Hwg Holdings Lp (1599390) Portfolio


Number of Companies: 43
Inflow: $83,900 K
Outflow: $-67,736 K
Net Flow: $16,164 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)
3062 63 Atandt Inc (T) Telecom Carriers 262,949 New Holding 262,949 $39.16 $10,299 $10,299
882 10 Burshane Lpg Pakistan Ltd (BPL) Midstream Oil And Gas 100,769 New Holding 100,769 $67.94 $6,846 $6,846
3061 12 Chevron Corp (CVX) Integrated Oils 51,184 New Holding 51,184 $95.40 $4,882 $4,882
2818 5 Dollar General Corp (DG) Mass Merchants 53,633 New Holding 53,633 $85.59 $4,590 $4,590
2651 112 Realty Income Corp (O) Reit 72,355 New Holding 72,355 $62.50 $4,522 $4,522
323 10 Mellanox Technologies Ltd (MLNX) Semiconductor Devices 80,272 New Holding 80,272 $54.33 $4,361 $4,361
2875 29 Public Service Enterprise Gp (PEG) Integrated Utilities 91,671 New Holding 91,671 $47.13 $4,321 $4,321
3065 7 Philip Morris International (PM) Tobacco 43,224 New Holding 43,224 $98.11 $4,240 $4,240
2659 21 Xcel Energy Inc (XEL) Integrated Utilities 112,473 Added More 101,007 $41.82 $4,224 $4,703
250 7 Acadia Pharmaceuticals Inc (ACAD) Specialty Pharma 232,546 Added More 146,002 $27.95 $4,082 $6,501
3029 24 Coca-Cola Cothe (KO) Beverages 86,533 New Holding 86,533 $46.38 $4,014 $4,014
181 1 Lennar Corp-A (LEN) Homebuilders 82,510 New Holding 82,510 $48.36 $3,990 $3,990
1793 3 Briggs And Stratton (BGG) Engine And Transmission 140,296 New Holding 140,296 $23.92 $3,355 $3,355
2944 1 Emerson Electric Co (EMR) Industrial Automation Controls 60,445 New Holding 60,445 $54.38 $3,286 $3,286
720 16 Newmont Mining Corp (NEM) Precious Metal Mining 119,076 New Holding 119,076 $26.58 $3,165 $3,165
2871 31 Ross Stores Inc (ROST) Specialty Apparel Stores 54,491 New Holding 54,491 $57.90 $3,155 $3,155
1835 11 Commercial Metals Co (CMC) Steel Producers 115,518 New Holding 115,518 $16.96 $1,960 $1,960
552 4 Primoris Services Corp (PRIM) Infrastructure Construction 78,938 New Holding 78,938 $24.29 $1,918 $1,918
2801 62 Nvidia Corp (NVDA) Semiconductor Devices 50,256 New Holding 50,256 $35.63 $1,790 $1,790
423 7 New Jersey Resources Corp (NJR) Utility Networks 39,372 New Holding 39,372 $36.43 $1,434 $1,434
17 2 Hormel Foods Corp (HRL) Packaged Food 166,040 Added More 32,030 $43.24 $1,384 $7,179
2303 12 Fluor Corp (FLR) Infrastructure Construction 18,250 New Holding 18,250 $53.70 $980 $980
3075 13 Exxon Mobil Corp (XOM) Integrated Oils 8,450 New Holding 8,450 $83.58 $706 $706
2995 32 Tjx Companies Inc (TJX) Specialty Apparel Stores 4,896 New Holding 4,896 $78.34 $383 $383
542 13 Wgl Holdings Inc (WGL) Utility Networks 17,878 Added More 35 $72.37 $2 $1,293
852 23 Halozyme Therapeutics Inc (HALO) Biotech 0 Sold All -17,646 $9.47 $-167 $0
3022 6 Altria Group Inc (MO) Tobacco 99,465 Sold Some -5,565 $62.66 $-348 $6,232
3080 12 Amazoncom Inc (AMZN) Ecommerce Discretionary 0 Sold All -2,922 $593.64 $-1,734 $0
1561 18 Genomic Health Inc (GHDX) Life Science Equipment 0 Sold All -78,462 $24.77 $-1,943 $0
2781 29 Servicenow Inc (NOW) Infrastructure Software 0 Sold All -42,716 $61.18 $-2,613 $0
2797 69 Anacor Pharmaceuticals Inc (ANAC) Specialty Pharma 0 Sold All -48,910 $53.45 $-2,614 $0
376 3 Six Flags Entertainment Corp (SIX) Entertainment Facilities 0 Sold All -50,022 $55.49 $-2,775 $0
2784 12 Msci Inc (MSCI) Information Services 0 Sold All -39,815 $74.08 $-2,949 $0
2767 12 Southwest Airlines Co (LUV) Airlines 0 Sold All -79,922 $44.79 $-3,580 $0
97 2 Stampscom Inc (STMP) Internet Based Services 0 Sold All -35,438 $106.27 $-3,766 $0
3049 6 General Electric Co (GE) Electrical Power Equipment 0 Sold All -131,269 $31.79 $-4,173 $0
3072 34 Microsoft Corp (MSFT) Infrastructure Software 0 Sold All -83,467 $55.23 $-4,609 $0
108 8 Sovran Self Storage Inc (SSS) Reit 0 Sold All -40,892 $117.94 $-4,823 $0
2909 5 Reynolds American Inc (RAI) Tobacco 61,570 Sold Some -100,682 $50.31 $-5,065 $3,097
26 2 Cubesmart (CUBE) Reit 0 Sold All -157,179 $33.29 $-5,234 $0
2907 20 Dr Pepper Snapple Group Inc (DPS) Beverages 0 Sold All -65,253 $89.41 $-5,834 $0
3074 26 Facebook Inc-A (FB) Internet Media 0 Sold All -67,745 $114.09 $-7,729 $0
2725 116 Digital Realty Trust Inc (DLR) Reit 0 Sold All -87,835 $88.48 $-7,772 $0