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
VNRCP
201
DELISTED
Vanguard Natural Resources LLC 7.75% Series C Cumulative Redeemable Perpetual Preferred Units
VNRCP
$485K 0.03%
30,000
+5,000
+20% +$80.8K
USB.PRN.CL
202
DELISTED
U.S. Bancorp
USB.PRN.CL
$483K 0.03%
18,350
-1,000
-5% -$26.3K
CL icon
203
Colgate-Palmolive
CL
$68.1B
$477K 0.03%
7,510
IYY icon
204
iShares Dow Jones US ETF
IYY
$2.61B
$476K 0.03%
9,856
CSCO icon
205
Cisco
CSCO
$266B
$475K 0.03%
18,100
-3,650
-17% -$95.8K
PXF icon
206
Invesco FTSE RAFI Developed Markets ex-US ETF
PXF
$2.13B
$467K 0.03%
13,055
+825
+7% +$29.5K
UNH icon
207
UnitedHealth
UNH
$315B
$464K 0.03%
4,000
RPG icon
208
Invesco S&P 500 Pure Growth ETF
RPG
$1.73B
$463K 0.03%
29,925
+125
+0.4% +$1.93K
BMY icon
209
Bristol-Myers Squibb
BMY
$96.1B
$452K 0.03%
7,642
HSEA.CL
210
DELISTED
HSBC Holdings plc
HSEA.CL
$446K 0.03%
17,100
-5,000
-23% -$130K
BA icon
211
Boeing
BA
$174B
$442K 0.03%
3,375
-7,200
-68% -$943K
DFE icon
212
WisdomTree Europe SmallCap Dividend Fund
DFE
$180M
$440K 0.03%
8,175
+775
+10% +$41.7K
VTI icon
213
Vanguard Total Stock Market ETF
VTI
$530B
$432K 0.03%
4,375
-80
-2% -$7.9K
COLB icon
214
Columbia Banking Systems
COLB
$7.77B
$431K 0.03%
13,800
WEC icon
215
WEC Energy
WEC
$34.6B
$423K 0.03%
8,106
FSV icon
216
FirstService
FSV
$9.4B
$420K 0.03%
13,000
SU icon
217
Suncor Energy
SU
$49.7B
$397K 0.03%
14,850
-94,605
-86% -$2.53M
BRK.A icon
218
Berkshire Hathaway Class A
BRK.A
$1.06T
$390K 0.03%
2
LLY icon
219
Eli Lilly
LLY
$673B
$387K 0.03%
4,625
+1,000
+28% +$83.7K
TWC
220
DELISTED
TIME WARNER CABLE INC NEW COM STK
TWC
$386K 0.03%
2,150
BK icon
221
Bank of New York Mellon
BK
$73.9B
$377K 0.02%
9,622
AB icon
222
AllianceBernstein
AB
$4.26B
$372K 0.02%
14,000
ECL icon
223
Ecolab
ECL
$78.1B
$368K 0.02%
3,350
GRUB
224
DELISTED
Just Eat Takeaway.com N.V. American Depositary Shares
GRUB
$365K 0.02%
7,500
DVY icon
225
iShares Select Dividend ETF
DVY
$20.7B
$364K 0.02%
5,005
-500
-9% -$36.4K