DG

Davidson & Garrard Portfolio holdings

AUM $425M
This Quarter Return
+4.54%
1 Year Return
+14.62%
3 Year Return
+25.2%
5 Year Return
10 Year Return
AUM
$425M
AUM Growth
+$425M
Cap. Flow
-$11.5M
Cap. Flow %
-2.7%
Top 10 Hldgs %
23.83%
Holding
184
New
4
Increased
48
Reduced
94
Closed
4

Sector Composition

1 Healthcare 15.07%
2 Technology 13.32%
3 Financials 10.96%
4 Communication Services 8.12%
5 Industrials 6.72%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
QCOM icon
51
Qualcomm
QCOM
$173B
$3.09M 0.73% 59,686 -1,164 -2% -$60.3K
DUK icon
52
Duke Energy
DUK
$95.3B
$2.9M 0.68% 34,502 -2,023 -6% -$170K
BMY icon
53
Bristol-Myers Squibb
BMY
$96B
$2.85M 0.67% 44,763 -3,720 -8% -$237K
AMT icon
54
American Tower
AMT
$95.5B
$2.85M 0.67% 20,847 -325 -2% -$44.4K
CAT icon
55
Caterpillar
CAT
$196B
$2.58M 0.61% 20,722 -2,000 -9% -$249K
NKE icon
56
Nike
NKE
$114B
$2.56M 0.6% 49,308 -2,090 -4% -$108K
V icon
57
Visa
V
$683B
$2.43M 0.57% 23,045 +1,780 +8% +$187K
BABA icon
58
Alibaba
BABA
$322B
$2.38M 0.56% 13,789 +615 +5% +$106K
IBM icon
59
IBM
IBM
$227B
$2.33M 0.55% 16,081 -1,085 -6% -$157K
C icon
60
Citigroup
C
$178B
$2.19M 0.52% 30,110 +767 +3% +$55.8K
NUE icon
61
Nucor
NUE
$34.1B
$2.16M 0.51% 38,466 -350 -0.9% -$19.6K
HBI icon
62
Hanesbrands
HBI
$2.23B
$2.12M 0.5% 86,029 +1,060 +1% +$26.1K
EFA icon
63
iShares MSCI EAFE ETF
EFA
$66B
$2.12M 0.5% 30,934 -1,724 -5% -$118K
BBT.PRE.CL
64
DELISTED
BB&T Corporation Depositary Shares each representing 1/1,000th interest in a share of Series E Non-C
BBT.PRE.CL
$2.08M 0.49% 82,305 -6,215 -7% -$157K
MDLZ icon
65
Mondelez International
MDLZ
$79.5B
$2.07M 0.49% 50,803 -2,964 -6% -$121K
VO icon
66
Vanguard Mid-Cap ETF
VO
$87.5B
$2M 0.47% 13,596 -133 -1% -$19.6K
WMT icon
67
Walmart
WMT
$774B
$1.89M 0.45% 24,189 -1,400 -5% -$109K
STI.PRE.CL
68
DELISTED
SunTrust Banks, Inc.
STI.PRE.CL
$1.87M 0.44% 73,430 -10,910 -13% -$278K
AMJ
69
DELISTED
JP Morgan Alerian MLP Index ETN 5/24/24
AMJ
$1.84M 0.43% 65,321 -1,110 -2% -$31.3K
CELG
70
DELISTED
Celgene Corp
CELG
$1.8M 0.42% 12,333 +730 +6% +$106K
NSC icon
71
Norfolk Southern
NSC
$62.8B
$1.64M 0.39% 12,367
COST icon
72
Costco
COST
$418B
$1.61M 0.38% 9,785 +996 +11% +$164K
ESRX
73
DELISTED
Express Scripts Holding Company
ESRX
$1.52M 0.36% 24,026 -3,884 -14% -$246K
BOTJ icon
74
Bank Of The James
BOTJ
$70.6M
$1.52M 0.36% 104,678 +2,368 +2% +$34.3K
ARCC icon
75
Ares Capital
ARCC
$15.8B
$1.52M 0.36% 92,484 -7,500 -8% -$123K