SIG

Stanford Investment Group Portfolio holdings

AUM $205M
1-Year Return 7.44%
This Quarter Return
+0.13%
1 Year Return
+7.44%
3 Year Return
5 Year Return
10 Year Return
AUM
$205M
AUM Growth
-$7.07M
Cap. Flow
-$6.96M
Cap. Flow %
-3.39%
Top 10 Hldgs %
76.57%
Holding
438
New
23
Increased
61
Reduced
67
Closed
55

Sector Composition

1 Technology 14.13%
2 Financials 4.33%
3 Communication Services 4.28%
4 Healthcare 1.76%
5 Industrials 1.21%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
EL icon
251
Estee Lauder
EL
$32.1B
$20K 0.01%
264
SU icon
252
Suncor Energy
SU
$48.5B
$20K 0.01%
620
UAA icon
253
Under Armour
UAA
$2.2B
$20K 0.01%
700
+300
+75% +$8.57K
GBT
254
DELISTED
Global Blood Therapeutics, Inc.
GBT
$20K 0.01%
1,400
BDX icon
255
Becton Dickinson
BDX
$55.1B
$19K 0.01%
118
CHTR icon
256
Charter Communications
CHTR
$35.7B
$19K 0.01%
66
DXCM icon
257
DexCom
DXCM
$31.6B
$19K 0.01%
1,296
+772
+147% +$11.3K
FFC
258
Flaherty & Crumrine Preferred and Income Securities Fund
FFC
$793M
$19K 0.01%
1,035
PFPT
259
DELISTED
Proofpoint, Inc.
PFPT
$19K 0.01%
275
-225
-45% -$15.5K
CTSH icon
260
Cognizant
CTSH
$35.1B
$18K 0.01%
325
BRS
261
DELISTED
Bristow Group, Inc.
BRS
$18K 0.01%
900
SE
262
DELISTED
Spectra Energy Corp Wi
SE
$18K 0.01%
450
-450
-50% -$18K
IPWR icon
263
Ideal Power
IPWR
$43.4M
$17K 0.01%
500
RDS.B
264
DELISTED
Royal Dutch Shell PLC ADS Class B
RDS.B
$17K 0.01%
300
CBI
265
DELISTED
Chicago Bridge & Iron Nv
CBI
$17K 0.01%
550
BIDU icon
266
Baidu
BIDU
$35.1B
$16K 0.01%
100
WBK
267
DELISTED
Westpac Banking Corporation
WBK
$16K 0.01%
700
BK icon
268
Bank of New York Mellon
BK
$73.1B
$15K 0.01%
320
F icon
269
Ford
F
$46.7B
$15K 0.01%
1,225
-571
-32% -$6.99K
GD icon
270
General Dynamics
GD
$86.8B
$15K 0.01%
88
IEF icon
271
iShares 7-10 Year Treasury Bond ETF
IEF
$35.9B
$15K 0.01%
140
NVDA icon
272
NVIDIA
NVDA
$4.07T
$15K 0.01%
5,600
BOND icon
273
PIMCO Active Bond Exchange-Traded Fund
BOND
$5.84B
$14K 0.01%
130
EXC icon
274
Exelon
EXC
$43.9B
$14K 0.01%
561
FMS icon
275
Fresenius Medical Care
FMS
$14.5B
$14K 0.01%
324