SM

Stratton Management Portfolio holdings

AUM $824M
This Quarter Return
+7.22%
1 Year Return
+1.59%
3 Year Return
5 Year Return
10 Year Return
AUM
$824M
AUM Growth
+$824M
Cap. Flow
-$103M
Cap. Flow %
-12.54%
Top 10 Hldgs %
18.54%
Holding
230
New
6
Increased
15
Reduced
166
Closed
15

Sector Composition

1 Industrials 20.58%
2 Healthcare 17.77%
3 Technology 10.14%
4 Financials 9.91%
5 Consumer Staples 9.03%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
FDX icon
51
FedEx
FDX
$53.1B
$5.43M 0.66%
36,435
+1,275
+4% +$190K
SWKS icon
52
Skyworks Solutions
SWKS
$10.8B
$5.19M 0.63%
67,580
-11,860
-15% -$911K
NEE icon
53
NextEra Energy, Inc.
NEE
$148B
$5.1M 0.62%
49,038
-5,912
-11% -$614K
DEO icon
54
Diageo
DEO
$61.4B
$5.09M 0.62%
46,632
-2,505
-5% -$273K
CVX icon
55
Chevron
CVX
$325B
$5.08M 0.62%
56,459
-21,459
-28% -$1.93M
IBM icon
56
IBM
IBM
$225B
$4.98M 0.61%
36,209
-9,600
-21% -$1.32M
ORCL icon
57
Oracle
ORCL
$627B
$4.98M 0.6%
136,275
-16,479
-11% -$602K
PG icon
58
Procter & Gamble
PG
$371B
$4.96M 0.6%
62,400
-8,666
-12% -$688K
NXPI icon
59
NXP Semiconductors
NXPI
$57.6B
$4.83M 0.59%
57,330
-9,810
-15% -$826K
DLR icon
60
Digital Realty Trust
DLR
$56B
$4.81M 0.58%
63,661
-3,200
-5% -$242K
COP icon
61
ConocoPhillips
COP
$124B
$4.79M 0.58%
102,479
-28,883
-22% -$1.35M
ARG
62
DELISTED
AIRGAS INC
ARG
$4.78M 0.58%
34,550
-250
-0.7% -$34.6K
CCL icon
63
Carnival Corp
CCL
$42.1B
$4.73M 0.57%
86,750
-12,240
-12% -$667K
INTC icon
64
Intel
INTC
$105B
$4.7M 0.57%
136,550
-10,127
-7% -$349K
AAPL icon
65
Apple
AAPL
$3.42T
$4.63M 0.56%
44,026
-6,566
-13% -$691K
LYB icon
66
LyondellBasell Industries
LYB
$17.9B
$4.62M 0.56%
53,150
-7,925
-13% -$689K
PRU icon
67
Prudential Financial
PRU
$37.8B
$4.57M 0.55%
56,116
-2,800
-5% -$228K
MGA icon
68
Magna International
MGA
$12.8B
$4.55M 0.55%
112,240
-1,475
-1% -$59.8K
AAL icon
69
American Airlines Group
AAL
$8.75B
$4.41M 0.54%
104,145
-16,645
-14% -$705K
OXY icon
70
Occidental Petroleum
OXY
$47.2B
$4.35M 0.53%
64,268
-8,730
-12% -$590K
AGN
71
DELISTED
Allergan plc
AGN
$4.35M 0.53%
13,904
-2,951
-18% -$922K
KIM icon
72
Kimco Realty
KIM
$15.2B
$4.32M 0.53%
163,405
-17,200
-10% -$455K
PFE icon
73
Pfizer
PFE
$142B
$4.31M 0.52%
133,380
-30,565
-19% -$987K
AMG icon
74
Affiliated Managers Group
AMG
$6.45B
$4.26M 0.52%
26,692
+2,925
+12% +$467K
CDW icon
75
CDW
CDW
$21.3B
$4.21M 0.51%
100,215
-15,295
-13% -$643K