MCC

Mid Continent Capital Portfolio holdings

AUM $1.54B
1-Year Return 0.73%
This Quarter Return
-6.6%
1 Year Return
+0.73%
3 Year Return
5 Year Return
10 Year Return
AUM
$1.54B
AUM Growth
-$267M
Cap. Flow
-$116M
Cap. Flow %
-7.51%
Top 10 Hldgs %
29.16%
Holding
319
New
14
Increased
77
Reduced
135
Closed
45

Sector Composition

1 Healthcare 17.79%
2 Financials 15.76%
3 Communication Services 10.89%
4 Technology 7.27%
5 Consumer Discretionary 6.87%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
SYK icon
51
Stryker
SYK
$150B
$8.83M 0.57%
93,810
+54,200
+137% +$5.1M
JNJ icon
52
Johnson & Johnson
JNJ
$429B
$7.87M 0.51%
84,322
-709
-0.8% -$66.2K
AEK.CL
53
DELISTED
Aegon N.v.
AEK.CL
$7.58M 0.49%
275,450
-1,750
-0.6% -$48.1K
FNFG.PRB
54
DELISTED
FIRST NIAGARA FINANCIAL GROUP INC. PFD NON CUM SER B FXD/FLT
FNFG.PRB
$7.47M 0.48%
281,650
+3,750
+1% +$99.4K
CLNY.PRA
55
DELISTED
Colony Capital, Inc.
CLNY.PRA
$7.35M 0.48%
287,725
+43,875
+18% +$1.12M
MS.PRI icon
56
MORGAN STANLEY Depositary Shares, each representing 1/1,000th of a share of Fixed-to-Floating Rate Non-Cumulative Preferred Stock, Series I
MS.PRI
$1.01M
$7.28M 0.47%
286,245
+201,920
+239% +$5.14M
CSD icon
57
Invesco S&P Spin-Off ETF
CSD
$75.8M
$6.97M 0.45%
182,677
+2,272
+1% +$86.6K
PAGP icon
58
Plains GP Holdings
PAGP
$3.64B
$6.54M 0.42%
140,293
-2,441
-2% -$114K
LHO.PRH.CL
59
DELISTED
LaSalle Hotel Properties
LHO.PRH.CL
$6.4M 0.41%
253,200
RBS.PRS.CL
60
DELISTED
The Royal Bank Of Scotland Group
RBS.PRS.CL
$6.13M 0.4%
245,090
+2,000
+0.8% +$50K
MFO
61
DELISTED
MFA FINANCIAL, INC. 8.00% SR NTS DUE 2042
MFO
$6.1M 0.4%
239,150
+850
+0.4% +$21.7K
WTFCM
62
DELISTED
Wintrust Financial Corporation Fixed-to-Floating Rate Non-Cumulative Perpetual Preferred Stock, Series D
WTFCM
$6.07M 0.39%
238,100
+35,600
+18% +$908K
ZB.PRF.CL
63
DELISTED
Zions Bancorporation
ZB.PRF.CL
$6.06M 0.39%
224,125
-2,000
-0.9% -$54.1K
HEDJ icon
64
WisdomTree Europe Hedged Equity Fund
HEDJ
$1.79B
$5.72M 0.37%
209,500
-246,250
-54% -$6.73M
LBRDK icon
65
Liberty Broadband Class C
LBRDK
$8.69B
$5.61M 0.36%
109,633
-10,046
-8% -$514K
DHR icon
66
Danaher
DHR
$142B
$5.54M 0.36%
96,775
+707
+0.7% +$40.5K
WT icon
67
WisdomTree
WT
$2B
$5.37M 0.35%
333,070
-4,630
-1% -$74.7K
MS.PRE icon
68
MORGAN STANLEY DEP SHARES EACH REPRESENTING 1/1,000TH OF SHARE OF FIXED TO FLOATING RATE SER E
MS.PRE
$886M
$5.33M 0.35%
194,075
-5,900
-3% -$162K
MDLZ icon
69
Mondelez International
MDLZ
$80.1B
$5.24M 0.34%
125,110
-1,662
-1% -$69.6K
FFC
70
Flaherty & Crumrine Preferred and Income Securities Fund
FFC
$793M
$5.18M 0.34%
276,364
-4,826
-2% -$90.5K
GE icon
71
GE Aerospace
GE
$293B
$5.11M 0.33%
42,287
-35,301
-45% -$4.27M
PYPL icon
72
PayPal
PYPL
$65.3B
$5.09M 0.33%
+163,822
New +$5.09M
GS.PRJ
73
DELISTED
GOLDMAN SACHS GROUP, INC. 5.50% SER J
GS.PRJ
$5.05M 0.33%
206,275
+32,770
+19% +$802K
CHCT
74
Community Healthcare Trust
CHCT
$447M
$4.74M 0.31%
297,975
+7,125
+2% +$113K
PNC icon
75
PNC Financial Services
PNC
$80.2B
$4.72M 0.31%
52,864
-400
-0.8% -$35.7K