Blue Edge Capital Llc (1599620) Portfolio


Number of Companies: 36
Inflow: $16,118 K
Outflow: $-1,498 K
Net Flow: $14,620 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)
2180 15 Newmarket Corp (NEU) Specialty Chemicals 8,397 New Holding 8,397 $396.26 $3,327 $3,327
3075 13 Exxon Mobil Corp (XOM) Integrated Oils 46,332 Added More 35,925 $83.58 $3,002 $3,872
3049 6 General Electric Co (GE) Electrical Power Equipment 56,941 Added More 41,080 $31.79 $1,305 $1,810
175 2 3m Co (MMM) Containers And Packaging 9,000 Added More 7,000 $166.63 $1,166 $1,499
2956 32 Dominion Resources Incva (D) Integrated Utilities 14,498 New Holding 14,498 $75.12 $1,089 $1,089
3034 27 Sherwin-Williams Cothe (SHW) Specialty Chemicals 3,680 New Holding 3,680 $284.67 $1,047 $1,047
3067 10 Lockheed Martin Corp (LMT) Defense Primes 4,454 New Holding 4,454 $221.50 $986 $986
2981 80 Eog Resources Inc (EOG) Exploration And Production 13,305 New Holding 13,305 $72.58 $965 $965
3071 42 Intl Business Machines Corp (IBM) It Services 8,500 Added More 4,000 $151.44 $605 $1,287
3074 26 Facebook Inc-A (FB) Internet Media 14,205 Added More 5,223 $114.09 $595 $1,620
480 3 Phillips 66 (PSX) Refining And Marketing 4,900 New Holding 4,900 $86.58 $424 $424
3076 10 Johnson And Johnson (JNJ) Large Pharma 7,200 Added More 3,785 $108.19 $409 $779
2886 77 Conocophillips (COP) Exploration And Production 9,500 New Holding 9,500 $40.27 $382 $382
2677 18 Nucor Corp (NUE) Steel Producers 5,600 New Holding 5,600 $47.29 $264 $264
3065 7 Philip Morris International (PM) Tobacco 2,140 New Holding 2,140 $98.11 $209 $209
3064 14 Walt Disney Cothe (DIS) Entertainment Content 3,073 Added More 1,073 $99.30 $106 $305
3070 18 Home Depot Inc (HD) Home Products Stores 7,950 Added More 472 $133.42 $62 $1,060
3029 24 Coca-Cola Cothe (KO) Beverages 6,300 Added More 1,200 $46.38 $55 $292
3057 15 Jpmorgan Chase And Co (JPM) Diversified Banks 13,918 Added More 833 $59.22 $49 $824
3032 17 Cvs Health Corp (CVS) Food And Drug Stores 6,514 Added More 319 $103.73 $33 $675
3063 12 Unitedhealth Group Inc (UNH) Managed Care 12,546 Added More 37 $128.89 $4 $1,617
3027 7 Comcast Corp-Class A (CMCSA) Cable And Satellite 26,464 Added More 75 $61.08 $4 $1,616
3021 55 Celgene Corp (CELG) Biotech 14,379 Added More 43 $100.08 $4 $1,439
3010 11 Aetna Inc (AET) Managed Care 10,963 Added More 33 $112.34 $3 $1,231
2926 16 Moodys Corp (MCO) Information Services 9,312 Added More 37 $96.55 $3 $899
3051 57 Gilead Sciences Inc (GILD) Biotech 11,573 Added More 31 $91.86 $2 $1,063
150 7 Cerner Corp (CERN) Application Software 18,471 Added More 50 $52.95 $2 $978
2993 54 Schlumberger Ltd (SLB) Oil And Gas Services And Equip 5,420 No Change 0 $73.75 $0 $399
3060 21 Blackrock Inc (BLK) Investment Management 2,972 Sold Some -16 $340.57 $-5 $1,012
3052 34 Visa Inc-Class A Shares (V) Consumer Finance 17,225 Sold Some -98 $76.48 $-7 $1,317
2987 27 Nike Inc -Cl B (NKE) Apparel Footwear And Acc Design 23,355 Sold Some -219 $61.47 $-13 $1,435
3077 22 Procter And Gamble Cothe (PG) Household Products 4,280 Sold Some -165 $82.30 $-13 $352
2804 16 Tractor Supply Company (TSCO) Home Products Stores 13,889 Sold Some -162 $90.45 $-14 $1,256
3050 14 Wells Fargo And Co (WFC) Diversified Banks 25,984 Sold Some -428 $48.36 $-20 $1,256
3016 38 Starbucks Corp (SBUX) Restaurants 30,550 Sold Some -368 $59.70 $-21 $1,823
2919 19 Universal Health Services-B (UHS) Health Care Facilities 0 Sold All -11,235 $124.72 $-1,401 $0