SCM

Shelton Capital Management Portfolio holdings

AUM $4.35B
1-Year Return 26.91%
This Quarter Return
+7.03%
1 Year Return
+26.91%
3 Year Return
+126.85%
5 Year Return
+214.43%
10 Year Return
+528.92%
AUM
$1.52B
AUM Growth
+$70.9M
Cap. Flow
-$21.1M
Cap. Flow %
-1.39%
Top 10 Hldgs %
26.48%
Holding
879
New
49
Increased
80
Reduced
144
Closed
25

Top Buys

1
BEN icon
Franklin Resources
BEN
+$5.2M
2
CBRE icon
CBRE Group
CBRE
+$4.75M
3
CSX icon
CSX Corp
CSX
+$4.45M
4
CNC icon
Centene
CNC
+$4.44M
5
MAS icon
Masco
MAS
+$4.4M

Top Sells

1
KSS icon
Kohl's
KSS
+$6.01M
2
VTRS icon
Viatris
VTRS
+$5.23M
3
QCOM icon
Qualcomm
QCOM
+$4.97M
4
WY icon
Weyerhaeuser
WY
+$4.6M
5
CVX icon
Chevron
CVX
+$4.08M

Sector Composition

1 Technology 22.06%
2 Financials 17.72%
3 Communication Services 11.65%
4 Healthcare 10.85%
5 Consumer Discretionary 9.58%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
MGLN
801
DELISTED
Magellan Health Services, Inc.
MGLN
$205K 0.01%
+2,121
New +$205K
JJSF icon
802
J&J Snack Foods
JJSF
$2.08B
$204K 0.01%
+1,346
New +$204K
SUI icon
803
Sun Communities
SUI
$16.3B
$204K 0.01%
+2,200
New +$204K
ESL
804
DELISTED
Esterline Technologies
ESL
$204K 0.01%
2,735
DRH icon
805
DiamondRock Hospitality
DRH
$1.71B
$203K 0.01%
18,012
IDOG icon
806
ALPS International Sector Dividend Dogs ETF
IDOG
$386M
$203K 0.01%
+7,071
New +$203K
ALGT icon
807
Allegiant Air
ALGT
$1.11B
$202K 0.01%
+1,305
New +$202K
CXW icon
808
CoreCivic
CXW
$2.19B
$202K 0.01%
8,980
MTB icon
809
M&T Bank
MTB
$31.2B
$202K 0.01%
+1,180
New +$202K
MDP
810
DELISTED
Meredith Corporation
MDP
$202K 0.01%
+3,063
New +$202K
EE
811
DELISTED
El Paso Electric Company
EE
$202K 0.01%
3,644
AYI icon
812
Acuity Brands
AYI
$10.1B
$201K 0.01%
+1,144
New +$201K
HR icon
813
Healthcare Realty
HR
$6.57B
$201K 0.01%
+6,706
New +$201K
VMW
814
DELISTED
VMware, Inc
VMW
$201K 0.01%
1,600
-330
-17% -$41.5K
TPH icon
815
Tri Pointe Homes
TPH
$3.11B
$198K 0.01%
11,036
PEY icon
816
Invesco High Yield Equity Dividend Achievers ETF
PEY
$1.12B
$197K 0.01%
11,035
MDRX
817
DELISTED
Veradigm Inc. Common Stock
MDRX
$193K 0.01%
13,284
CNX icon
818
CNX Resources
CNX
$4.12B
$192K 0.01%
13,127
-2,625
-17% -$38.4K
AUO
819
DELISTED
AU Optronics Corp
AUO
$187K 0.01%
45,000
MDR
820
DELISTED
McDermott International
MDR
$186K 0.01%
9,400
SEM icon
821
Select Medical
SEM
$1.6B
$182K 0.01%
19,180
TIVO
822
DELISTED
Tivo Inc
TIVO
$182K 0.01%
11,665
TERP
823
DELISTED
TerraForm Power, Inc
TERP
$179K 0.01%
+15,000
New +$179K
VIAV icon
824
Viavi Solutions
VIAV
$2.61B
$177K 0.01%
20,257
AKS
825
DELISTED
AK Steel Holding Corp.
AKS
$171K 0.01%
30,272