Friedberg Investment Management (1381859) Portfolio


Number of Companies: 70
Inflow: $15,429 K
Outflow: $-18,507 K
Net Flow: $-3,078 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 30,217 New Holding 30,217 $130.40 $3,940 $3,940
2601 18 Black Hills Corp (BKH) Integrated Utilities 28,320 New Holding 28,320 $63.04 $1,785 $1,785
1819 39 Digitalglobe Inc (DGI) Telecom Carriers 78,120 New Holding 78,120 $21.39 $1,670 $1,670
72 2 Kirby Corp (KEX) Marine Shipping 16,605 New Holding 16,605 $62.39 $1,035 $1,035
1845 6 Monarch Casino And Resort Inc (MCRI) Lodging 45,700 New Holding 45,700 $21.97 $1,004 $1,004
915 2 Ormat Technologies Inc (ORA) Power Generation 62,340 Added More 21,050 $43.76 $921 $2,727
2981 80 Eog Resources Inc (EOG) Exploration And Production 9,580 New Holding 9,580 $83.42 $799 $799
3044 9 Costco Wholesale Corp (COST) Mass Merchants 21,610 Added More 4,610 $157.04 $723 $3,393
1188 6 Orchids Paper Products Co (TIS) Household Products 71,400 Added More 16,030 $35.57 $570 $2,539
284 8 Pembina Pipeline Corp (PBA) Midstream Oil And Gas 17,770 New Holding 17,770 $30.34 $539 $539
2066 18 Vascular Solutions Inc (VASC) Medical Devices 10,510 New Holding 10,510 $41.66 $437 $437
283 11 Ligand Pharmaceuticals (LGND) Biotech 3,610 New Holding 3,610 $119.27 $430 $430
90 2 Marshall Monteagle Plc (MMP) Midstream Oil And Gas 129,820 Added More 4,370 $76.00 $332 $9,866
2648 38 Epam Systems Inc (EPAM) It Services 26,040 Added More 4,980 $64.31 $320 $1,674
2725 116 Digital Realty Trust Inc (DLR) Reit 21,280 Added More 2,900 $108.99 $316 $2,319
44 1 Align Technology Inc (ALGN) Medical Equipment 42,240 Added More 2,020 $80.55 $162 $3,402
234 20 Ltc Properties Inc (LTC) Reit 26,280 Added More 2,900 $51.73 $150 $1,359
3021 55 Celgene Corp (CELG) Biotech 25,870 Added More 1,080 $98.63 $106 $2,551
2217 66 Sps Commerce Inc (SPSC) Application Software 17,730 Added More 1,490 $60.60 $90 $1,074
2131 8 Cavco Industries Inc (CVCO) Homebuilders 12,645 Added More 500 $93.70 $46 $1,184
591 14 Allete Inc (ALE) Integrated Utilities 12,290 Added More 300 $64.63 $19 $794
3016 38 Starbucks Corp (SBUX) Restaurants 28,460 Added More 250 $57.12 $14 $1,625
2989 128 American Tower Corp (AMT) Reit 72,610 Added More 110 $113.61 $12 $8,249
1291 9 Highpower International Inc (HPJ) Household Products 43,370 No Change 0 $1.92 $0 $83
2652 20 Cms Energy Corp (CMS) Integrated Utilities 20,830 No Change 0 $45.86 $0 $955
2396 103 Udr Inc (UDR) Reit 18,420 No Change 0 $36.92 $0 $680
2958 31 Illumina Inc (ILMN) Life Science Equipment 7,950 No Change 0 $140.38 $0 $1,116
17 2 Hormel Foods Corp (HRL) Packaged Food 6,350 No Change 0 $36.60 $0 $232
588 23 Tyler Technologies Inc (TYL) Application Software 3,400 No Change 0 $166.71 $0 $566
317 25 Omega Healthcare Investors (OHI) Reit 34,540 No Change 0 $33.95 $0 $1,172
2347 21 Total System Services Inc (TSS) Consumer Finance 5,330 No Change 0 $53.11 $0 $283
3075 13 Exxon Mobil Corp (XOM) Integrated Oils 5,764 No Change 0 $93.74 $0 $540
2796 120 Federal Realty Invs Trust (FRT) Reit 21,020 No Change 0 $165.55 $0 $3,479
3005 17 Lowes Cos Inc (LOW) Home Products Stores 2,940 No Change 0 $79.17 $0 $232
2890 124 Extra Space Storage Inc (EXR) Reit 3,580 Sold Some -50 $92.54 $-4 $331
150 7 Cerner Corp (CERN) Application Software 18,150 Sold Some -150 $58.60 $-8 $1,063
2563 18 Bemis Company (BMS) Containers And Packaging 39,330 Sold Some -250 $51.49 $-12 $2,025
101 6 Epr Properties (EPR) Reit 47,280 Sold Some -200 $80.68 $-16 $3,814
2717 70 Concho Resources Inc (CXO) Exploration And Production 4,130 Sold Some -160 $119.27 $-19 $492
29 3 Sun Communities Inc (SUI) Reit 21,680 Sold Some -400 $76.64 $-30 $1,661
2995 32 Tjx Companies Inc (TJX) Specialty Apparel Stores 15,385 Sold Some -500 $77.23 $-38 $1,188
563 13 Northwestern Corp (NWE) Integrated Utilities 41,220 Sold Some -650 $63.07 $-40 $2,599
2736 118 Ventas Inc (VTR) Reit 32,847 Sold Some -590 $72.82 $-42 $2,391
3055 131 Simon Property Group Inc (SPG) Reit 10,310 Sold Some -210 $216.90 $-45 $2,236
2558 14 Sba Communications Corp-Cl A (SBAC) Infrastructure Construction 15,995 Sold Some -450 $107.94 $-48 $1,726
137 5 Parallel Media Group Plc (PAA) Midstream Oil And Gas 196,942 Sold Some -1,800 $27.49 $-49 $5,413
2464 16 Idacorp Inc (IDA) Integrated Utilities 11,200 Sold Some -700 $81.35 $-56 $911
104 7 Coresite Realty Corp (COR) Reit 109,620 Sold Some -770 $88.69 $-68 $9,722
288 23 Alexandria Real Estate Equit (ARE) Reit 33,420 Sold Some -735 $103.52 $-76 $3,459
517 38 Retail Opportunity Investmen (ROIC) Reit 201,890 Sold Some -3,700 $21.67 $-80 $4,374
3032 17 Cvs Health Corp (CVS) Food And Drug Stores 32,052 Sold Some -990 $95.74 $-94 $3,068
2812 2 Lkq Corp (LKQ) Automotive Wholesalers 121,920 Sold Some -3,000 $31.70 $-95 $3,864
2866 42 American Water Works Co Inc (AWK) Utility Networks 45,925 Sold Some -1,150 $84.51 $-97 $3,881
257 15 Matador Resources Co (MTDR) Exploration And Production 110,510 Sold Some -5,400 $19.80 $-106 $2,188
1589 2 Wabtec Corp (WAB) Railroad Rolling Stock 73,320 Sold Some -1,700 $70.23 $-119 $5,149
2699 49 Core Laboratories Nv (CLB) Oil And Gas Services And Equip 55,870 Sold Some -1,020 $123.89 $-126 $6,921
2828 14 Verisk Analytics Inc (VRSK) Information Services 41,180 Sold Some -1,600 $81.08 $-129 $3,338
16 2 Idexx Laboratories Inc (IDXX) Life Science Equipment 28,520 Sold Some -1,450 $92.86 $-134 $2,648
24 1 Financial Engines Inc (FNGN) Investment Management 0 Sold All -7,120 $25.87 $-184 $0
473 12 Oceaneering Intl Inc (OII) Oil And Gas Services And Equip 29,740 Sold Some -6,450 $29.86 $-192 $888
3038 56 Regeneron Pharmaceuticals (REGN) Biotech 0 Sold All -580 $349.23 $-202 $0
2745 84 Ansys Inc (ANSS) Application Software 75,430 Sold Some -2,620 $90.75 $-237 $6,845
2691 38 Questar Corp (STR) Utility Networks 0 Sold All -10,000 $25.37 $-253 $0
2430 106 Stag Industrial Inc (STAG) Reit 216,100 Sold Some -12,100 $23.81 $-288 $5,145
1905 14 Middleby Corp (MIDD) Industrial Machinery 62,689 Sold Some -3,580 $115.25 $-412 $7,224
2856 20 Kinder Morgan Inc (KMI) Midstream Oil And Gas 0 Sold All -66,700 $18.72 $-1,248 $0
2375 11 Xpo Logistics Inc (XPO) Trucking 17,150 Sold Some -61,790 $26.26 $-1,622 $450
3064 14 Walt Disney Cothe (DIS) Entertainment Content 0 Sold All -20,180 $97.82 $-1,974 $0
2613 14 National Instruments Corp (NATI) Measurement Instruments 7,330 Sold Some -159,713 $27.40 $-4,376 $200
2999 8 Waste Connections Inc (WCN) Waste Management 0 Sold All -82,870 $72.05 $-5,970 $0