Janney Montgomery Scott

Janney Montgomery Scott Portfolio holdings

AUM $38.3B
1-Year Return 17.21%
This Quarter Return
+0.77%
1 Year Return
+17.21%
3 Year Return
+61.5%
5 Year Return
+102%
10 Year Return
+211.19%
AUM
$957M
AUM Growth
Cap. Flow
+$957M
Cap. Flow %
100%
Top 10 Hldgs %
12.96%
Holding
784
New
783
Increased
Reduced
Closed

Top Buys

1
XOM icon
Exxon Mobil
XOM
$15.4M
2
AAPL icon
Apple
AAPL
$12.7M
3
GE icon
GE Aerospace
GE
$12.5M
4
IBM icon
IBM
IBM
$11.4M
5
T icon
AT&T
T
$10.8M

Top Sells

No sells this quarter

Sector Composition

1 Energy 9.49%
2 Healthcare 8.42%
3 Financials 7.2%
4 Industrials 7.09%
5 Technology 6.96%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
RY icon
251
Royal Bank of Canada
RY
$204B
$589K 0.06%
+10,100
New +$589K
BB icon
252
BlackBerry
BB
$2.31B
$584K 0.06%
+55,847
New +$584K
CB
253
DELISTED
CHUBB CORPORATION
CB
$580K 0.06%
+6,849
New +$580K
LAND
254
Gladstone Land Corp
LAND
$325M
$575K 0.06%
+33,982
New +$575K
ALL icon
255
Allstate
ALL
$53.1B
$574K 0.06%
+11,938
New +$574K
GTU
256
DELISTED
CENTRAL GOLD TR (CANADA)
GTU
$573K 0.06%
+12,973
New +$573K
ENB icon
257
Enbridge
ENB
$105B
$571K 0.06%
+13,570
New +$571K
ETN icon
258
Eaton
ETN
$136B
$566K 0.06%
+8,594
New +$566K
FWM
259
DELISTED
FAIRWAY GROUP HLDGS CORP CL A COM STK (DE)
FWM
$563K 0.06%
+23,300
New +$563K
STT icon
260
State Street
STT
$32B
$561K 0.06%
+8,599
New +$561K
TCC.CL
261
DELISTED
TRIANGLE CAP CORP 7% SR NT DUE 2019 (MD)
TCC.CL
$556K 0.06%
+21,200
New +$556K
SPH icon
262
Suburban Propane Partners
SPH
$1.2B
$555K 0.06%
+11,959
New +$555K
NVS icon
263
Novartis
NVS
$251B
$555K 0.06%
+8,752
New +$555K
XRX icon
264
Xerox
XRX
$493M
$553K 0.06%
+23,152
New +$553K
PEG icon
265
Public Service Enterprise Group
PEG
$40.5B
$549K 0.06%
+16,797
New +$549K
WLL
266
DELISTED
Whiting Petroleum Corporation
WLL
$546K 0.06%
+40
New +$546K
PFXNL
267
DELISTED
PhenixFIN Corporation 6.125% Senior Notes due 2023
PFXNL
$539K 0.06%
+22,000
New +$539K
GOV
268
DELISTED
Government Properties Income Trust
GOV
$538K 0.06%
+21,326
New +$538K
WIN
269
DELISTED
Windstream Holdings Inc
WIN
$538K 0.06%
+8,903
New +$538K
MCHP icon
270
Microchip Technology
MCHP
$35.6B
$537K 0.06%
+28,824
New +$537K
AGO.PRE
271
DELISTED
Assured Guaranty Municipal Holdings Inc. 6.25% Notes due 2102
AGO.PRE
$537K 0.06%
+21,750
New +$537K
ES icon
272
Eversource Energy
ES
$23.6B
$536K 0.06%
+12,744
New +$536K
YUM icon
273
Yum! Brands
YUM
$40.1B
$529K 0.06%
+10,613
New +$529K
MWE
274
DELISTED
MARKWEST ENERGY PARTNERS, LP
MWE
$527K 0.06%
+7,883
New +$527K
LLTC
275
DELISTED
Linear Technology Corp
LLTC
$519K 0.05%
+14,100
New +$519K