MCM

Millie Capital Management Portfolio holdings

AUM $119M
This Quarter Return
+3.94%
1 Year Return
+15.92%
3 Year Return
+24.61%
5 Year Return
10 Year Return
AUM
$119M
AUM Growth
+$119M
Cap. Flow
-$6.97M
Cap. Flow %
-5.86%
Top 10 Hldgs %
38.46%
Holding
75
New
8
Increased
7
Reduced
36
Closed
2

Sector Composition

1 Technology 14.62%
2 Financials 8.28%
3 Communication Services 7.78%
4 Healthcare 7.67%
5 Real Estate 7.22%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
VEU icon
1
Vanguard FTSE All-World ex-US ETF
VEU
$48.6B
$7.36M 6.18% 134,477 +250 +0.2% +$13.7K
MSFT icon
2
Microsoft
MSFT
$3.77T
$5.42M 4.55% 63,299 -759 -1% -$64.9K
XLY icon
3
Consumer Discretionary Select Sector SPDR Fund
XLY
$23.2B
$5.07M 4.26% 51,392 -564 -1% -$55.7K
KRE icon
4
SPDR S&P Regional Banking ETF
KRE
$3.99B
$4.65M 3.91% 79,067 -1,116 -1% -$65.7K
IFGL icon
5
iShares International Developed Real Estate ETF
IFGL
$97.1M
$4.22M 3.54% 140,551 -1,046 -0.7% -$31.4K
SCZ icon
6
iShares MSCI EAFE Small-Cap ETF
SCZ
$10.7B
$4.05M 3.4% 62,835 +2,475 +4% +$160K
GLD icon
7
SPDR Gold Trust
GLD
$107B
$4M 3.36% 32,328 -519 -2% -$64.2K
VNQ icon
8
Vanguard Real Estate ETF
VNQ
$34.6B
$3.86M 3.24% 46,551 -132 -0.3% -$11K
TMO icon
9
Thermo Fisher Scientific
TMO
$186B
$3.61M 3.03% 19,027 -212 -1% -$40.3K
BK icon
10
Bank of New York Mellon
BK
$74.5B
$3.55M 2.98% 65,917 -579 -0.9% -$31.2K
CELG
11
DELISTED
Celgene Corp
CELG
$3.2M 2.69% 30,682 -200 -0.6% -$20.9K
ARE icon
12
Alexandria Real Estate Equities
ARE
$14.1B
$3.1M 2.61% 23,769 -204 -0.9% -$26.6K
MU icon
13
Micron Technology
MU
$133B
$3.1M 2.6% 75,305 -1,949 -3% -$80.2K
ST icon
14
Sensata Technologies
ST
$4.74B
$2.98M 2.5% 58,205 -3,890 -6% -$199K
AMT icon
15
American Tower
AMT
$95.5B
$2.79M 2.35% 19,582 -277 -1% -$39.5K
BRK.B icon
16
Berkshire Hathaway Class B
BRK.B
$1.09T
$2.79M 2.35% 14,097 -183 -1% -$36.3K
SLB icon
17
Schlumberger
SLB
$55B
$2.78M 2.34% 41,279 -495 -1% -$33.4K
GOOGL icon
18
Alphabet (Google) Class A
GOOGL
$2.57T
$2.74M 2.3% 2,601 -29 -1% -$30.6K
BFH icon
19
Bread Financial
BFH
$3.09B
$2.67M 2.25% 10,545 -71 -0.7% -$18K
AAPL icon
20
Apple
AAPL
$3.45T
$2.59M 2.18% 15,313 -306 -2% -$51.8K
PARA
21
DELISTED
Paramount Global Class B
PARA
$2.53M 2.12% 42,828 -6,277 -13% -$370K
CMCSA icon
22
Comcast
CMCSA
$125B
$2.31M 1.94% 57,735 -1,801 -3% -$72.1K
PXD
23
DELISTED
Pioneer Natural Resource Co.
PXD
$2.3M 1.93% 13,293 -2,105 -14% -$364K
PLD icon
24
Prologis
PLD
$106B
$2.22M 1.87% 34,456 -912 -3% -$58.8K
XLK icon
25
Technology Select Sector SPDR Fund
XLK
$83.9B
$2.1M 1.76% 32,804 -850 -3% -$54.4K