Westend Capital Management Llc (1331997) Portfolio


Number of Companies: 56
Inflow: $10,854 K
Outflow: $-12,707 K
Net Flow: $-1,852 K
2016-03-31: Recent SEC Filing
2015-12-31: 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)
62 2 Panera Bread Company-Class A (PNRA) Restaurants 7,225 New Holding 7,225 $204.83 $1,479 $1,479
2934 30 Praxair Inc (PX) Basic And Diversified Chemicals 12,440 New Holding 12,440 $114.44 $1,423 $1,423
2984 25 Netflix Inc (NFLX) Internet Media 13,425 New Holding 13,425 $102.23 $1,372 $1,372
2923 7 Martin Marietta Materials (MLM) Cement And Aggregates 5,760 New Holding 5,760 $159.50 $918 $918
2781 29 Servicenow Inc (NOW) Infrastructure Software 14,350 New Holding 14,350 $61.18 $877 $877
2380 15 Whole Foods Market Inc (WFM) Food And Drug Stores 25,880 New Holding 25,880 $31.11 $805 $805
2935 78 Anadarko Petroleum Corp (APC) Exploration And Production 19,092 Added More 10,605 $46.57 $493 $889
236 1 Alcoa Inc (AA) Base Metals 111,393 Added More 46,525 $9.58 $445 $1,067
3049 6 General Electric Co (GE) Electrical Power Equipment 7,890 New Holding 7,890 $31.79 $250 $250
3030 69 Intel Corp (INTC) Semiconductor Devices 7,615 New Holding 7,615 $32.34 $246 $246
3072 34 Microsoft Corp (MSFT) Infrastructure Software 4,425 New Holding 4,425 $55.23 $244 $244
3075 13 Exxon Mobil Corp (XOM) Integrated Oils 17,501 Added More 2,870 $83.58 $239 $1,462
3057 15 Jpmorgan Chase And Co (JPM) Diversified Banks 4,000 New Holding 4,000 $59.22 $236 $236
3031 8 Pfizer Inc (PFE) Large Pharma 7,915 New Holding 7,915 $29.63 $234 $234
3032 17 Cvs Health Corp (CVS) Food And Drug Stores 27,298 Added More 2,255 $103.73 $233 $2,831
642 5 Splunk Inc (SPLK) Infrastructure Software 40,412 Added More 4,472 $48.93 $218 $1,977
416 8 Cracker Barrel Old Country (CBRL) Restaurants 1,385 New Holding 1,385 $152.66 $211 $211
970 12 Teleplan International Nv (TPL) It Services 1,400 New Holding 1,400 $145.50 $203 $203
3050 14 Wells Fargo And Co (WFC) Diversified Banks 43,392 Added More 4,045 $48.36 $195 $2,098
3079 54 Apple Inc (AAPL) Communications Equipment 29,168 Added More 1,737 $108.98 $189 $3,179
2645 263 Suntrust Banks Inc (STI) Banks 35,186 Added More 2,641 $36.08 $95 $1,269
3040 9 Abbvie Inc (ABBV) Large Pharma 5,675 Added More 1,585 $57.11 $90 $324
2578 45 Ellie Mae Inc (ELLI) Mortgage Finance 23,645 Added More 620 $90.63 $56 $2,143
3025 1 Fedex Corp (FDX) Courier Services 8,140 Added More 155 $162.72 $25 $1,324
126 1 Costar Group Inc (CSGP) Information Services 6,461 Added More 125 $188.16 $23 $1,215
2018 14 Sunpower Corp (SPWR) Renewable Energy Equipment 41,609 Added More 960 $22.34 $21 $929
2922 32 Palo Alto Networks Inc (PANW) Infrastructure Software 23,624 Added More 117 $163.13 $19 $3,854
3065 7 Philip Morris International (PM) Tobacco 4,826 No Change 0 $98.11 $0 $473
2881 6 Waste Management Inc (WM) Waste Management 4,975 No Change 0 $59.00 $0 $293
3059 25 Pepsico Inc (PEP) Beverages 3,514 No Change 0 $102.48 $0 $360
3033 16 Goldman Sachs Group Inc (GS) Institutional Brokerage 10,939 No Change 0 $156.97 $0 $1,717
2068 86 Wp Carey Inc (WPC) Reit 5,200 No Change 0 $62.24 $0 $323
3023 7 Merck And Co Inc (MRK) Large Pharma 6,544 No Change 0 $52.91 $0 $346
54 1 Ingersoll-Rand Plc (IR) Comml And Res Bldg Equip And Sys 6,500 No Change 0 $62.00 $0 $403
2961 20 Stanley Black And Decker Inc (SWK) Home Improvement 13,110 No Change 0 $105.20 $0 $1,379
2946 21 Hca Holdings Inc (HCA) Health Care Facilities 14,084 No Change 0 $78.05 $0 $1,099
402 31 Summit Hotel Properties Inc (INN) Reit 10,657 No Change 0 $11.97 $0 $127
3067 10 Lockheed Martin Corp (LMT) Defense Primes 1,456 Sold Some -25 $221.50 $-5 $322
2767 12 Southwest Airlines Co (LUV) Airlines 45,543 Sold Some -170 $44.79 $-7 $2,040
3064 14 Walt Disney Cothe (DIS) Entertainment Content 35,331 Sold Some -146 $99.30 $-14 $3,508
2837 2 Carnival Corp (CCL) Cruise Lines 32,710 Sold Some -325 $52.77 $-17 $1,726
3074 26 Facebook Inc-A (FB) Internet Media 36,577 Sold Some -170 $114.09 $-19 $4,173
2725 116 Digital Realty Trust Inc (DLR) Reit 2,745 Sold Some -2,095 $88.48 $-185 $242
2291 14 Sonoco Products Co (SON) Containers And Packaging 0 Sold All -4,930 $48.57 $-239 $0
2850 27 Southern Cothe (SO) Integrated Utilities 0 Sold All -6,090 $51.73 $-315 $0
290 2 Cinemark Holdings Inc (CNK) Entertainment Facilities 0 Sold All -8,945 $35.83 $-320 $0
3076 10 Johnson And Johnson (JNJ) Large Pharma 3,615 Sold Some -3,530 $108.19 $-381 $391
2866 42 American Water Works Co Inc (AWK) Utility Networks 0 Sold All -6,135 $68.93 $-422 $0
2623 14 Restoration Hardware Holding (RH) Home Products Stores 0 Sold All -18,576 $41.90 $-778 $0
2991 68 Texas Instruments Inc (TXN) Semiconductor Devices 28,950 Sold Some -16,150 $57.41 $-927 $1,662
3021 55 Celgene Corp (CELG) Biotech 13,390 Sold Some -9,750 $100.08 $-975 $1,340
3056 27 Boeing Cothe (BA) Aircraft And Parts 11,333 Sold Some -9,474 $126.94 $-1,202 $1,438
3052 34 Visa Inc-Class A Shares (V) Consumer Finance 17,291 Sold Some -16,775 $76.48 $-1,282 $1,322
2778 11 Bank Of America Corp (BAC) Diversified Banks 12,025 Sold Some -116,872 $13.52 $-1,580 $162
2889 12 Cbs Corp-Class B Non Voting (CBS) Entertainment Content 0 Sold All -30,957 $55.09 $-1,705 $0
3077 22 Procter And Gamble Cothe (PG) Household Products 0 Sold All -28,249 $82.30 $-2,325 $0