Mizuho Securities Usa Inc (1513006) Portfolio


Number of Companies: 99
Inflow: $213,578 K
Outflow: $-61,684 K
Net Flow: $151,893 K
2016-06-30: Recent SEC Filing
2016-03-31: Previous SEC Filing


Receive a FREE weekly executive review of stocks moving into the top 10, taking the top industy spot or moving up within their industry. Sent directly to your Inbox every Saturday. Sign up today and get last week's review immediately sent to you.

We value and respect your privacy. Please read our Terms and Conditions which states our firm commitment to your privacy. Your email address will not be shared with a third party, nor will it be sold or used for purposes other than subscription for the weekly review.

Mffais Overall Rank Mffais Industry Rank Company Industry Shares Action Qty Chg Close Price Mffais Flow(K) Current Value (K)
3079 54 Apple Inc (AAPL) Communications Equipment 716,370 Added More 584,870 $95.60 $55,913 $68,484
2909 5 Reynolds American Inc (RAI) Tobacco 233,000 New Holding 233,000 $53.93 $12,565 $12,565
1653 13 Under Armour Inc-Class A (UA) Apparel Footwear And Acc Design 297,000 New Holding 297,000 $40.13 $11,918 $11,918
2947 88 Intuit Inc (INTU) Application Software 98,300 New Holding 98,300 $111.61 $10,971 $10,971
3071 42 Intl Business Machines Corp (IBM) It Services 86,785 Added More 71,785 $151.78 $10,895 $13,172
4 1 Newell Rubbermaid Inc (NWL) Home And Office Furnishings 153,000 New Holding 153,000 $48.57 $7,431 $7,431
2994 16 Corning Inc (GLW) Electronics Components 348,400 New Holding 348,400 $20.48 $7,135 $7,135
3014 6 Bristol-Myers Squibb Co (BMY) Large Pharma 92,300 New Holding 92,300 $73.55 $6,788 $6,788
46 2 Sarepta Therapeutics Inc (SRPT) Biotech 348,800 New Holding 348,800 $19.07 $6,651 $6,651
2930 31 Exelon Corp (EXC) Integrated Utilities 180,700 New Holding 180,700 $36.36 $6,570 $6,570
2901 3 Mattel Inc (MAT) Toys And Games 163,800 New Holding 163,800 $31.29 $5,125 $5,125
2690 18 Anheuser-Busch Inbev (BUD) Beverages 37,500 New Holding 37,500 $131.68 $4,938 $4,938
3050 14 Wells Fargo And Co (WFC) Diversified Banks 100,000 New Holding 100,000 $47.33 $4,733 $4,733
2979 53 Cisco Systems Inc (CSCO) Communications Equipment 151,970 New Holding 151,970 $28.69 $4,360 $4,360
150 7 Cerner Corp (CERN) Application Software 70,500 New Holding 70,500 $58.60 $4,131 $4,131
2018 14 Sunpower Corp (SPWR) Renewable Energy Equipment 237,800 New Holding 237,800 $15.49 $3,683 $3,683
2623 14 Restoration Hardware Holding (RH) Home Products Stores 127,400 New Holding 127,400 $28.68 $3,653 $3,653
2170 240 Peoples United Financial (PBCT) Banks 234,600 New Holding 234,600 $14.66 $3,439 $3,439
1815 13 Solarcity Corp (SCTY) Renewable Energy Equipment 141,600 Added More 141,300 $23.93 $3,381 $3,388
439 11 Aes Corp (AES) Integrated Utilities 270,300 New Holding 270,300 $12.48 $3,373 $3,373
2375 11 Xpo Logistics Inc (XPO) Trucking 97,400 New Holding 97,400 $26.26 $2,557 $2,557
2783 9 Nrg Energy Inc (NRG) Power Generation 152,300 New Holding 152,300 $14.99 $2,282 $2,282
316 16 Hess Corp (HES) Exploration And Production 35,000 New Holding 35,000 $60.10 $2,103 $2,103
204 7 Ambarella Inc (AMBA) Semiconductor Devices 98,100 Added More 33,500 $50.81 $1,702 $4,984
2388 6 Sears Holdings Corp (SHLD) Department Stores 124,800 New Holding 124,800 $13.61 $1,698 $1,698
553 14 Cree Inc (CREE) Semiconductor Devices 58,200 New Holding 58,200 $24.44 $1,422 $1,422
2 1 Yahoo Inc (YHOO) Internet Media 180,900 Added More 30,900 $37.56 $1,160 $6,794
3016 38 Starbucks Corp (SBUX) Restaurants 20,000 New Holding 20,000 $57.12 $1,142 $1,142
2494 56 Frontier Communications Corp (FTR) Telecom Carriers 222,218 New Holding 222,218 $4.94 $1,097 $1,097
35 1 Lions Gate Entertainment Cor (LGF) Entertainment Content 52,200 New Holding 52,200 $20.23 $1,056 $1,056
175 2 3m Co (MMM) Containers And Packaging 5,985 New Holding 5,985 $175.12 $1,048 $1,048
3021 55 Celgene Corp (CELG) Biotech 10,000 New Holding 10,000 $98.63 $986 $986
259 8 Intercept Pharmaceuticals In (ICPT) Biotech 6,900 New Holding 6,900 $142.68 $984 $984
3033 16 Goldman Sachs Group Inc (GS) Institutional Brokerage 5,985 New Holding 5,985 $148.58 $889 $889
3063 12 Unitedhealth Group Inc (UNH) Managed Care 5,985 New Holding 5,985 $141.20 $845 $845
3078 18 Priceline Group Incthe (PCLN) Internet Based Services 650 New Holding 650 $1248.41 $811 $811
461 4 Mattress Firm Holding Corp (MFRM) Home Products Stores 24,000 New Holding 24,000 $33.55 $805 $805
3056 27 Boeing Cothe (BA) Aircraft And Parts 5,985 New Holding 5,985 $129.87 $777 $777
3070 18 Home Depot Inc (HD) Home Products Stores 5,985 New Holding 5,985 $127.69 $764 $764
2373 6 3d Systems Corp (DDD) Other Hardware 420,400 Added More 55,600 $13.69 $761 $5,755
3076 10 Johnson And Johnson (JNJ) Large Pharma 5,985 New Holding 5,985 $121.30 $725 $725
3068 39 Mcdonalds Corp (MCD) Restaurants 5,985 New Holding 5,985 $120.34 $720 $720
3003 49 Travelers Cos Incthe (TRV) P And C Insurance 5,985 New Holding 5,985 $119.04 $712 $712
2989 128 American Tower Corp (AMT) Reit 5,500 New Holding 5,500 $113.61 $624 $624
3020 26 United Technologies Corp (UTX) Aircraft And Parts 5,985 New Holding 5,985 $102.55 $613 $613
3064 14 Walt Disney Cothe (DIS) Entertainment Content 5,985 New Holding 5,985 $97.82 $585 $585
3075 13 Exxon Mobil Corp (XOM) Integrated Oils 5,985 New Holding 5,985 $93.74 $561 $561
1586 3 Kandi Technologies Group Inc (KNDI) Automobiles 210,800 Added More 78,400 $7.15 $560 $1,507
93 2 Xerox Corp (XRX) It Services 54,800 New Holding 54,800 $9.49 $520 $520
3077 22 Procter And Gamble Cothe (PG) Household Products 5,985 New Holding 5,985 $84.67 $506 $506
2770 8 Caterpillar Inc (CAT) Construction And Mining Machinery 5,985 New Holding 5,985 $75.81 $453 $453
3052 34 Visa Inc-Class A Shares (V) Consumer Finance 5,985 New Holding 5,985 $74.17 $443 $443
3017 8 Wal-Mart Stores Inc (WMT) Mass Merchants 5,985 New Holding 5,985 $73.02 $437 $437
2952 26 Du Pont Ei De Nemours (DD) Specialty Chemicals 5,985 New Holding 5,985 $64.80 $387 $387
3057 15 Jpmorgan Chase And Co (JPM) Diversified Banks 5,985 New Holding 5,985 $62.14 $371 $371
3000 32 American Express Co (AXP) Consumer Finance 5,985 New Holding 5,985 $60.76 $363 $363
2606 26 Abercrombie And Fitch Co-Cl A (ANF) Specialty Apparel Stores 20,000 New Holding 20,000 $17.81 $356 $356
3023 7 Merck And Co Inc (MRK) Large Pharma 5,985 New Holding 5,985 $57.61 $344 $344
3058 62 Verizon Communications Inc (VZ) Telecom Carriers 5,985 New Holding 5,985 $55.84 $334 $334
2987 27 Nike Inc -Cl B (NKE) Apparel Footwear And Acc Design 5,985 New Holding 5,985 $55.20 $330 $330
3072 34 Microsoft Corp (MSFT) Infrastructure Software 5,985 New Holding 5,985 $51.17 $306 $306
3029 24 Coca-Cola Cothe (KO) Beverages 5,985 New Holding 5,985 $45.33 $271 $271
3031 8 Pfizer Inc (PFE) Large Pharma 5,985 New Holding 5,985 $35.21 $210 $210
236 1 Alcoa Inc (AA) Base Metals 22,050 New Holding 22,050 $9.27 $204 $204
2173 45 Mannkind Corp (MNKD) Biotech 151,600 Added More 51,700 $1.16 $59 $175
795 1 Conns Inc (CONN) Consumer Elec And Applc Stores 91,600 Added More 1,800 $7.52 $13 $688
1560 14 Virnetx Holding Corp (VHC) Infrastructure Software 0 Sold All -50,400 $4.00 $-201 $0
2573 17 United States Steel Corp (X) Steel Producers 0 Sold All -16,500 $16.86 $-278 $0
2576 16 Masco Corp (MAS) Home Improvement 101,700 Sold Some -9,400 $30.94 $-290 $3,146
2801 62 Nvidia Corp (NVDA) Semiconductor Devices 0 Sold All -6,200 $47.01 $-291 $0
173 4 Ironwood Pharmaceuticals Inc (IRWD) Specialty Pharma 0 Sold All -23,500 $13.07 $-307 $0
586 5 Gap Incthe (GPS) Specialty Apparel Stores 0 Sold All -16,500 $21.22 $-350 $0
971 2 Honda Motor Co Ltd (HMC) Automobiles 0 Sold All -16,000 $25.33 $-405 $0
2900 87 Nuance Communications Inc (NUAN) Application Software 0 Sold All -26,800 $15.63 $-418 $0
2109 12 Sony Corp (SNE) Consumer Electronics 0 Sold All -17,453 $29.35 $-512 $0
162 3 Depomed Inc (DEPO) Specialty Pharma 0 Sold All -34,500 $19.62 $-676 $0
121 7 Carrizo Oil And Gas Inc (CRZO) Exploration And Production 0 Sold All -20,000 $35.85 $-717 $0
2399 4 Weight Watchers Intl Inc (WTW) Personal Care Services 15,000 Sold Some -64,400 $11.63 $-748 $174
406 10 Seadrill Ltd (SDRL) Oil And Gas Services And Equip 24,000 Sold Some -237,000 $3.24 $-767 $77
3010 11 Aetna Inc (AET) Managed Care 0 Sold All -7,500 $122.13 $-915 $0
1960 22 Rockwell Medical Inc (RMTI) Life Science Equipment 0 Sold All -126,800 $7.57 $-959 $0
2935 78 Anadarko Petroleum Corp (APC) Exploration And Production 0 Sold All -20,000 $53.25 $-1,065 $0
2532 19 Freeport-Mcmoran Inc (FCX) Base Metals 0 Sold All -107,200 $11.14 $-1,194 $0
2981 80 Eog Resources Inc (EOG) Exploration And Production 0 Sold All -15,000 $83.42 $-1,251 $0
66 1 Nuvasive Inc (NUVA) Medical Devices 0 Sold All -21,700 $59.72 $-1,295 $0
9 1 Devon Energy Corp (DVN) Exploration And Production 0 Sold All -40,000 $36.25 $-1,450 $0
2759 28 Coach Inc (COH) Specialty Apparel Stores 55,600 Sold Some -42,300 $40.74 $-1,723 $2,265
3038 56 Regeneron Pharmaceuticals (REGN) Biotech 0 Sold All -5,000 $349.23 $-1,746 $0
2546 26 Red Hat Inc (RHT) Infrastructure Software 16,900 Sold Some -25,800 $72.60 $-1,873 $1,226
2106 61 Opko Health Inc (OPK) Specialty Pharma 0 Sold All -204,000 $9.34 $-1,905 $0
988 17 Transocean Ltd (RIG) Oil And Gas Services And Equip 108,000 Sold Some -167,600 $11.89 $-1,992 $1,284
252 1 Jc Penney Co Inc (JCP) Department Stores 0 Sold All -224,600 $8.88 $-1,994 $0
3004 37 Yum Brands Inc (YUM) Restaurants 0 Sold All -25,000 $82.92 $-2,073 $0
2741 39 Ppl Corp (PPL) Utility Networks 0 Sold All -58,200 $37.75 $-2,197 $0
3051 57 Gilead Sciences Inc (GILD) Biotech 0 Sold All -30,000 $83.42 $-2,502 $0
2870 14 Monsanto Co (MON) Agricultural Chemicals 0 Sold All -30,000 $103.41 $-3,102 $0
3061 12 Chevron Corp (CVX) Integrated Oils 43,285 Sold Some -50,115 $104.83 $-5,253 $4,537
2875 29 Public Service Enterprise Gp (PEG) Integrated Utilities 0 Sold All -170,600 $46.61 $-7,951 $0
2778 11 Bank Of America Corp (BAC) Diversified Banks 0 Sold All -1,000,000 $13.27 $-13,270 $0