Maryland Capital Management (1356643) Portfolio


Number of Companies: 106
Inflow: $26,101 K
Outflow: $-48,510 K
Net Flow: $-22,408 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)
2663 9 Marriott International -Cl A (MAR) Lodging 196,970 New Holding 196,970 $66.46 $13,090 $13,090
150 7 Cerner Corp (CERN) Application Software 154,165 New Holding 154,165 $58.60 $9,034 $9,034
1 1 Nextera Energy Inc (NEE) Integrated Utilities 6,110 New Holding 6,110 $130.40 $796 $796
3050 14 Wells Fargo And Co (WFC) Diversified Banks 35,689 Added More 8,928 $47.33 $422 $1,689
3040 9 Abbvie Inc (ABBV) Large Pharma 42,365 Added More 6,500 $61.91 $402 $2,622
2959 33 Duke Energy Corp (DUK) Integrated Utilities 53,784 Added More 3,215 $85.79 $275 $4,614
3031 8 Pfizer Inc (PFE) Large Pharma 100,442 Added More 7,105 $35.21 $250 $3,536
2979 53 Cisco Systems Inc (CSCO) Communications Equipment 44,493 Added More 8,408 $28.69 $241 $1,276
1653 13 Under Armour Inc-Class A (UA) Apparel Footwear And Acc Design 422,272 Added More 5,928 $40.13 $237 $16,945
2909 5 Reynolds American Inc (RAI) Tobacco 4,100 New Holding 4,100 $53.93 $221 $221
2948 269 Pnc Financial Services Group (PNC) Banks 2,458 New Holding 2,458 $81.39 $200 $200
3061 12 Chevron Corp (CVX) Integrated Oils 23,763 Added More 1,561 $104.83 $163 $2,491
3030 69 Intel Corp (INTC) Semiconductor Devices 124,044 Added More 4,645 $32.80 $152 $4,068
3049 6 General Electric Co (GE) Electrical Power Equipment 189,823 Added More 4,578 $31.48 $144 $5,975
3002 31 Dow Chemical Cothe (DOW) Basic And Diversified Chemicals 12,898 Added More 2,500 $49.71 $124 $641
3023 7 Merck And Co Inc (MRK) Large Pharma 40,578 Added More 1,340 $57.61 $77 $2,337
2778 11 Bank Of America Corp (BAC) Diversified Banks 16,403 Added More 5,000 $13.27 $66 $217
2996 7 Target Corp (TGT) Mass Merchants 5,328 Added More 600 $69.82 $41 $372
3064 14 Walt Disney Cothe (DIS) Entertainment Content 6,443 Added More 320 $97.82 $31 $630
2850 27 Southern Cothe (SO) Integrated Utilities 42,558 Added More 575 $53.63 $30 $2,282
3032 17 Cvs Health Corp (CVS) Food And Drug Stores 7,616 Added More 265 $95.74 $25 $729
1516 73 Washington Reit (WRE) Reit 32,000 Added More 700 $31.46 $22 $1,006
3047 19 Honeywell International Inc (HON) Comml And Res Bldg Equip And Sys 2,215 Added More 175 $116.32 $20 $257
3068 39 Mcdonalds Corp (MCD) Restaurants 19,856 Added More 89 $120.34 $10 $2,389
3008 5 Eli Lilly And Co (LLY) Large Pharma 35,543 Added More 95 $78.75 $7 $2,799
599 41 Felcor Lodging Trust Inc (FCH) Reit 14,000 Added More 1,000 $6.23 $6 $87
3017 8 Wal-Mart Stores Inc (WMT) Mass Merchants 10,201 Added More 65 $73.02 $4 $744
1890 29 Arch Capital Group Ltd (ACGL) P And C Insurance 3,900 No Change 0 $72.00 $0 $280
2985 20 Colgate-Palmolive Co (CL) Household Products 5,366 No Change 0 $73.20 $0 $392
2912 18 Cr Bard Inc (BCR) Health Care Supplies 1,920 No Change 0 $235.16 $0 $451
176 9 Bbandt Corp (BBT) Banks 62,515 No Change 0 $35.61 $0 $2,226
80 1 Accenture Plc-Cl A (ACN) It Services 3,100 No Change 0 $113.29 $0 $351
2920 268 Us Bancorp (USB) Banks 8,699 No Change 0 $40.33 $0 $350
2944 1 Emerson Electric Co (EMR) Industrial Automation Controls 6,100 No Change 0 $52.16 $0 $318
2864 28 Edwards Lifesciences Corp (EW) Medical Devices 3,000 No Change 0 $99.73 $0 $299
3018 33 Danaher Corp (DHR) Life Science Equipment 8,850 No Change 0 $101.00 $0 $893
3044 9 Costco Wholesale Corp (COST) Mass Merchants 1,790 No Change 0 $157.04 $0 $281
3041 130 Public Storage (PSA) Reit 850 No Change 0 $255.59 $0 $217
2105 235 Sandy Spring Bancorp Inc (SASR) Banks 18,400 No Change 0 $29.06 $0 $534
3055 131 Simon Property Group Inc (SPG) Reit 1,387 No Change 0 $216.90 $0 $300
2990 40 Mondelez International Inc-A (MDLZ) Packaged Food 6,006 Sold Some -85 $45.51 $-3 $273
2744 119 Hcp Inc (HCP) Reit 22,649 Sold Some -150 $35.38 $-5 $801
2927 6 Ford Motor Co (F) Automobiles 11,282 Sold Some -800 $12.57 $-10 $141
2622 4 Arthur J Gallagher And Co (AJG) Insurance Brokers 14,945 Sold Some -325 $47.60 $-15 $711
3005 17 Lowes Cos Inc (LOW) Home Products Stores 10,535 Sold Some -200 $79.17 $-15 $834
3067 10 Lockheed Martin Corp (LMT) Defense Primes 4,284 Sold Some -64 $248.17 $-15 $1,063
2928 37 General Mills Inc (GIS) Packaged Food 4,056 Sold Some -225 $71.32 $-16 $289
2969 7 Canadian Natl Railway Co (CNI) Rail Freight 4,000 Sold Some -350 $59.06 $-20 $236
90 2 Marshall Monteagle Plc (MMP) Midstream Oil And Gas 5,150 Sold Some -300 $76.00 $-22 $391
480 3 Phillips 66 (PSX) Refining And Marketing 3,425 Sold Some -300 $79.34 $-23 $271
2080 87 Corporate Office Properties (OFC) Reit 74,590 Sold Some -825 $29.57 $-24 $2,205
2956 32 Dominion Resources Incva (D) Integrated Utilities 15,914 Sold Some -318 $77.93 $-24 $1,240
2995 32 Tjx Companies Inc (TJX) Specialty Apparel Stores 4,750 Sold Some -325 $77.23 $-25 $366
3020 26 United Technologies Corp (UTX) Aircraft And Parts 2,850 Sold Some -250 $102.55 $-25 $292
2852 34 Mccormick And Co-Non Vtg Shrs (MKC) Packaged Food 5,125 Sold Some -250 $106.67 $-26 $546
3058 62 Verizon Communications Inc (VZ) Telecom Carriers 138,511 Sold Some -517 $55.84 $-28 $7,734
3052 34 Visa Inc-Class A Shares (V) Consumer Finance 3,641 Sold Some -435 $74.17 $-32 $270
2976 33 Oracle Corp (ORCL) Infrastructure Software 13,013 Sold Some -850 $40.93 $-34 $532
2702 6 Paychex Inc (PAYX) Payment And Data Processors 9,570 Sold Some -605 $59.50 $-35 $569
2970 31 Fiserv Inc (FISV) Consumer Finance 2,475 Sold Some -400 $108.73 $-43 $269
3057 15 Jpmorgan Chase And Co (JPM) Diversified Banks 26,181 Sold Some -743 $62.14 $-46 $1,626
159 6 Euroespes Sa (EEP) Midstream Oil And Gas 11,125 Sold Some -2,200 $23.20 $-51 $258
3029 24 Coca-Cola Cothe (KO) Beverages 30,906 Sold Some -1,521 $45.33 $-68 $1,400
2747 45 Cincinnati Financial Corp (CINF) P And C Insurance 15,410 Sold Some -925 $74.89 $-69 $1,154
2952 26 Du Pont Ei De Nemours (DD) Specialty Chemicals 36,726 Sold Some -1,515 $64.80 $-98 $2,379
3076 10 Johnson And Johnson (JNJ) Large Pharma 24,922 Sold Some -853 $121.30 $-103 $3,023
2868 6 Sysco Corp (SYY) Food Products Wholesalers 18,530 Sold Some -2,100 $50.74 $-106 $940
3065 7 Philip Morris International (PM) Tobacco 22,232 Sold Some -1,055 $101.72 $-107 $2,261
3070 18 Home Depot Inc (HD) Home Products Stores 19,217 Sold Some -884 $127.69 $-112 $2,453
3022 6 Altria Group Inc (MO) Tobacco 24,671 Sold Some -1,718 $68.96 $-118 $1,701
2741 39 Ppl Corp (PPL) Utility Networks 53,810 Sold Some -3,205 $37.75 $-120 $2,031
175 2 3m Co (MMM) Containers And Packaging 3,266 Sold Some -820 $175.12 $-143 $571
3012 21 Kimberly-Clark Corp (KMB) Household Products 12,050 Sold Some -1,255 $137.48 $-172 $1,656
3016 38 Starbucks Corp (SBUX) Restaurants 0 Sold All -3,365 $57.12 $-192 $0
3056 27 Boeing Cothe (BA) Aircraft And Parts 0 Sold All -1,596 $129.87 $-207 $0
2875 29 Public Service Enterprise Gp (PEG) Integrated Utilities 0 Sold All -4,693 $46.61 $-218 $0
2819 20 T Rowe Price Group Inc (TROW) Investment Management 0 Sold All -3,045 $72.97 $-222 $0
3027 7 Comcast Corp-Class A (CMCSA) Cable And Satellite 0 Sold All -3,590 $65.19 $-234 $0
2856 20 Kinder Morgan Inc (KMI) Midstream Oil And Gas 39,897 Sold Some -12,699 $18.72 $-237 $746
2860 15 Marathon Petroleum Corp (MPC) Refining And Marketing 0 Sold All -7,080 $37.96 $-268 $0
2826 41 Consolidated Edison Inc (ED) Utility Networks 12,048 Sold Some -3,498 $80.44 $-281 $969
2922 32 Palo Alto Networks Inc (PANW) Infrastructure Software 90,138 Sold Some -2,380 $122.64 $-291 $11,054
3071 42 Intl Business Machines Corp (IBM) It Services 5,001 Sold Some -2,195 $151.78 $-333 $759
3075 13 Exxon Mobil Corp (XOM) Integrated Oils 77,714 Sold Some -4,080 $93.74 $-382 $7,284
3014 6 Bristol-Myers Squibb Co (BMY) Large Pharma 19,495 Sold Some -6,006 $73.55 $-441 $1,433
2886 77 Conocophillips (COP) Exploration And Production 94,164 Sold Some -10,535 $43.60 $-459 $4,105
3062 63 Atandt Inc (T) Telecom Carriers 176,400 Sold Some -12,098 $43.21 $-522 $7,622
3077 22 Procter And Gamble Cothe (PG) Household Products 209,869 Sold Some -10,674 $84.67 $-903 $17,769
2779 8 Schwab Charles Corp (SCHW) Wealth Management 538,874 Sold Some -36,875 $25.31 $-933 $13,638
3072 34 Microsoft Corp (MSFT) Infrastructure Software 435,246 Sold Some -20,448 $51.17 $-1,046 $22,271
2861 30 Abbott Laboratories (ABT) Life Science Equipment 453,675 Sold Some -28,733 $39.31 $-1,129 $17,833
2891 65 Skyworks Solutions Inc (SWKS) Semiconductor Devices 166,658 Sold Some -21,421 $63.28 $-1,355 $10,546
3004 37 Yum Brands Inc (YUM) Restaurants 232,560 Sold Some -16,798 $82.92 $-1,392 $19,283
2132 6 Td Ameritrade Holding Corp (AMTD) Wealth Management 540,986 Sold Some -49,917 $28.48 $-1,421 $15,407
2974 36 Chipotle Mexican Grill Inc (CMG) Restaurants 39,885 Sold Some -3,717 $402.76 $-1,497 $16,064
2717 70 Concho Resources Inc (CXO) Exploration And Production 127,765 Sold Some -12,798 $119.27 $-1,526 $15,238
3063 12 Unitedhealth Group Inc (UNH) Managed Care 126,864 Sold Some -10,825 $141.20 $-1,528 $17,913
2879 26 Vf Corp (VFC) Apparel Footwear And Acc Design 333,110 Sold Some -26,151 $61.49 $-1,608 $20,482
3080 12 Amazoncom Inc (AMZN) Ecommerce Discretionary 22,906 Sold Some -2,413 $715.62 $-1,726 $16,391
2301 247 Signature Bank (SBNY) Banks 140,356 Sold Some -15,057 $124.92 $-1,880 $17,533
3059 25 Pepsico Inc (PEP) Beverages 198,007 Sold Some -19,252 $105.94 $-2,039 $20,976
3079 54 Apple Inc (AAPL) Communications Equipment 198,756 Sold Some -27,480 $95.60 $-2,627 $19,001
3037 33 Mastercard Inc-Class A (MA) Consumer Finance 245,046 Sold Some -29,948 $88.06 $-2,637 $21,578
2998 8 Express Scripts Holding Co (ESRX) Health Care Supply Chain 255,237 Sold Some -36,469 $75.80 $-2,764 $19,346
2447 49 United Therapeutics Corp (UTHR) Biotech 160,044 Sold Some -26,413 $105.92 $-2,797 $16,951
2815 16 Tripadvisor Inc (TRIP) Internet Based Services 0 Sold All -180,854 $64.30 $-11,628 $0