SBCM

Silver Bridge Capital Management Portfolio holdings

AUM $550M
This Quarter Return
-0.64%
1 Year Return
3 Year Return
5 Year Return
10 Year Return
AUM
$550M
AUM Growth
Cap. Flow
+$550M
Cap. Flow %
100%
Top 10 Hldgs %
51.61%
Holding
243
New
243
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Technology 44.57%
2 Healthcare 7.23%
3 Financials 6.1%
4 Consumer Staples 5.58%
5 Energy 5.46%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
KO icon
151
Coca-Cola
KO
$297B
$445K 0.08%
+11,105
New +$445K
TMO icon
152
Thermo Fisher Scientific
TMO
$184B
$443K 0.08%
+5,227
New +$443K
PAA icon
153
Plains All American Pipeline
PAA
$12.4B
$440K 0.08%
+7,880
New +$440K
VDE icon
154
Vanguard Energy ETF
VDE
$7.44B
$439K 0.08%
+3,900
New +$439K
WES
155
DELISTED
Western Gas Partners Lp
WES
$437K 0.08%
+6,730
New +$437K
MO icon
156
Altria Group
MO
$113B
$434K 0.08%
+12,392
New +$434K
BUD icon
157
AB InBev
BUD
$120B
$408K 0.07%
+4,514
New +$408K
APA icon
158
APA Corp
APA
$8.53B
$407K 0.07%
+4,860
New +$407K
CLB icon
159
Core Laboratories
CLB
$551M
$404K 0.07%
+2,665
New +$404K
CFR icon
160
Cullen/Frost Bankers
CFR
$8.33B
$401K 0.07%
+6,014
New +$401K
APD icon
161
Air Products & Chemicals
APD
$65B
$396K 0.07%
+4,326
New +$396K
TDG icon
162
TransDigm Group
TDG
$73.5B
$394K 0.07%
+2,516
New +$394K
EPB
163
DELISTED
EL PASO PIPELINE PARTNERS, L.P. COM UNITS REPSTG LTD PART
EPB
$393K 0.07%
+9,000
New +$393K
GILD icon
164
Gilead Sciences
GILD
$140B
$379K 0.07%
+7,400
New +$379K
MKL icon
165
Markel Group
MKL
$24.6B
$379K 0.07%
+719
New +$379K
UNP icon
166
Union Pacific
UNP
$132B
$379K 0.07%
+2,451
New +$379K
ESV
167
DELISTED
Ensco Rowan plc
ESV
$374K 0.07%
+6,432
New +$374K
PFF icon
168
iShares Preferred and Income Securities ETF
PFF
$14.4B
$360K 0.07%
+9,166
New +$360K
SEP
169
DELISTED
Spectra Engy Parters Lp
SEP
$345K 0.06%
+7,500
New +$345K
EBAY icon
170
eBay
EBAY
$41.1B
$339K 0.06%
+6,548
New +$339K
IWO icon
171
iShares Russell 2000 Growth ETF
IWO
$12.3B
$339K 0.06%
+3,042
New +$339K
LO
172
DELISTED
LORILLARD INC COM STK
LO
$338K 0.06%
+7,742
New +$338K
EWJ icon
173
iShares MSCI Japan ETF
EWJ
$15.3B
$327K 0.06%
+29,100
New +$327K
HD icon
174
Home Depot
HD
$404B
$324K 0.06%
+4,185
New +$324K
SBUX icon
175
Starbucks
SBUX
$102B
$310K 0.06%
+4,730
New +$310K