SCM

Shelton Capital Management Portfolio holdings

AUM $4.35B
1-Year Return 26.91%
This Quarter Return
+4.52%
1 Year Return
+26.91%
3 Year Return
+126.85%
5 Year Return
+214.43%
10 Year Return
+528.92%
AUM
$1.59B
AUM Growth
+$79.6M
Cap. Flow
+$23.4M
Cap. Flow %
1.47%
Top 10 Hldgs %
27.87%
Holding
902
New
64
Increased
167
Reduced
125
Closed
48

Top Buys

1
INTC icon
Intel
INTC
+$7.44M
2
AAPL icon
Apple
AAPL
+$5.7M
3
MSFT icon
Microsoft
MSFT
+$5.17M
4
LLY icon
Eli Lilly
LLY
+$5.16M
5
AMAT icon
Applied Materials
AMAT
+$4.56M

Sector Composition

1 Technology 25.07%
2 Financials 15.46%
3 Communication Services 11.99%
4 Consumer Discretionary 11.19%
5 Healthcare 11.15%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
MSM icon
601
MSC Industrial Direct
MSM
$5.11B
$282K 0.02%
3,322
SBRA icon
602
Sabra Healthcare REIT
SBRA
$4.6B
$282K 0.02%
+12,956
New +$282K
ZD icon
603
Ziff Davis
ZD
$1.5B
$282K 0.02%
3,744
ALE icon
604
Allete
ALE
$3.65B
$281K 0.02%
3,628
AON icon
605
Aon
AON
$78.4B
$280K 0.02%
2,040
KMPR icon
606
Kemper
KMPR
$3.3B
$280K 0.02%
3,706
LYB icon
607
LyondellBasell Industries
LYB
$16.9B
$280K 0.02%
2,547
-439
-15% -$48.3K
NEU icon
608
NewMarket
NEU
$7.81B
$280K 0.02%
691
TXRH icon
609
Texas Roadhouse
TXRH
$11B
$280K 0.02%
4,276
DAL icon
610
Delta Air Lines
DAL
$38.1B
$279K 0.02%
5,626
+600
+12% +$29.8K
HE icon
611
Hawaiian Electric Industries
HE
$2.1B
$279K 0.02%
8,128
HWC icon
612
Hancock Whitney
HWC
$5.35B
$279K 0.02%
5,983
CNK icon
613
Cinemark Holdings
CNK
$3.28B
$278K 0.02%
7,911
COLB icon
614
Columbia Banking Systems
COLB
$7.73B
$278K 0.02%
6,796
E icon
615
ENI
E
$52.5B
$278K 0.02%
7,482
VVV icon
616
Valvoline
VVV
$5.11B
$277K 0.02%
12,831
PENN icon
617
PENN Entertainment
PENN
$2.75B
$275K 0.02%
+8,176
New +$275K
BLKB icon
618
Blackbaud
BLKB
$3.38B
$274K 0.02%
2,675
GMED icon
619
Globus Medical
GMED
$7.87B
$274K 0.02%
5,432
WRI
620
DELISTED
Weingarten Realty Investors
WRI
$274K 0.02%
8,880
KS
621
DELISTED
KapStone Paper and Pack Corp.
KS
$274K 0.02%
7,937
KMI icon
622
Kinder Morgan
KMI
$60.8B
$273K 0.02%
+15,452
New +$273K
JBTM
623
JBT Marel Corporation
JBTM
$7.16B
$273K 0.02%
3,067
+197
+7% +$17.5K
AMN icon
624
AMN Healthcare
AMN
$699M
$272K 0.02%
4,647
+334
+8% +$19.6K
FR icon
625
First Industrial Realty Trust
FR
$6.87B
$272K 0.02%
8,145