KCM

Karp Capital Management Portfolio holdings

AUM $489M
1-Year Return 12.58%
This Quarter Return
+5.85%
1 Year Return
-12.58%
3 Year Return
+21.26%
5 Year Return
+49.22%
10 Year Return
AUM
$137M
AUM Growth
Cap. Flow
+$137M
Cap. Flow %
100%
Top 10 Hldgs %
28.61%
Holding
366
New
364
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Financials 9.19%
2 Consumer Staples 7.49%
3 Industrials 5.67%
4 Technology 5.31%
5 Communication Services 2.73%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
LO
126
DELISTED
LORILLARD INC COM STK
LO
$124K 0.09%
+1,975
New +$124K
CMCSK
127
DELISTED
COMCAST CORP SPL A (NEW)
CMCSK
$121K 0.09%
+2,100
New +$121K
FDX icon
128
FedEx
FDX
$53.2B
$115K 0.08%
+660
New +$115K
MCD icon
129
McDonald's
MCD
$226B
$114K 0.08%
+1,213
New +$114K
IVW icon
130
iShares S&P 500 Growth ETF
IVW
$63.7B
$112K 0.08%
+4,032
New +$112K
GLW icon
131
Corning
GLW
$59.7B
$104K 0.08%
+4,528
New +$104K
MCA
132
DELISTED
BLACKROCK MUNIYIELD CALIFORNIA QUALITY FUND, INC
MCA
$102K 0.07%
+6,700
New +$102K
ECL icon
133
Ecolab
ECL
$78B
$102K 0.07%
+980
New +$102K
VBR icon
134
Vanguard Small-Cap Value ETF
VBR
$31.6B
$98K 0.07%
+925
New +$98K
XLE icon
135
Energy Select Sector SPDR Fund
XLE
$27.2B
$93K 0.07%
+1,175
New +$93K
HLT
136
DELISTED
HILTON HOTELS CORP
HLT
$83K 0.06%
+3,200
New +$83K
PCAR icon
137
PACCAR
PCAR
$51.6B
$82K 0.06%
+1,800
New +$82K
IP icon
138
International Paper
IP
$25.5B
$80K 0.06%
+1,584
New +$80K
CVX icon
139
Chevron
CVX
$318B
$80K 0.06%
+716
New +$80K
ADP icon
140
Automatic Data Processing
ADP
$122B
$79K 0.06%
+950
New +$79K
MD icon
141
Pediatrix Medical
MD
$1.48B
$79K 0.06%
+1,200
New +$79K
HDV icon
142
iShares Core High Dividend ETF
HDV
$11.6B
$75K 0.05%
+975
New +$75K
IBB icon
143
iShares Biotechnology ETF
IBB
$5.68B
$75K 0.05%
+738
New +$75K
AKP
144
DELISTED
Alliance Californa Muni Fd
AKP
$74K 0.05%
+5,427
New +$74K
IVE icon
145
iShares S&P 500 Value ETF
IVE
$41.2B
$73K 0.05%
+779
New +$73K
MON
146
DELISTED
Monsanto Co
MON
$73K 0.05%
+614
New +$73K
VAC icon
147
Marriott Vacations Worldwide
VAC
$2.73B
$71K 0.05%
+950
New +$71K
LNC icon
148
Lincoln National
LNC
$8.19B
$69K 0.05%
+1,200
New +$69K
TMO icon
149
Thermo Fisher Scientific
TMO
$185B
$66K 0.05%
+525
New +$66K
MO icon
150
Altria Group
MO
$112B
$64K 0.05%
+1,295
New +$64K