SCIA

Sanibel Captiva Investment Advisers Portfolio holdings

AUM $162M
This Quarter Return
+8.41%
1 Year Return
3 Year Return
5 Year Return
10 Year Return
AUM
$162M
AUM Growth
+$162M
Cap. Flow
+$22.9M
Cap. Flow %
14.16%
Top 10 Hldgs %
29.96%
Holding
108
New
11
Increased
71
Reduced
9
Closed
8

Sector Composition

1 Energy 15.78%
2 Technology 14.01%
3 Healthcare 13.37%
4 Financials 11.95%
5 Consumer Staples 9.84%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
KRFT
76
DELISTED
KRAFT FOODS GROUP INC COM STK (VA)
KRFT
$474K 0.29%
8,797
+2,783
+46% +$150K
ADP icon
77
Automatic Data Processing
ADP
$122B
$466K 0.29%
5,762
+2,562
+80% +$207K
BUD icon
78
AB InBev
BUD
$120B
$463K 0.29%
4,350
+1,400
+47% +$149K
SPY icon
79
SPDR S&P 500 ETF Trust
SPY
$652B
$458K 0.28%
2,480
MDLZ icon
80
Mondelez International
MDLZ
$79.7B
$453K 0.28%
12,837
+3,223
+34% +$114K
PG icon
81
Procter & Gamble
PG
$370B
$448K 0.28%
5,500
+350
+7% +$28.5K
JPM icon
82
JPMorgan Chase
JPM
$818B
$446K 0.28%
+7,625
New +$446K
DD
83
DELISTED
Du Pont De Nemours E I
DD
$419K 0.26%
6,448
+263
+4% +$17.1K
AXP icon
84
American Express
AXP
$228B
$414K 0.26%
4,563
POST icon
85
Post Holdings
POST
$6.07B
$414K 0.26%
8,400
+960
+13% +$47.3K
BK icon
86
Bank of New York Mellon
BK
$74B
$394K 0.24%
11,288
-424
-4% -$14.8K
COV
87
DELISTED
COVIDIEN PLC COM SHS NEW (IRELAND)
COV
$375K 0.23%
+5,500
New +$375K
BAX icon
88
Baxter International
BAX
$12.4B
$374K 0.23%
+5,380
New +$374K
CMCSK
89
DELISTED
COMCAST CORP SPL A (NEW)
CMCSK
$367K 0.23%
7,350
FAST icon
90
Fastenal
FAST
$56.9B
$340K 0.21%
7,160
+60
+0.8% +$2.85K
SBUX icon
91
Starbucks
SBUX
$99.4B
$333K 0.21%
4,247
+1,102
+35% +$86.4K
UNH icon
92
UnitedHealth
UNH
$283B
$326K 0.2%
4,335
GWW icon
93
W.W. Grainger
GWW
$48.8B
$324K 0.2%
+1,268
New +$324K
CHRW icon
94
C.H. Robinson
CHRW
$15.2B
$321K 0.2%
5,493
+52
+1% +$3.04K
GIS icon
95
General Mills
GIS
$26.3B
$288K 0.18%
+5,769
New +$288K
EPD icon
96
Enterprise Products Partners
EPD
$69.5B
$276K 0.17%
4,162
ORLY icon
97
O'Reilly Automotive
ORLY
$88.1B
$257K 0.16%
+1,996
New +$257K
WW
98
DELISTED
WW International
WW
$251K 0.16%
7,616
+94
+1% +$3.1K
MDT icon
99
Medtronic
MDT
$120B
$224K 0.14%
3,900
-1,500
-28% -$86.2K
NSC icon
100
Norfolk Southern
NSC
$62.1B
$223K 0.14%
+2,400
New +$223K