Greenwich Wealth Management Llc (1439805) Portfolio


Number of Companies: 100
Inflow: $41,040 K
Outflow: $-57,193 K
Net Flow: $-16,152 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)
19 1 Weyerhaeuser Co (WY) Reit 633,868 New Holding 633,868 $30.98 $19,637 $19,637
2894 15 Morgan Stanley (MS) Institutional Brokerage 850,000 Added More 384,700 $25.01 $9,621 $21,258
865 2 Oppenheimer Holdings-Cl A (OPY) Wealth Management 266,017 Added More 197,517 $15.78 $3,116 $4,197
105 1 Centene Corp (CNC) Managed Care 42,743 New Holding 42,743 $61.57 $2,631 $2,631
2779 8 Schwab Charles Corp (SCHW) Wealth Management 527,766 Added More 58,989 $28.02 $1,652 $14,788
2626 34 Buffalo Wild Wings Inc (BWLD) Restaurants 5,900 New Holding 5,900 $148.11 $873 $873
2000 2 Vector Group Ltd (VGR) Tobacco 21,545 New Holding 21,545 $22.84 $492 $492
843 7 Gamco Investors Inc-A (GBL) Investment Management 9,000 New Holding 9,000 $37.06 $333 $333
495 6 Yandex Nv-A (YNDX) Internet Media 20,000 New Holding 20,000 $15.32 $306 $306
3062 63 Atandt Inc (T) Telecom Carriers 7,527 New Holding 7,527 $39.16 $294 $294
3074 26 Facebook Inc-A (FB) Internet Media 2,560 New Holding 2,560 $114.09 $292 $292
2299 22 Icu Medical Inc (ICUI) Medical Devices 2,631 New Holding 2,631 $104.09 $273 $273
1887 25 Teradyne Inc (TER) Semiconductor Mfg 10,813 New Holding 10,813 $21.59 $233 $233
665 45 Kimco Realty Corp (KIM) Reit 7,150 New Holding 7,150 $28.78 $205 $205
2979 53 Cisco Systems Inc (CSCO) Communications Equipment 450,885 Added More 7,108 $28.46 $202 $12,836
3058 62 Verizon Communications Inc (VZ) Telecom Carriers 36,592 Added More 2,912 $54.08 $157 $1,978
2927 6 Ford Motor Co (F) Automobiles 25,755 Added More 10,606 $13.50 $143 $347
299 3 Ensign Group Incthe (ENSG) Health Care Facilities 16,324 Added More 5,732 $22.63 $129 $369
655 2 Supervalu Inc (SVU) Food And Drug Stores 85,310 Added More 15,560 $5.76 $89 $491
3050 14 Wells Fargo And Co (WFC) Diversified Banks 1,821 New Holding 1,821 $48.36 $88 $88
82 1 Grupo Televisa Sa (TV) Publishing And Broadcasting 14,200 Added More 2,850 $27.45 $78 $389
1988 1 Rent-A-Center Inc (RCII) Consumer Goods Rental 72,122 Added More 4,350 $15.85 $68 $1,143
3076 10 Johnson And Johnson (JNJ) Large Pharma 2,467 Added More 357 $108.19 $38 $266
1475 3 Ladenburg Thalmann Financial (LTS) Wealth Management 12,110 New Holding 12,110 $2.50 $30 $30
3014 6 Bristol-Myers Squibb Co (BMY) Large Pharma 3,726 Added More 250 $63.88 $15 $238
2627 68 Murphy Oil Corp (MUR) Exploration And Production 23,380 Added More 540 $25.19 $13 $588
2870 14 Monsanto Co (MON) Agricultural Chemicals 2,516 Added More 76 $87.73 $6 $220
3064 14 Walt Disney Cothe (DIS) Entertainment Content 2,596 Added More 45 $99.30 $4 $257
1000 5 Avx Corp (AVX) Electronics Components 48,518 Added More 350 $12.57 $4 $609
2714 11 Staples Inc (SPLS) Other Spec Retail Discr 66,795 Added More 200 $11.03 $2 $736
1851 2 Matthews Intl Corp-Class A (MATW) Funeral Services 6,850 Added More 20 $51.47 $1 $352
2519 10 Jabil Circuit Inc (JBL) Emsodm 24,100 No Change 0 $19.27 $0 $464
236 1 Alcoa Inc (AA) Base Metals 24,000 No Change 0 $9.58 $0 $229
1757 17 Navidea Biopharmaceuticals I (NAVB) Medical Equipment 65,066 No Change 0 $12.52 $0 $814
2103 17 Danaos Corp (DAC) Marine Shipping 100,000 No Change 0 $3.80 $0 $380
2550 65 Chesapeake Energy Corp (CHK) Exploration And Production 25,300 No Change 0 $4.12 $0 $104
1514 12 Ur-Energy Inc (URG) Base Metals 22,000 No Change 0 $0.50 $0 $11
2708 16 Quanta Services Inc (PWR) Infrastructure Construction 10,303 No Change 0 $22.55 $0 $232
2530 25 Qualys Inc (QLYS) Infrastructure Software 14,590 Sold Some -75 $25.30 $-1 $369
1385 38 Transatlantic Petroleum Ltd (TAT) Exploration And Production 51,243 Sold Some -4,916 $0.75 $-3 $38
2765 15 Hertz Global Holdings Inc (HTZ) Automotive Retailers 36,218 Sold Some -668 $10.53 $-7 $381
1877 18 Analogic Corp (ALOG) Medical Equipment 3,874 Sold Some -96 $79.01 $-7 $306
2563 18 Bemis Company (BMS) Containers And Packaging 17,446 Sold Some -180 $51.77 $-9 $903
323 10 Mellanox Technologies Ltd (MLNX) Semiconductor Devices 22,896 Sold Some -189 $54.33 $-10 $1,243
666 1 Bioscrip Inc (BIOS) Health Care Supply Chain 15,170 Sold Some -5,000 $2.14 $-10 $32
2749 30 Gentex Corp (GNTX) Auto Parts 53,369 Sold Some -749 $15.69 $-11 $837
2984 25 Netflix Inc (NFLX) Internet Media 1,970 Sold Some -160 $102.23 $-16 $201
2977 67 Qualcomm Inc (QCOM) Semiconductor Devices 5,825 Sold Some -380 $51.13 $-19 $297
3057 15 Jpmorgan Chase And Co (JPM) Diversified Banks 12,657 Sold Some -385 $59.22 $-22 $749
248 2 Interactive Brokers Gro-Cl A (IBKR) Institutional Brokerage 269,098 Sold Some -860 $39.32 $-33 $10,580
2668 3 Fastenal Co (FAST) Home And Office Product Whslrs 17,907 Sold Some -1,588 $49.00 $-77 $877
3051 57 Gilead Sciences Inc (GILD) Biotech 11,053 Sold Some -1,034 $91.86 $-94 $1,015
3065 7 Philip Morris International (PM) Tobacco 2,200 Sold Some -1,700 $98.11 $-166 $215
2015 52 Exco Resources Inc (XCO) Exploration And Production 654,723 Sold Some -198,356 $0.99 $-196 $648
643 6 Cowen Group Inc-Class A (COWN) Institutional Brokerage 179,290 Sold Some -53,360 $3.81 $-203 $683
2838 17 Amphenol Corp-Cl A (APH) Electrical Components 13,342 Sold Some -4,117 $57.82 $-238 $771
2778 11 Bank Of America Corp (BAC) Diversified Banks 136,325 Sold Some -19,901 $13.52 $-269 $1,843
2357 12 Pentair Plc (PNR) Flow Control Equipment 16,489 Sold Some -5,873 $54.25 $-318 $894
63 1 Childrens Place Incthe (PLCE) Specialty Apparel Stores 0 Sold All -3,869 $83.47 $-322 $0
2300 11 Investment Technology Group (ITG) Institutional Brokerage 45,881 Sold Some -16,763 $22.10 $-370 $1,013
2273 6 Taser International Inc (TASR) Defense Primes 62,879 Sold Some -22,399 $19.62 $-439 $1,234
2556 11 Flextronics Intl Ltd (FLEX) Emsodm 195,000 Sold Some -40,000 $12.06 $-482 $2,351
2638 3 Nasdaq Inc (NDAQ) Security And Cmdty Exchanges 18,557 Sold Some -7,456 $66.37 $-494 $1,231
553 14 Cree Inc (CREE) Semiconductor Devices 52,000 Sold Some -18,000 $29.10 $-523 $1,513
1541 37 Endo International Plc (ENDP) Specialty Pharma 28,280 Sold Some -18,720 $28.15 $-526 $796
2136 13 Franklin Resources Inc (BEN) Investment Management 35,035 Sold Some -13,685 $39.04 $-534 $1,368
2904 10 Ebay Inc (EBAY) Ecommerce Discretionary 63,938 Sold Some -22,505 $23.86 $-536 $1,525
2966 39 Jm Smucker Cothe (SJM) Packaged Food 0 Sold All -4,269 $129.83 $-554 $0
3031 8 Pfizer Inc (PFE) Large Pharma 134,025 Sold Some -20,458 $29.63 $-606 $3,972
74 1 Terex Corp (TEX) Construction And Mining Machinery 68,720 Sold Some -24,480 $24.87 $-609 $1,709
2844 13 Archer-Daniels-Midland Co (ADM) Agricultural Producers 52,000 Sold Some -18,150 $36.31 $-659 $1,888
2372 16 Hp Inc (HPQ) Computer Hardware And Storage 156,000 Sold Some -54,000 $12.32 $-665 $1,921
102 3 Regions Financial Corp (RF) Banks 135,000 Sold Some -90,000 $7.85 $-706 $1,059
11 1 Western Digital Corp (WDC) Computer Hardware And Storage 44,300 Sold Some -16,200 $47.24 $-765 $2,092
1615 187 Synovus Financial Corp (SNV) Banks 41,144 Sold Some -27,428 $28.91 $-792 $1,189
2670 7 Oshkosh Corp (OSK) Construction And Mining Machinery 54,437 Sold Some -19,654 $40.86 $-803 $2,224
212 1 Piper Jaffray Cos (PJC) Institutional Brokerage 64,664 Sold Some -16,776 $49.56 $-831 $3,204
2821 31 Applied Materials Inc (AMAT) Semiconductor Mfg 121,160 Sold Some -41,040 $21.18 $-869 $2,566
2952 26 Du Pont Ei De Nemours (DD) Specialty Chemicals 42,600 Sold Some -14,300 $63.32 $-905 $2,697
685 9 America Movil Cl L (AMX) Telecom Carriers 171,800 Sold Some -61,200 $15.53 $-950 $2,668
2672 19 Legg Mason Inc (LM) Investment Management 76,620 Sold Some -28,080 $34.68 $-973 $2,657
3012 21 Kimberly-Clark Corp (KMB) Household Products 0 Sold All -7,322 $134.50 $-984 $0
2497 2 Bunge Ltd (BG) Agricultural Products Whslrs 52,000 Sold Some -18,000 $56.66 $-1,020 $2,946
2976 33 Oracle Corp (ORCL) Infrastructure Software 0 Sold All -26,689 $40.91 $-1,091 $0
3030 69 Intel Corp (INTC) Semiconductor Devices 124,701 Sold Some -33,771 $32.34 $-1,092 $4,034
2656 18 Parker Hannifin Corp (PH) Flow Control Equipment 27,120 Sold Some -10,080 $111.08 $-1,119 $3,012
355 1 Arrow Electronics Inc (ARW) Technology Distributors 52,000 Sold Some -18,000 $64.41 $-1,159 $3,349
3010 11 Aetna Inc (AET) Managed Care 29,835 Sold Some -10,899 $112.34 $-1,224 $3,351
2532 19 Freeport-Mcmoran Inc (FCX) Base Metals 344,600 Sold Some -122,400 $10.34 $-1,265 $3,563
2801 62 Nvidia Corp (NVDA) Semiconductor Devices 103,080 Sold Some -36,720 $35.63 $-1,308 $3,672
2891 65 Skyworks Solutions Inc (SWKS) Semiconductor Devices 25,920 Sold Some -17,280 $77.90 $-1,346 $2,019
3002 31 Dow Chemical Cothe (DOW) Basic And Diversified Chemicals 77,540 Sold Some -27,360 $50.86 $-1,391 $3,943
2982 9 Cigna Corp (CI) Managed Care 18,820 Sold Some -11,880 $137.24 $-1,630 $2,582
3079 54 Apple Inc (AAPL) Communications Equipment 68,219 Sold Some -18,234 $108.98 $-1,987 $7,435
3072 34 Microsoft Corp (MSFT) Infrastructure Software 105,204 Sold Some -37,647 $55.23 $-2,079 $5,810
3063 12 Unitedhealth Group Inc (UNH) Managed Care 25,200 Sold Some -16,200 $128.89 $-2,088 $3,248
2610 23 Alphabet Inc-Cl C (GOOG) Internet Media 9,036 Sold Some -2,980 $744.95 $-2,219 $6,731
3033 16 Goldman Sachs Group Inc (GS) Institutional Brokerage 52,851 Sold Some -18,000 $156.97 $-2,825 $8,296
3071 42 Intl Business Machines Corp (IBM) It Services 61,811 Sold Some -19,706 $151.44 $-2,984 $9,361
2 1 Yahoo Inc (YHOO) Internet Media 1,320,450 Sold Some -318,640 $36.81 $-11,729 $48,605