NES

New England Securities Portfolio holdings

AUM $285M
1-Year Return 7.17%
This Quarter Return
+2.01%
1 Year Return
+7.17%
3 Year Return
5 Year Return
10 Year Return
AUM
$285M
AUM Growth
-$994K
Cap. Flow
-$5.61M
Cap. Flow %
-1.97%
Top 10 Hldgs %
18.28%
Holding
1,829
New
118
Increased
432
Reduced
477
Closed
140
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
CLMT icon
251
Calumet Specialty Products
CLMT
$1.55B
$222K 0.08%
9,911
+900
+10% +$20.2K
PID icon
252
Invesco International Dividend Achievers ETF
PID
$863M
$222K 0.08%
12,683
-4,298
-25% -$75.2K
NPSP
253
DELISTED
NPS PHARMACEUTICALS INC
NPSP
$222K 0.08%
6,195
+200
+3% +$7.17K
NGG icon
254
National Grid
NGG
$69.6B
$219K 0.08%
3,164
+1,126
+55% +$77.9K
EMC
255
DELISTED
EMC CORPORATION
EMC
$219K 0.08%
7,348
+2
+0% +$60
IMCB icon
256
iShares Morningstar Mid-Cap ETF
IMCB
$1.18B
$218K 0.08%
5,928
-2,680
-31% -$98.6K
MLPN
257
DELISTED
Credit Suisse X- Links Cushing MLP Infrastructure ETN's due April 20, 2020
MLPN
$218K 0.08%
6,832
-596
-8% -$19K
FRS
258
DELISTED
FRISCH'S RESTAURANTS INC
FRS
$217K 0.08%
+8,254
New +$217K
HYS icon
259
PIMCO 0-5 Year High Yield Corporate Bond Index Exchange-Traded Fund
HYS
$1.44B
$215K 0.08%
2,128
-9,444
-82% -$954K
SWKS icon
260
Skyworks Solutions
SWKS
$11.2B
$214K 0.08%
2,948
+1,428
+94% +$104K
IYK icon
261
iShares US Consumer Staples ETF
IYK
$1.34B
$213K 0.07%
6,102
+345
+6% +$12K
AFCB
262
DELISTED
ATHENS BANCSHARES CORP COM STK (TN)
AFCB
$212K 0.07%
+8,349
New +$212K
USB icon
263
US Bancorp
USB
$75.9B
$211K 0.07%
4,698
+90
+2% +$4.04K
DLBS
264
DELISTED
iPath US Treasury Long Bond Bear ETN
DLBS
$211K 0.07%
9,795
+860
+10% +$18.5K
KRE icon
265
SPDR S&P Regional Banking ETF
KRE
$3.99B
$209K 0.07%
5,132
+2,877
+128% +$117K
CELG
266
DELISTED
Celgene Corp
CELG
$207K 0.07%
1,850
-627
-25% -$70.2K
MLPI
267
DELISTED
UBS E-TRACS Alerian MLP Infrastructure ETN
MLPI
$206K 0.07%
5,068
+302
+6% +$12.3K
HCA icon
268
HCA Healthcare
HCA
$98.5B
$204K 0.07%
2,783
+102
+4% +$7.48K
UNH icon
269
UnitedHealth
UNH
$286B
$204K 0.07%
2,022
+150
+8% +$15.1K
TSLA icon
270
Tesla
TSLA
$1.13T
$203K 0.07%
13,695
+7,365
+116% +$109K
TMO icon
271
Thermo Fisher Scientific
TMO
$186B
$201K 0.07%
1,605
-344
-18% -$43.1K
ITOT icon
272
iShares Core S&P Total US Stock Market ETF
ITOT
$75.5B
$200K 0.07%
4,270
+1,308
+44% +$61.3K
ORCL icon
273
Oracle
ORCL
$654B
$199K 0.07%
4,418
-5
-0.1% -$225
VIS icon
274
Vanguard Industrials ETF
VIS
$6.11B
$199K 0.07%
1,864
+200
+12% +$21.4K
COST icon
275
Costco
COST
$427B
$198K 0.07%
1,399
-384
-22% -$54.3K