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
EQC
101
DELISTED
Equity Commonwealth
EQC
$84K 0.04%
2,767
DES icon
102
WisdomTree US SmallCap Dividend Fund
DES
$1.92B
$83K 0.04%
3,000
IHI icon
103
iShares US Medical Devices ETF
IHI
$4.31B
$83K 0.04%
+3,750
New +$83K
EPP icon
104
iShares MSCI Pacific ex Japan ETF
EPP
$1.83B
$82K 0.04%
2,060
PG icon
105
Procter & Gamble
PG
$373B
$79K 0.04%
942
RZG icon
106
Invesco S&P SmallCap 600 Pure Growth ETF
RZG
$103M
$77K 0.04%
2,400
RINF icon
107
ProShares Inflation Expectations ETF
RINF
$25M
$76K 0.04%
+2,620
New +$76K
TSCO icon
108
Tractor Supply
TSCO
$32.1B
$76K 0.04%
5,000
BMY icon
109
Bristol-Myers Squibb
BMY
$95B
$73K 0.04%
1,244
-419
-25% -$24.6K
PSA icon
110
Public Storage
PSA
$51.3B
$73K 0.04%
326
IJR icon
111
iShares Core S&P Small-Cap ETF
IJR
$85.7B
$70K 0.03%
1,022
NTAP icon
112
NetApp
NTAP
$23.7B
$70K 0.03%
1,971
SCHW icon
113
Charles Schwab
SCHW
$177B
$70K 0.03%
1,772
+147
+9% +$5.81K
AXP icon
114
American Express
AXP
$230B
$69K 0.03%
932
-59
-6% -$4.37K
BKNG icon
115
Booking.com
BKNG
$181B
$69K 0.03%
47
+3
+7% +$4.4K
TD icon
116
Toronto Dominion Bank
TD
$128B
$69K 0.03%
1,400
VTR icon
117
Ventas
VTR
$30.8B
0
-$113K
RTN
118
DELISTED
Raytheon Company
RTN
$67K 0.03%
474
LLTC
119
DELISTED
Linear Technology Corp
LLTC
$67K 0.03%
1,075
CVS icon
120
CVS Health
CVS
$93.5B
$65K 0.03%
829
SABA
121
Saba Capital Income & Opportunities Fund II
SABA
$257M
$65K 0.03%
5,025
WM icon
122
Waste Management
WM
$90.6B
$64K 0.03%
900
IMI
123
DELISTED
Intermolecular, Inc.
IMI
$64K 0.03%
67,246
+5,414
+9% +$5.15K
EPD icon
124
Enterprise Products Partners
EPD
$68.9B
0
-$174K
IHE icon
125
iShares US Pharmaceuticals ETF
IHE
$581M
$60K 0.03%
1,269
-1,506
-54% -$71.2K