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CPWM LLC Portfolio holdings

AUM $1.06B
1-Year Est. Return 14.49%
This Fund
S&P 500
This Quarter Est. Return
+4.32%
1 Year Est. Return
-14.49%
3 Year Est. Return
+36.58%
5 Year Est. Return
+74.91%
10 Year Est. Return
AUM
$244M
AUM Growth
Cap. Flow
+$243M
Cap. Flow %
99.56%
Top 10 Hldgs %
63.34%
Holding
117
New
117
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

Rank Sector Weight
1 Consumer Discretionary 31.4%
2 Financials 6.24%
3 Healthcare 4.21%
4 Technology 3.53%
5 Consumer Staples 2.56%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
ACTA
76
DELISTED
Actua Corp
ACTA
$342K 0.14%
+30,000
New +$343K
DNKN
77
DELISTED
Dunkin' Brands Group, Inc.
DNKN
$327K 0.13%
+7,647
New +$308K
CSCO icon
78
Cisco
CSCO
$450B
$316K 0.13%
+12,995
New +$292K
IWN icon
79
iShares Russell 2000 Value ETF
IWN
$14.4B
$316K 0.13%
+3,680
New +$312K
ORCL icon
80
Oracle
ORCL
$331B
$316K 0.13%
+10,292
New +$341K
VUG icon
81
Vanguard Growth ETF
VUG
$216B
$282K 0.12%
+21,678
New +$286K
F icon
82
Ford
F
$57.3B
$279K 0.11%
+18,064
New +$259K
VTI icon
83
Vanguard Total Stock Market ETF
VTI
$654B
$278K 0.11%
+3,360
New +$279K
MRK icon
84
Merck
MRK
$324B
$274K 0.11%
+6,181
New +$276K
RJI
85
DELISTED
AB Svensk Ekportkredit ELEMENTS Linked to the Rogers International Commodity Index-Total Return
RJI
$273K 0.11%
+34,265
New +$282K
PM icon
86
Philip Morris
PM
$301B
$269K 0.11%
+3,105
New +$289K
MDT icon
87
Medtronic
MDT
$107B
$266K 0.11%
+5,171
New +$256K
HD icon
88
Home Depot
HD
$332B
$259K 0.11%
+3,342
New +$251K
PCAR icon
89
PACCAR
PCAR
$69.6B
$259K 0.11%
+7,227
New +$249K
IWV icon
90
iShares Russell 3000 ETF
IWV
$19.5B
$256K 0.11%
+2,656
New +$254K
QQQ icon
91
Invesco QQQ Trust
QQQ
$455B
$255K 0.1%
+3,584
New +$256K
NUV icon
92
Nuveen Municipal Value Fund
NUV
$1.91B
$252K 0.1%
+26,383
New +$266K
TRV icon
93
Travelers Companies
TRV
$80.8B
$245K 0.1%
+3,066
New +$258K
HYG icon
94
iShares iBoxx $ High Yield Corporate Bond ETF
HYG
$16.3B
$244K 0.1%
+2,690
New +$253K
USCI icon
95
US Commodity Index
USCI
$372M
$227K 0.09%
+4,246
New +$234K
BAC icon
96
Bank of America
BAC
$435B
$215K 0.09%
+16,746
New +$214K
SDY icon
97
State Street SPDR S&P Dividend ETF
SDY
$21.9B
$214K 0.09%
+3,235
New +$218K
GSK icon
98
GSK
GSK
$103B
$212K 0.09%
+3,401
New +$216K
XLU icon
99
State Street Utilities Select Sector SPDR ETF
XLU
$24.1B
$211K 0.09%
+11,210
New +$220K
COP icon
100
ConocoPhillips
COP
$147B
$208K 0.09%
+3,440
New +$209K

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CPWM LLC's Q2 2013 Portfolio in Review

Q2 2013 is the first quarter with a 13F filing on record for CPWM LLC, which disclosed 117 positions worth $244M. Its ten largest holdings account for 63% of the portfolio.

Its largest position is Starbucks: 2,049,434 shares worth $67.1M.

By sector, the portfolio is most concentrated in Consumer Discretionary at 31% of assets, followed by Financials and Healthcare.

  • CPWM LLC's largest Q2 2013 buy was Starbucks: 2,049,434 shares worth $67.1M.
  • CPWM LLC's ten largest holdings make up 63% of its $244M portfolio in Q2 2013.
  • CPWM LLC disclosed 117 positions in Q2 2013, its first 13F filing on record.

Based on CPWM LLC's 13F filing for Q2 2013, filed 9 Jun 2017.