DCM

Dinsmore Capital Management Portfolio holdings

AUM $230M
This Quarter Return
-1.48%
1 Year Return
-0.33%
3 Year Return
5 Year Return
10 Year Return
AUM
$230M
AUM Growth
+$230M
Cap. Flow
-$2.54M
Cap. Flow %
-1.11%
Top 10 Hldgs %
16.01%
Holding
163
New
4
Increased
2
Reduced
5
Closed
9

Sector Composition

1 Healthcare 3.75%
2 Real Estate 3.02%
3 Communication Services 2.65%
4 Consumer Staples 1.9%
5 Financials 1.55%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
AGN.PRA
1
DELISTED
Allergan plc.
AGN.PRA
$4.35M 1.89%
+4,600
New +$4.35M
AMSGP
2
DELISTED
Amsurg Corp. 5.25% Mandatory Convertible Pft Stk Ser A-1
AMSGP
$3.63M 1.58%
24,500
HBANP
3
DELISTED
Huntington Bancshars Inc. Pfd Ser A
HBANP
$3.35M 1.46%
2,500
NEE.PRQ
4
DELISTED
NextEra Energy, Inc.
NEE.PRQ
$3.09M 1.34%
+60,000
New +$3.09M
WFC.PRL icon
5
WELLS FARGO 7.5% NON CUMV PERP CONV
WFC.PRL
$4.82B
$2.92M 1.27%
2,500
ANTX
6
DELISTED
Anthem, Inc.
ANTX
$2.9M 1.26%
60,000
+20,000
+50% +$967K
WY.PRA
7
DELISTED
WEYERHAEUSER COMP PREF CONV SER A (WA)
WY.PRA
$2.89M 1.26%
60,000
TMUSP
8
DELISTED
T-Mobile US, Inc.5.50% Mandatory Convertible Preferred Stock, Series A
TMUSP
$2.76M 1.2%
40,000
BAC.PRL icon
9
Bank of America Series L
BAC.PRL
$3.84B
$2.69M 1.17%
2,500
WELL.PRI
10
DELISTED
Welltower Inc.
WELL.PRI
$2.45M 1.06%
40,000
FLG.PRU
11
Flagstar Financial, Inc. Bifurcated Option Note Unit SecuritiES
FLG.PRU
$113M
$2.4M 1.04%
48,000
TSNU
12
DELISTED
Tyson Foods, Inc.
TSNU
$2.31M 1%
45,000
SWH
13
DELISTED
Stanley Black & Decker, Inc.
SWH
$2.25M 0.98%
20,000
EQIX icon
14
Equinix
EQIX
$76.9B
$2.05M 0.89%
7,500
CCI.PRA
15
DELISTED
Crown Castle International Corp.
CCI.PRA
$2.04M 0.89%
20,000
SRCLP
16
DELISTED
Stericycle, Inc
SRCLP
$2.03M 0.88%
+20,000
New +$2.03M
DCUC
17
DELISTED
Dominion Energy, Inc.
DCUC
$1.98M 0.86%
40,000
AMT.PRB
18
DELISTED
American Tower Corporation
AMT.PRB
$1.93M 0.84%
20,000
FTRPR
19
DELISTED
Frontier Communications Corporation 11.125% Series A Mandatory Convertible Preferred Stock
FTRPR
$1.87M 0.82%
20,000
CHD icon
20
Church & Dwight Co
CHD
$22.7B
$1.68M 0.73%
20,000
T icon
21
AT&T
T
$209B
$1.63M 0.71%
50,000
VOD icon
22
Vodafone
VOD
$28.8B
$1.62M 0.7%
50,909
SBAC icon
23
SBA Communications
SBAC
$22B
$1.57M 0.68%
15,000
-5,500
-27% -$576K
DIS icon
24
Walt Disney
DIS
$213B
$1.53M 0.67%
15,000
C icon
25
Citigroup
C
$178B
$1.47M 0.64%
29,546