Cedar Capital Llc (1666746) Portfolio


Number of Companies: 36
Inflow: $5,005 K
Outflow: $-6,704 K
Net Flow: $-1,698 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)
599 41 Felcor Lodging Trust Inc (FCH) Reit 340,931 New Holding 340,931 $6.23 $2,124 $2,124
730 15 Colony Capital Inc - A (CLNY) Mortgage Finance 127,398 New Holding 127,398 $15.35 $1,955 $1,955
2 1 Yahoo Inc (YHOO) Internet Media 6,810 New Holding 6,810 $37.56 $255 $255
3077 22 Procter And Gamble Cothe (PG) Household Products 2,672 New Holding 2,672 $84.67 $226 $226
3058 62 Verizon Communications Inc (VZ) Telecom Carriers 3,889 New Holding 3,889 $55.84 $217 $217
2984 25 Netflix Inc (NFLX) Internet Media 3,036 Added More 477 $91.48 $43 $277
2986 89 Salesforcecom Inc (CRM) Application Software 4,093 Added More 530 $79.41 $42 $325
2592 79 Adobe Systems Inc (ADBE) Application Software 3,308 Added More 343 $95.79 $32 $316
3062 63 Atandt Inc (T) Telecom Carriers 5,875 Added More 686 $43.21 $29 $253
3022 6 Altria Group Inc (MO) Tobacco 4,352 Added More 418 $68.96 $28 $300
3065 7 Philip Morris International (PM) Tobacco 9,353 Added More 234 $101.72 $23 $951
2990 40 Mondelez International Inc-A (MDLZ) Packaged Food 9,850 Added More 340 $45.51 $15 $448
2978 41 Cognizant Tech Solutions-A (CTSH) It Services 4,435 Added More 177 $57.24 $10 $253
528 1 Rite Aid Corp (RAD) Food And Drug Stores 10,000 No Change 0 $7.49 $0 $74
2051 60 Arena Pharmaceuticals Inc (ARNA) Specialty Pharma 16,500 No Change 0 $1.71 $0 $28
3028 34 Thermo Fisher Scientific Inc (TMO) Life Science Equipment 1,665 Sold Some -14 $147.76 $-2 $246
3063 12 Unitedhealth Group Inc (UNH) Managed Care 3,786 Sold Some -143 $141.20 $-20 $534
3079 54 Apple Inc (AAPL) Communications Equipment 2,963 Sold Some -350 $95.60 $-33 $283
3072 34 Microsoft Corp (MSFT) Infrastructure Software 11,437 Sold Some -668 $51.17 $-34 $585
3071 42 Intl Business Machines Corp (IBM) It Services 4,687 Sold Some -292 $151.78 $-44 $711
3074 26 Facebook Inc-A (FB) Internet Media 6,141 Sold Some -415 $114.28 $-47 $701
2976 33 Oracle Corp (ORCL) Infrastructure Software 16,725 Sold Some -2,121 $40.93 $-86 $684
2832 19 Williams Cos Inc (WMB) Midstream Oil And Gas 68,886 Sold Some -10,135 $21.63 $-219 $1,490
3075 13 Exxon Mobil Corp (XOM) Integrated Oils 0 Sold All -2,424 $93.74 $-227 $0
2238 95 Sunstone Hotel Investors Inc (SHO) Reit 173,422 Sold Some -21,522 $12.07 $-259 $2,093
2382 1 Northern Trust Corp (NTRS) Instl Trust Fiduciary And Custody 5,022 Sold Some -5,000 $66.26 $-331 $332
317 25 Omega Healthcare Investors (OHI) Reit 80,208 Sold Some -10,138 $33.95 $-344 $2,723
134 9 Healthcare Realty Trust Inc (HR) Reit 81,182 Sold Some -10,078 $34.99 $-352 $2,840
288 23 Alexandria Real Estate Equit (ARE) Reit 28,257 Sold Some -3,515 $103.52 $-363 $2,925
2428 105 Ryman Hospitality Properties (RHP) Reit 62,448 Sold Some -7,851 $50.65 $-397 $3,162
2736 118 Ventas Inc (VTR) Reit 50,216 Sold Some -6,251 $72.82 $-455 $3,656
2611 15 Oneok Inc (OKE) Midstream Oil And Gas 86,349 Sold Some -10,630 $47.45 $-504 $4,097
2324 99 Hospitality Properties Trust (HPT) Reit 190,487 Sold Some -23,498 $28.80 $-676 $5,486
649 13 Starwood Property Trust Inc (STWD) Mortgage Finance 262,118 Sold Some -32,672 $20.72 $-676 $5,431
2430 106 Stag Industrial Inc (STAG) Reit 236,658 Sold Some -29,862 $23.81 $-711 $5,634
2271 96 Lexington Realty Trust (LXP) Reit 663,208 Sold Some -90,543 $10.11 $-915 $6,705