Highland Private Wealth Management (1664772) Portfolio


Number of Companies: 35
Inflow: $26,383 K
Outflow: $-175 K
Net Flow: $26,207 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)
3072 34 Microsoft Corp (MSFT) Infrastructure Software 407,101 Added More 270,060 $55.23 $14,915 $22,484
3080 12 Amazoncom Inc (AMZN) Ecommerce Discretionary 20,065 Added More 1,779 $593.64 $1,056 $11,911
3079 54 Apple Inc (AAPL) Communications Equipment 7,909 New Holding 7,909 $108.98 $862 $862
3076 10 Johnson And Johnson (JNJ) Large Pharma 7,054 New Holding 7,054 $108.19 $763 $763
3049 6 General Electric Co (GE) Electrical Power Equipment 18,852 New Holding 18,852 $31.79 $599 $599
3058 62 Verizon Communications Inc (VZ) Telecom Carriers 8,676 New Holding 8,676 $54.08 $469 $469
3077 22 Procter And Gamble Cothe (PG) Household Products 5,561 New Holding 5,561 $82.30 $457 $457
3062 63 Atandt Inc (T) Telecom Carriers 10,660 New Holding 10,660 $39.16 $417 $417
3075 13 Exxon Mobil Corp (XOM) Integrated Oils 8,146 Added More 4,822 $83.58 $403 $680
3059 25 Pepsico Inc (PEP) Beverages 3,520 New Holding 3,520 $102.48 $360 $360
3030 69 Intel Corp (INTC) Semiconductor Devices 10,910 New Holding 10,910 $32.34 $352 $352
3074 26 Facebook Inc-A (FB) Internet Media 13,535 Added More 3,019 $114.09 $344 $1,544
2976 33 Oracle Corp (ORCL) Infrastructure Software 7,268 New Holding 7,268 $40.91 $297 $297
3057 15 Jpmorgan Chase And Co (JPM) Diversified Banks 4,993 New Holding 4,993 $59.22 $295 $295
3051 57 Gilead Sciences Inc (GILD) Biotech 3,152 New Holding 3,152 $91.86 $289 $289
175 2 3m Co (MMM) Containers And Packaging 1,706 New Holding 1,706 $166.63 $284 $284
3023 7 Merck And Co Inc (MRK) Large Pharma 5,265 New Holding 5,265 $52.91 $278 $278
3071 42 Intl Business Machines Corp (IBM) It Services 1,816 New Holding 1,816 $151.44 $275 $275
2987 27 Nike Inc -Cl B (NKE) Apparel Footwear And Acc Design 4,324 New Holding 4,324 $61.47 $265 $265
3068 39 Mcdonalds Corp (MCD) Restaurants 2,105 New Holding 2,105 $125.68 $264 $264
3029 24 Coca-Cola Cothe (KO) Beverages 5,464 New Holding 5,464 $46.38 $253 $253
2979 53 Cisco Systems Inc (CSCO) Communications Equipment 8,741 New Holding 8,741 $28.46 $248 $248
3050 14 Wells Fargo And Co (WFC) Diversified Banks 5,064 New Holding 5,064 $48.36 $244 $244
3061 12 Chevron Corp (CVX) Integrated Oils 7,176 Added More 2,561 $95.40 $244 $684
3031 8 Pfizer Inc (PFE) Large Pharma 8,150 New Holding 8,150 $29.63 $241 $241
3064 14 Walt Disney Cothe (DIS) Entertainment Content 2,380 New Holding 2,380 $99.30 $236 $236
3044 9 Costco Wholesale Corp (COST) Mass Merchants 1,446 New Holding 1,446 $157.58 $227 $227
3066 59 Amgen Inc (AMGN) Biotech 1,516 New Holding 1,516 $149.92 $227 $227
3014 6 Bristol-Myers Squibb Co (BMY) Large Pharma 3,555 New Holding 3,555 $63.88 $227 $227
3070 18 Home Depot Inc (HD) Home Products Stores 1,591 New Holding 1,591 $133.42 $212 $212
3005 17 Lowes Cos Inc (LOW) Home Products Stores 2,705 New Holding 2,705 $75.75 $204 $204
2985 20 Colgate-Palmolive Co (CL) Household Products 2,846 New Holding 2,846 $70.65 $201 $201
3032 17 Cvs Health Corp (CVS) Food And Drug Stores 1,918 New Holding 1,918 $103.73 $198 $198
2778 11 Bank Of America Corp (BAC) Diversified Banks 12,010 New Holding 12,010 $13.52 $162 $162
3016 38 Starbucks Corp (SBUX) Restaurants 18,007 Sold Some -2,947 $59.70 $-175 $1,075