+6,859
New +$474K
INTC icon
135
Intel
INTC
$107B
$473K 0.05%
+19,504
New +$473K
MET icon
136
MetLife
MET
$52.9B
$462K 0.05%
+11,332
New +$462K
SBUX icon
137
Starbucks
SBUX
$97.1B
$458K 0.05%
+13,980
New +$458K
CMRE icon
138
Costamare
CMRE
$1.45B
$454K 0.05%
+26,339
New +$454K
TWC
139
DELISTED
TIME WARNER CABLE INC NEW COM STK
TWC
$446K 0.05%
+3,968
New +$446K
MSFT icon
140
Microsoft
MSFT
$3.68T
$444K 0.05%
+12,840
New +$444K
RTX icon
141
RTX Corp
RTX
$211B
$441K 0.05%
+7,540
New +$441K
STON
142
DELISTED
StoneMor Inc.
STON
$427K 0.05%
+16,966
New +$427K
GMLP
143
DELISTED
Golar LNG Partners LP
GMLP
$424K 0.05%
+12,441
New +$424K
FNB icon
144
FNB Corp
FNB
$5.92B
$422K 0.05%
+34,968
New +$422K
CSCO icon
145
Cisco
CSCO
$264B
$418K 0.04%
+17,157
New +$418K
NS
146
DELISTED
NuStar Energy L.P.
NS
$413K 0.04%
+9,050
New +$413K
KRFT
147
DELISTED
KRAFT FOODS GROUP INC COM STK (VA)
KRFT
$405K 0.04%
+7,248
New +$405K
COV
148
DELISTED
COVIDIEN PLC COM SHS NEW (IRELAND)
COV
$402K 0.04%
+7,219
New +$402K
VWO icon
149
Vanguard FTSE Emerging Markets ETF
VWO
$97.2B
$398K 0.04%
+10,254
New +$398K
ZAGG
150
DELISTED
ZAGG Inc Common Stock (Delaware)
ZAGG
$397K 0.04%
+74,257
New +$397K