Pacwest Financial Management Inc (1304762) Portfolio


Number of Companies: 63
Inflow: $4,996 K
Outflow: $-6,902 K
Net Flow: $-1,906 K
2016-06-30: Recent SEC Filing
2016-03-31: Previous SEC Filing


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Mffais Overall Rank Mffais Industry Rank Company Industry Shares Action Qty Chg Close Price Mffais Flow(K) Current Value (K)
1 1 Nextera Energy Inc (NEE) Integrated Utilities 15,760 New Holding 15,760 $130.40 $2,055 $2,055
2987 27 Nike Inc -Cl B (NKE) Apparel Footwear And Acc Design 26,120 New Holding 26,120 $55.20 $1,441 $1,441
3074 26 Facebook Inc-A (FB) Internet Media 10,310 Added More 3,285 $114.28 $375 $1,178
2826 41 Consolidated Edison Inc (ED) Utility Networks 2,493 New Holding 2,493 $80.44 $200 $200
3050 14 Wells Fargo And Co (WFC) Diversified Banks 46,495 Added More 4,230 $47.33 $200 $2,200
2850 27 Southern Cothe (SO) Integrated Utilities 28,340 Added More 3,000 $53.63 $160 $1,519
3058 62 Verizon Communications Inc (VZ) Telecom Carriers 69,294 Added More 1,545 $55.84 $86 $3,869
3040 9 Abbvie Inc (ABBV) Large Pharma 33,863 Added More 1,020 $61.91 $63 $2,096
2934 30 Praxair Inc (PX) Basic And Diversified Chemicals 14,198 Added More 535 $112.39 $60 $1,595
189 1 Bce Inc (BCE) Telecom Carriers 40,820 Added More 1,070 $47.31 $50 $1,931
3060 21 Blackrock Inc (BLK) Investment Management 7,645 Added More 141 $342.53 $48 $2,618
3051 57 Gilead Sciences Inc (GILD) Biotech 16,070 Added More 520 $83.42 $43 $1,340
3079 54 Apple Inc (AAPL) Communications Equipment 30,997 Added More 366 $95.60 $34 $2,963
3077 22 Procter And Gamble Cothe (PG) Household Products 23,903 Added More 408 $84.67 $34 $2,023
1503 11 Alphatec Holdings Inc (ATEC) Medical Devices 96,775 New Holding 96,775 $0.35 $33 $33
3028 34 Thermo Fisher Scientific Inc (TMO) Life Science Equipment 10,018 Added More 140 $147.76 $20 $1,480
2920 268 Us Bancorp (USB) Banks 50,704 Added More 385 $40.33 $15 $2,044
3023 7 Merck And Co Inc (MRK) Large Pharma 35,319 Added More 255 $57.61 $14 $2,034
2668 3 Fastenal Co (FAST) Home And Office Product Whslrs 36,845 Added More 265 $44.39 $11 $1,635
2928 37 General Mills Inc (GIS) Packaged Food 29,296 Added More 160 $71.32 $11 $2,089
2790 12 Royal Bank Of Canada (RY) Diversified Banks 34,904 Added More 166 $59.09 $9 $2,062
2944 1 Emerson Electric Co (EMR) Industrial Automation Controls 30,255 Added More 180 $52.16 $9 $1,578
3070 18 Home Depot Inc (HD) Home Products Stores 20,955 Added More 60 $127.69 $7 $2,675
3012 21 Kimberly-Clark Corp (KMB) Household Products 1,932 Added More 30 $137.48 $4 $265
2932 19 Illinois Tool Works (ITW) Industrial Machinery 4,470 Added More 20 $104.16 $2 $465
2004 10 Travelcenters Of America Llc (TA) Refining And Marketing 40,000 No Change 0 $8.16 $0 $326
3016 38 Starbucks Corp (SBUX) Restaurants 41,212 Sold Some -12 $57.12 $-0 $2,354
3030 69 Intel Corp (INTC) Semiconductor Devices 97,953 Sold Some -80 $32.80 $-2 $3,212
3066 59 Amgen Inc (AMGN) Biotech 11,465 Sold Some -25 $152.15 $-3 $1,744
3000 32 American Express Co (AXP) Consumer Finance 15,143 Sold Some -105 $60.76 $-6 $920
2881 6 Waste Management Inc (WM) Waste Management 5,266 Sold Some -101 $66.27 $-6 $348
2824 3 Bank Of New York Mellon Corp (BK) Instl Trust Fiduciary And Custody 36,230 Sold Some -195 $38.85 $-7 $1,407
2985 20 Colgate-Palmolive Co (CL) Household Products 3,848 Sold Some -182 $73.20 $-13 $281
1025 3 Novo-Nordisk As (NVO) Large Pharma 40,535 Sold Some -380 $53.78 $-20 $2,179
3044 9 Costco Wholesale Corp (COST) Mass Merchants 12,185 Sold Some -160 $157.04 $-25 $1,913
3029 24 Coca-Cola Cothe (KO) Beverages 11,047 Sold Some -603 $45.33 $-27 $500
3020 26 United Technologies Corp (UTX) Aircraft And Parts 20,564 Sold Some -300 $102.55 $-30 $2,108
3061 12 Chevron Corp (CVX) Integrated Oils 13,049 Sold Some -443 $104.83 $-46 $1,367
3037 33 Mastercard Inc-Class A (MA) Consumer Finance 16,610 Sold Some -530 $88.06 $-46 $1,462
1755 13 Medtronic Plc (MDT) Medical Devices 21,973 Sold Some -555 $86.77 $-48 $1,906
2879 26 Vf Corp (VFC) Apparel Footwear And Acc Design 52,922 Sold Some -785 $61.49 $-48 $3,254
150 7 Cerner Corp (CERN) Application Software 27,260 Sold Some -975 $58.60 $-57 $1,597
3072 34 Microsoft Corp (MSFT) Infrastructure Software 87,156 Sold Some -1,358 $51.17 $-69 $4,459
2805 17 Church And Dwight Co Inc (CHD) Household Products 17,222 Sold Some -740 $102.89 $-76 $1,771
1950 4 Ch Robinson Worldwide Inc (CHRW) Logistics Services 19,624 Sold Some -1,250 $74.25 $-92 $1,457
3075 13 Exxon Mobil Corp (XOM) Integrated Oils 23,869 Sold Some -1,009 $93.74 $-94 $2,237
3006 19 Becton Dickinson And Co (BDX) Health Care Supplies 11,460 Sold Some -620 $169.59 $-105 $1,943
2995 32 Tjx Companies Inc (TJX) Specialty Apparel Stores 51,513 Sold Some -1,365 $77.23 $-105 $3,978
3031 8 Pfizer Inc (PFE) Large Pharma 61,201 Sold Some -3,008 $35.21 $-105 $2,154
49 1 Novartis Ag (NVS) Large Pharma 6,229 Sold Some -1,368 $82.51 $-112 $513
3049 6 General Electric Co (GE) Electrical Power Equipment 88,969 Sold Some -3,675 $31.48 $-115 $2,800
175 2 3m Co (MMM) Containers And Packaging 15,723 Sold Some -770 $175.12 $-134 $2,753
2845 6 Dollar Tree Inc (DLTR) Mass Merchants 19,788 Sold Some -1,852 $94.24 $-174 $1,864
2993 54 Schlumberger Ltd (SLB) Oil And Gas Services And Equip 20,110 Sold Some -2,295 $79.08 $-181 $1,590
2954 29 Stryker Corp (SYK) Medical Devices 14,050 Sold Some -2,030 $119.83 $-243 $1,683
2979 53 Cisco Systems Inc (CSCO) Communications Equipment 74,385 Sold Some -8,558 $28.69 $-245 $2,134
3017 8 Wal-Mart Stores Inc (WMT) Mass Merchants 0 Sold All -3,710 $73.02 $-270 $0
80 1 Accenture Plc-Cl A (ACN) It Services 18,353 Sold Some -2,805 $113.29 $-317 $2,079
3071 42 Intl Business Machines Corp (IBM) It Services 3,145 Sold Some -2,186 $151.78 $-331 $477
2838 17 Amphenol Corp-Cl A (APH) Electrical Components 30,800 Sold Some -6,520 $57.33 $-373 $1,765
3076 10 Johnson And Johnson (JNJ) Large Pharma 26,746 Sold Some -3,137 $121.30 $-380 $3,244
2998 8 Express Scripts Holding Co (ESRX) Health Care Supply Chain 0 Sold All -17,122 $75.80 $-1,297 $0
2887 35 Hershey Cothe (HSY) Packaged Food 0 Sold All -14,810 $113.49 $-1,680 $0