Archon Partners Llc (1454424) Portfolio


Number of Companies: 37
Inflow: $26,101 K
Outflow: $-18,682 K
Net Flow: $7,418 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)
3080 12 Amazoncom Inc (AMZN) Ecommerce Discretionary 10,683 New Holding 10,683 $593.64 $6,341 $6,341
2869 51 Baker Hughes Inc (BHI) Oil And Gas Services And Equip 96,500 New Holding 96,500 $43.83 $4,229 $4,229
2592 79 Adobe Systems Inc (ADBE) Application Software 37,500 New Holding 37,500 $93.80 $3,517 $3,517
2917 21 Molson Coors Brewing Co -B (TAP) Beverages 112,500 Added More 35,000 $96.18 $3,366 $10,820
2580 8 Discovery Communications-C (DISCK) Entertainment Content 210,000 Added More 101,400 $27.00 $2,737 $5,670
3019 8 Union Pacific Corp (UNP) Rail Freight 100,000 Added More 12,000 $79.55 $954 $7,955
2475 7 Scripps Networks Inter-Cl A (SNI) Entertainment Content 145,700 Added More 14,200 $65.50 $930 $9,543
3078 18 Priceline Group Incthe (PCLN) Internet Based Services 6,400 Added More 700 $1288.95 $902 $8,249
2180 15 Newmarket Corp (NEU) Specialty Chemicals 29,480 Added More 1,480 $396.26 $586 $11,681
2443 17 Federated Investors Inc-Cl B (FII) Investment Management 300,000 Added More 19,600 $28.85 $565 $8,655
3031 8 Pfizer Inc (PFE) Large Pharma 327,000 Added More 13,500 $29.63 $400 $9,692
2998 8 Express Scripts Holding Co (ESRX) Health Care Supply Chain 131,500 Added More 4,500 $68.69 $309 $9,032
3005 17 Lowes Cos Inc (LOW) Home Products Stores 134,000 Added More 4,000 $75.75 $303 $10,150
2936 25 Ppg Industries Inc (PPG) Specialty Chemicals 87,000 Added More 2,600 $111.48 $289 $9,699
3036 50 American International Group (AIG) P And C Insurance 212,100 Added More 4,200 $54.04 $227 $11,464
2614 12 Autonation Inc (AN) Automotive Retailers 25,800 Added More 4,700 $46.68 $219 $1,204
3050 14 Wells Fargo And Co (WFC) Diversified Banks 303,500 Added More 3,500 $48.36 $169 $14,677
3037 33 Mastercard Inc-Class A (MA) Consumer Finance 72,000 Added More 300 $94.50 $28 $6,804
3052 34 Visa Inc-Class A Shares (V) Consumer Finance 101,300 Added More 300 $76.48 $22 $7,747
3065 7 Philip Morris International (PM) Tobacco 78,000 No Change 0 $98.11 $0 $7,652
2713 10 Liberty Media Corp - A (LMCA) Entertainment Content 22,600 No Change 0 $38.63 $0 $873
3048 15 Nvr Inc (NVR) Homebuilders 692 No Change 0 $1732.40 $0 $1,198
3027 7 Comcast Corp-Class A (CMCSA) Cable And Satellite 148,000 No Change 0 $61.08 $0 $9,039
3064 14 Walt Disney Cothe (DIS) Entertainment Content 101,500 No Change 0 $99.30 $0 $10,079
3074 26 Facebook Inc-A (FB) Internet Media 65,900 No Change 0 $114.09 $0 $7,519
3079 54 Apple Inc (AAPL) Communications Equipment 94,500 No Change 0 $108.98 $0 $10,299
3022 6 Altria Group Inc (MO) Tobacco 128,400 No Change 0 $62.66 $0 $8,045
2774 60 Level 3 Communications Inc (LVLT) Telecom Carriers 32,700 No Change 0 $52.84 $0 $1,728
3067 10 Lockheed Martin Corp (LMT) Defense Primes 51,000 No Change 0 $221.50 $0 $11,296
2929 20 Davita Healthcare Partners I (DVA) Health Care Facilities 101,000 No Change 0 $73.37 $0 $7,411
2970 31 Fiserv Inc (FISV) Consumer Finance 146,600 No Change 0 $102.58 $0 $15,038
2973 23 Constellation Brands Inc-A (STZ) Beverages 8,900 Sold Some -500 $151.08 $-75 $1,344
554 3 Crown Holdings Inc (CCK) Containers And Packaging 136,800 Sold Some -18,700 $49.59 $-927 $6,783
2655 2 Sensata Technologies Holding (ST) Factory Automation Equipment 40,800 Sold Some -48,200 $38.84 $-1,872 $1,584
89 1 Wynn Resorts Ltd (WYNN) Casinos And Gaming 11,900 Sold Some -40,100 $93.43 $-3,746 $1,111
181 1 Lennar Corp-A (LEN) Homebuilders 0 Sold All -115,000 $48.36 $-5,561 $0
2822 14 Dr Horton Inc (DHI) Homebuilders 0 Sold All -215,000 $30.23 $-6,499 $0