SGCA

Steel Grove Capital Advisors Portfolio holdings

AUM $843M
This Quarter Return
-0.85%
1 Year Return
+18.73%
3 Year Return
+76.84%
5 Year Return
+124.07%
10 Year Return
+188.39%
AUM
$445M
AUM Growth
Cap. Flow
+$445M
Cap. Flow %
100%
Top 10 Hldgs %
29.23%
Holding
171
New
171
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Energy 30.44%
2 Consumer Staples 7.97%
3 Industrials 6.59%
4 Technology 6.52%
5 Consumer Discretionary 5.55%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
MINI
76
DELISTED
Mobile Mini Inc
MINI
$782K 0.18% +18,333 New +$782K
TCP
77
DELISTED
TC Pipelines LP
TCP
$769K 0.17% +11,798 New +$769K
AAP icon
78
Advance Auto Parts
AAP
$3.66B
$718K 0.16% +4,794 New +$718K
VWO icon
79
Vanguard FTSE Emerging Markets ETF
VWO
$96.4B
$717K 0.16% +17,544 New +$717K
CLH icon
80
Clean Harbors
CLH
$13B
$694K 0.16% +12,214 New +$694K
FCAP icon
81
First Capital
FCAP
$138M
$680K 0.15% +28,124 New +$680K
DIS icon
82
Walt Disney
DIS
$213B
$637K 0.14% +6,073 New +$637K
MAA icon
83
Mid-America Apartment Communities
MAA
$17.1B
$609K 0.14% +7,887 New +$609K
WERN icon
84
Werner Enterprises
WERN
$1.73B
$608K 0.14% +19,371 New +$608K
BMY icon
85
Bristol-Myers Squibb
BMY
$96B
$603K 0.14% +9,350 New +$603K
CVS icon
86
CVS Health
CVS
$92.8B
$557K 0.13% +5,399 New +$557K
NGLS
87
DELISTED
TARGA RESOURCES PARTNERS LP COM UTS REPTG LTD PARTERSHIP INT
NGLS
$543K 0.12% +13,120 New +$543K
MOO icon
88
VanEck Agribusiness ETF
MOO
$628M
$536K 0.12% +9,994 New +$536K
GOOG icon
89
Alphabet (Google) Class C
GOOG
$2.58T
$496K 0.11% +905 New +$496K
BAC icon
90
Bank of America
BAC
$376B
$489K 0.11% +31,802 New +$489K
EMES
91
DELISTED
Emerge Energy Services LP
EMES
$419K 0.09% +8,836 New +$419K
ETP
92
DELISTED
Energy Transfer Partners, L.P.
ETP
$418K 0.09% +10,105 New +$418K
UNP icon
93
Union Pacific
UNP
$133B
$388K 0.09% +3,586 New +$388K
VEA icon
94
Vanguard FTSE Developed Markets ETF
VEA
$171B
$388K 0.09% +9,730 New +$388K
XLE icon
95
Energy Select Sector SPDR Fund
XLE
$27.6B
$378K 0.09% +4,874 New +$378K
EFA icon
96
iShares MSCI EAFE ETF
EFA
$66B
$376K 0.08% +5,858 New +$376K
TYPE
97
DELISTED
Monotype Imaging Holdings Inc.
TYPE
$358K 0.08% +10,925 New +$358K
MRD
98
DELISTED
MEMORIAL RESOURCE DEV CORP COM STK (DE)
MRD
$355K 0.08% +20,000 New +$355K
GE icon
99
GE Aerospace
GE
$292B
$353K 0.08% +14,145 New +$353K
BTZ icon
100
BlackRock Credit Allocation Income Trust
BTZ
$1.03B
$343K 0.08% +25,508 New +$343K