Cumberland Partners Ltd (1578985) Portfolio


Number of Companies: 55
Inflow: $60,565 K
Outflow: $-82,243 K
Net Flow: $-21,678 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)
83 2 Healthsouth Corp (HLS) Health Care Facilities 559,025 Added More 358,325 $38.82 $13,910 $21,701
3072 34 Microsoft Corp (MSFT) Infrastructure Software 256,395 New Holding 256,395 $51.17 $13,119 $13,119
42 1 Interval Leisure Group (IILG) Lodging 755,000 New Holding 755,000 $15.90 $12,004 $12,004
502 2 Agrium Inc (AGU) Agricultural Chemicals 288,582 Added More 84,337 $90.42 $7,625 $26,093
3020 26 United Technologies Corp (UTX) Aircraft And Parts 167,582 Added More 56,502 $102.55 $5,794 $17,185
3050 14 Wells Fargo And Co (WFC) Diversified Banks 365,270 Added More 85,985 $47.33 $4,069 $17,288
80 1 Accenture Plc-Cl A (ACN) It Services 56,690 Added More 12,950 $113.29 $1,467 $6,422
2384 4 British American Tob (BTI) Tobacco 54,365 Added More 11,025 $129.48 $1,427 $7,039
3066 59 Amgen Inc (AMGN) Biotech 1,847 New Holding 1,847 $152.15 $281 $281
3065 7 Philip Morris International (PM) Tobacco 35,750 Added More 2,700 $101.72 $274 $3,636
9 1 Devon Energy Corp (DVN) Exploration And Production 7,000 New Holding 7,000 $36.25 $253 $253
2846 20 Lincoln National Corp (LNC) Life Insurance 5,600 New Holding 5,600 $38.77 $217 $217
621 13 Wi-Lan Inc (WILN) Communications Equipment 30,000 New Holding 30,000 $2.54 $76 $76
2678 10 Bank Of Nova Scotia (BNS) Diversified Banks 103,199 Added More 696 $49.01 $34 $5,057
2772 10 Cenovus Energy Inc (CVE) Integrated Oils 16,500 Added More 700 $13.82 $9 $228
2675 9 Bank Of Montreal (BMO) Diversified Banks 17,150 No Change 0 $63.39 $0 $1,087
2056 40 Phh Corp (PHH) Mortgage Finance 20,000 No Change 0 $13.32 $0 $266
2961 20 Stanley Black And Decker Inc (SWK) Home Improvement 2,539 No Change 0 $111.22 $0 $282
1624 21 Taseko Mines Ltd (TGB) 13,000 No Change 0 $0.49 $0 $6
631 15 Mcewen Mining Inc (MUX) Precious Metal Mining 10,000 No Change 0 $3.85 $0 $38
380 3 Stein Mart Inc (SMRT) Specialty Apparel Stores 15,000 No Change 0 $7.72 $0 $115
2584 5 Toyota Motor Corp (TM) Automobiles 26,040 Sold Some -25 $99.99 $-2 $2,603
2995 32 Tjx Companies Inc (TJX) Specialty Apparel Stores 38,625 Sold Some -300 $77.23 $-23 $2,983
2508 4 Sanofi (SNY) Large Pharma 24,750 Sold Some -750 $41.85 $-31 $1,035
643 6 Cowen Group Inc-Class A (COWN) Institutional Brokerage 1,155,100 Sold Some -13,300 $2.96 $-39 $3,419
2971 79 Occidental Petroleum Corp (OXY) Exploration And Production 38,265 Sold Some -625 $75.56 $-47 $2,891
2897 18 Brookfield Asset Manage-Cl A (BAM) Real Estate Owners And Developers 230,528 Sold Some -1,680 $33.07 $-55 $7,623
2861 30 Abbott Laboratories (ABT) Life Science Equipment 50,150 Sold Some -1,550 $39.31 $-60 $1,971
801 5 Discovery Communications-A (DISCA) Entertainment Content 151,350 Sold Some -2,800 $25.23 $-70 $3,818
2629 16 Enbridge Inc (ENB) Midstream Oil And Gas 13,680 Sold Some -2,701 $42.36 $-114 $579
189 1 Bce Inc (BCE) Telecom Carriers 18,373 Sold Some -2,656 $47.31 $-125 $869
3047 19 Honeywell International Inc (HON) Comml And Res Bldg Equip And Sys 30,605 Sold Some -1,100 $116.32 $-127 $3,559
127 4 Micron Technology Inc (MU) Semiconductor Devices 0 Sold All -10,000 $13.76 $-137 $0
3027 7 Comcast Corp-Class A (CMCSA) Cable And Satellite 51,225 Sold Some -2,475 $65.19 $-161 $3,339
3024 13 Time Warner Inc (TWX) Entertainment Content 98,750 Sold Some -2,400 $73.54 $-176 $7,262
3011 13 Citigroup Inc (C) Diversified Banks 219,604 Sold Some -5,487 $42.39 $-232 $9,309
2778 11 Bank Of America Corp (BAC) Diversified Banks 857,017 Sold Some -26,467 $13.27 $-351 $11,372
3079 54 Apple Inc (AAPL) Communications Equipment 168,794 Sold Some -3,719 $95.60 $-355 $16,136
2950 8 General Motors Co (GM) Automobiles 229,170 Sold Some -13,900 $28.30 $-393 $6,485
683 4 Elizabeth Arden Inc (RDEN) Household Products 313,288 Sold Some -32,000 $13.76 $-440 $4,310
3029 24 Coca-Cola Cothe (KO) Beverages 212,632 Sold Some -11,773 $45.33 $-533 $9,638
2790 12 Royal Bank Of Canada (RY) Diversified Banks 355,456 Sold Some -13,530 $59.09 $-799 $21,003
3052 34 Visa Inc-Class A Shares (V) Consumer Finance 190,447 Sold Some -11,608 $74.17 $-860 $14,125
2993 54 Schlumberger Ltd (SLB) Oil And Gas Services And Equip 342,255 Sold Some -13,850 $79.08 $-1,095 $27,065
3036 50 American International Group (AIG) P And C Insurance 473,292 Sold Some -27,525 $52.89 $-1,455 $25,032
2892 267 Toronto-Dominion Bank (TD) Banks 1,047,622 Sold Some -41,582 $42.93 $-1,785 $44,974
3057 15 Jpmorgan Chase And Co (JPM) Diversified Banks 775,750 Sold Some -34,143 $62.14 $-2,121 $48,205
2527 9 Suncor Energy Inc (SU) Integrated Oils 1,347,473 Sold Some -79,172 $27.73 $-2,195 $37,365
284 8 Pembina Pipeline Corp (PBA) Midstream Oil And Gas 1,521,700 Sold Some -77,025 $30.34 $-2,336 $46,168
2484 13 Pultegroup Inc (PHM) Homebuilders 1,699,105 Sold Some -132,595 $19.49 $-2,584 $33,115
2982 9 Cigna Corp (CI) Managed Care 157,642 Sold Some -67,983 $127.99 $-8,701 $20,176
4 1 Newell Rubbermaid Inc (NWL) Home And Office Furnishings 676,740 Sold Some -207,345 $48.57 $-10,070 $32,869
1857 40 Mitel Networks Corp (MITL) Communications Equipment 2,012,730 Sold Some -1,712,790 $6.29 $-10,773 $12,660
2931 30 Capital One Financial Corp (COF) Consumer Finance 188,006 Sold Some -223,338 $63.51 $-14,184 $11,940
2837 2 Carnival Corp (CCL) Cruise Lines 0 Sold All -447,915 $44.20 $-19,797 $0