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EHC

Everett Harris & Co Portfolio holdings

AUM $8.14B
1-Year Est. Return 14.79%
This Fund
S&P 500
This Quarter Est. Return
+2.4%
1 Year Est. Return
+14.79%
3 Year Est. Return
+55.57%
5 Year Est. Return
+87.77%
10 Year Est. Return
+359.06%
AUM
$4.05B
AUM Growth
+$51.2M
Cap. Flow
-$27.7M
Cap. Flow %
-0.69%
Top 10 Hldgs %
52.19%
Holding
265
New
8
Increased
51
Reduced
111
Closed
14

Sector Composition

Rank Sector Weight
1 Financials 20.06%
2 Healthcare 15.63%
3 Technology 14.04%
4 Consumer Staples 13.5%
5 Consumer Discretionary 11.14%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
CELG
126
DELISTED
Celgene Corp
CELG
$955K 0.02%
9,620
SNA icon
127
Snap-on
SNA
$19.5B
$939K 0.02%
6,000
LMNR icon
128
Limoneira
LMNR
$271M
$901K 0.02%
49,065
-4,530
-8% -$86.3K
EIX icon
129
Edison International
EIX
$22.1B
$893K 0.02%
11,835
-1,500
-11% -$108K
UTMD icon
130
Utah Medical Products
UTMD
$222M
$875K 0.02%
9,135
C.PRS
131
DELISTED
Citigroup Inc. Depositary Shares, each representing a 1/1,000th interest in a share of 6.300% Noncum
C.PRS
$841K 0.02%
32,000
DGX icon
132
Quest Diagnostics
DGX
$26B
$819K 0.02%
7,648
+150
+2% +$15.4K
HON icon
133
Honeywell
HON
$65B
$814K 0.02%
5,103
+318
+7% +$50.6K
GE icon
134
GE Aerospace
GE
$338B
$807K 0.02%
18,110
-1,222
-6% -$57.4K
CCU icon
135
Compañía de Cervecerías Unidas
CCU
$2.21B
$803K 0.02%
36,191
-1,259
-3% -$31.8K
CMCSA icon
136
Comcast
CMCSA
$87.3B
$802K 0.02%
17,791
-400
-2% -$17.7K
CSCO icon
137
Cisco
CSCO
$431B
$770K 0.02%
15,591
+195
+1% +$10.1K
BEN icon
138
Franklin Templeton
BEN
$17.3B
$768K 0.02%
26,616
-450
-2% -$13.8K
T icon
139
AT&T
T
$172B
$767K 0.02%
26,827
-6,654
-20% -$176K
VIG icon
140
Vanguard Dividend Appreciation ETF
VIG
$111B
$746K 0.02%
6,240
ETP.PRC
141
DELISTED
Energy Transfer Operating, L.P. 7.375% Series C Fixed-to-Floating Rate Cumulative Redeemable Perpetu
ETP.PRC
$736K 0.02%
30,000
ADP icon
142
Automatic Data Processing
ADP
$105B
$735K 0.02%
4,556
IBM icon
143
IBM
IBM
$226B
$727K 0.02%
5,228
-2,754
-35% -$371K
MA icon
144
Mastercard
MA
$497B
$725K 0.02%
2,669
+352
+15% +$97K
CB icon
145
Chubb
CB
$130B
$708K 0.02%
4,384
-148
-3% -$22.9K
VTI icon
146
Vanguard Morningstar Total Stock Market ETF
VTI
$686B
$703K 0.02%
4,653
+1
+0% +$151
ISRG icon
147
Intuitive Surgical
ISRG
$125B
$702K 0.02%
3,900
+450
+13% +$77.8K
AEP icon
148
American Electric Power
AEP
$67.9B
$684K 0.02%
7,302
TSM icon
149
TSMC
TSM
$2.26T
$647K 0.02%
13,926
-125
-0.9% -$5.33K
COP icon
150
ConocoPhillips
COP
$164B
$637K 0.02%
11,177

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Everett Harris & Co's Q3 2019 Portfolio in Review

As of Q3 2019, Everett Harris & Co held 265 positions worth $4.05B, up 1.3% from $4B the previous quarter. Its ten largest holdings account for 52% of the portfolio.

Everett Harris & Co's Q3 2019 filing shows 8 new, 51 increased, 111 reduced and 14 closed positions. Its largest new stake was Public Storage 4.875% Series I Preferred Share: 245,000 shares worth $6.43M. The largest sale was United Parcel Service, an estimated $23M.

By sector, the portfolio is most concentrated in Financials at 20% of assets, down from 21% a quarter earlier, followed by Healthcare and Technology.

  • Everett Harris & Co's largest Q3 2019 buy was Public Storage 4.875% Series I Preferred Share: 245,000 shares worth $6.43M.
  • Everett Harris & Co added most to Walt Disney in Q3 2019, an estimated $3.71M increase.
  • Everett Harris & Co's biggest Q3 2019 reduction was United Parcel Service, cutting an estimated $23M.
  • Everett Harris & Co fully exited OAKTREE CAPITAL GROUP, LLC in Q3 2019, selling an estimated $1.95M.
  • Everett Harris & Co's ten largest holdings make up 52% of its $4.05B portfolio in Q3 2019.
  • Everett Harris & Co opened 8 new positions and closed 14 in Q3 2019.
  • Everett Harris & Co's portfolio value rose 1.3% quarter-over-quarter to $4.05B.

Based on Everett Harris & Co's 13F filing for Q3 2019, filed 6 Nov 2019.