FWC

First Washington Corp Portfolio holdings

AUM $310M
This Quarter Return
+1.44%
1 Year Return
+25.37%
3 Year Return
+80.41%
5 Year Return
+111.85%
10 Year Return
+366.11%
AUM
$173M
AUM Growth
-$10.8M
Cap. Flow
-$12.4M
Cap. Flow %
-7.18%
Top 10 Hldgs %
39.25%
Holding
140
New
8
Increased
19
Reduced
32
Closed
15

Sector Composition

1 Technology 22.08%
2 Industrials 18.2%
3 Communication Services 8.54%
4 Healthcare 5.98%
5 Consumer Discretionary 4.93%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
MCHB
76
Mechanics Bancorp Class A Common Stock
MCHB
$256M
$117K 0.07%
6,000
MDLZ icon
77
Mondelez International
MDLZ
$79.3B
$114K 0.07%
3,300
MDT icon
78
Medtronic
MDT
$118B
$114K 0.07%
1,849
V icon
79
Visa
V
$681B
$108K 0.06%
2,000
AFL icon
80
Aflac
AFL
$57.1B
$107K 0.06%
3,400
ETP
81
DELISTED
Energy Transfer Partners L.p.
ETP
$81K 0.05%
1,500
KMP
82
DELISTED
KINDER MORGAN ENER PNTRS L.P.
KMP
$74K 0.04%
1,000
COP icon
83
ConocoPhillips
COP
$118B
$70K 0.04%
1,000
SCTY
84
DELISTED
SolarCity Corporation
SCTY
$63K 0.04%
1,000
+500
+100% +$31.5K
JPM icon
85
JPMorgan Chase
JPM
$824B
$61K 0.04%
1,000
EWC icon
86
iShares MSCI Canada ETF
EWC
$3.22B
$55K 0.03%
1,875
RITM icon
87
Rithm Capital
RITM
$6.55B
$49K 0.03%
3,750
MRK icon
88
Merck
MRK
$210B
$48K 0.03%
877
PSX icon
89
Phillips 66
PSX
$52.8B
$39K 0.02%
500
T icon
90
AT&T
T
$208B
$39K 0.02%
1,456
MA icon
91
Mastercard
MA
$536B
$37K 0.02%
500
LNKD
92
DELISTED
LinkedIn Corporation
LNKD
$37K 0.02%
200
MTB icon
93
M&T Bank
MTB
$31B
$36K 0.02%
300
ESRX
94
DELISTED
Express Scripts Holding Company
ESRX
$36K 0.02%
486
GME icon
95
GameStop
GME
$10.2B
$35K 0.02%
3,392
TEVA icon
96
Teva Pharmaceuticals
TEVA
$21.5B
$35K 0.02%
670
DS
97
DELISTED
Drive Shack Inc.
DS
$35K 0.02%
6,969
-1,324
-16% -$6.65K
ABBV icon
98
AbbVie
ABBV
$374B
$31K 0.02%
600
FIS icon
99
Fidelity National Information Services
FIS
$35.6B
$30K 0.02%
565
SCO icon
100
ProShares UltraShort Bloomberg Crude Oil
SCO
$119M
$29K 0.02%
100