Girard Securities Inc (805867) Portfolio


Number of Companies: 79
Inflow: $4,705 K
Outflow: $-2,397 K
Net Flow: $2,308 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)
2826 41 Consolidated Edison Inc (ED) Utility Networks 9,359 New Holding 9,359 $76.62 $717 $717
2957 43 Sempra Energy (SRE) Utility Networks 4,626 New Holding 4,626 $104.05 $481 $481
2877 30 Dte Energy Company (DTE) Integrated Utilities 5,060 New Holding 5,060 $90.66 $458 $458
2792 26 Edison International (EIX) Integrated Utilities 17,687 Added More 5,500 $71.88 $395 $1,271
2993 54 Schlumberger Ltd (SLB) Oil And Gas Services And Equip 9,595 Added More 5,021 $73.75 $370 $707
3032 17 Cvs Health Corp (CVS) Food And Drug Stores 3,184 New Holding 3,184 $103.73 $330 $330
2651 112 Realty Income Corp (O) Reit 4,481 New Holding 4,481 $62.50 $280 $280
3058 62 Verizon Communications Inc (VZ) Telecom Carriers 24,443 Added More 4,465 $54.08 $241 $1,321
2701 17 Whirlpool Corp (WHR) Home Improvement 1,221 New Holding 1,221 $180.33 $220 $220
2976 33 Oracle Corp (ORCL) Infrastructure Software 5,261 New Holding 5,261 $40.91 $215 $215
2944 1 Emerson Electric Co (EMR) Industrial Automation Controls 3,801 New Holding 3,801 $54.38 $206 $206
510 3 Stantec Inc (STN) Engineering Services 8,000 New Holding 8,000 $25.36 $202 $202
3019 8 Union Pacific Corp (UNP) Rail Freight 2,526 New Holding 2,526 $79.55 $200 $200
2532 19 Freeport-Mcmoran Inc (FCX) Base Metals 10,477 New Holding 10,477 $10.34 $108 $108
3062 63 Atandt Inc (T) Telecom Carriers 54,690 Added More 1,496 $39.16 $58 $2,142
3051 57 Gilead Sciences Inc (GILD) Biotech 4,806 Added More 406 $91.86 $37 $441
3075 13 Exxon Mobil Corp (XOM) Integrated Oils 20,071 Added More 321 $83.58 $26 $1,677
2778 11 Bank Of America Corp (BAC) Diversified Banks 26,346 Added More 1,911 $13.52 $25 $356
3014 6 Bristol-Myers Squibb Co (BMY) Large Pharma 5,364 Added More 378 $63.88 $24 $342
3070 18 Home Depot Inc (HD) Home Products Stores 4,476 Added More 169 $133.42 $22 $597
480 3 Phillips 66 (PSX) Refining And Marketing 3,774 Added More 232 $86.58 $20 $326
3052 34 Visa Inc-Class A Shares (V) Consumer Finance 3,274 Added More 153 $76.48 $11 $250
3056 27 Boeing Cothe (BA) Aircraft And Parts 11,337 Added More 92 $126.94 $11 $1,439
2074 39 Yamana Gold Inc (AUY) Precious Metal Mining 16,500 Added More 2,500 $3.04 $7 $50
3061 12 Chevron Corp (CVX) Integrated Oils 15,791 Added More 70 $95.40 $6 $1,506
3080 12 Amazoncom Inc (AMZN) Ecommerce Discretionary 909 Added More 9 $593.64 $5 $539
392 25 Huntington Bancshares Inc (HBAN) Banks 14,058 Added More 454 $9.54 $4 $134
2977 67 Qualcomm Inc (QCOM) Semiconductor Devices 6,986 Added More 71 $51.13 $3 $357
3059 25 Pepsico Inc (PEP) Beverages 5,299 Added More 25 $102.48 $2 $543
1611 36 Timmins Gold Corp (TGD) Precious Metal Mining 10,000 New Holding 10,000 $0.23 $2 $2
2471 21 Albemarle Corp (ALB) Specialty Chemicals 5,080 Added More 26 $63.93 $1 $324
3031 8 Pfizer Inc (PFE) Large Pharma 18,944 Added More 32 $29.63 $0 $561
2913 24 Ashland Inc (ASH) Specialty Chemicals 3,502 Added More 8 $109.95 $0 $385
101 6 Epr Properties (EPR) Reit 3,715 Added More 12 $66.62 $0 $247
2985 20 Colgate-Palmolive Co (CL) Household Products 5,430 Added More 5 $70.65 $0 $383
3040 9 Abbvie Inc (ABBV) Large Pharma 4,893 Added More 5 $57.11 $0 $279
2000 2 Vector Group Ltd (VGR) Tobacco 10,629 Added More 9 $22.84 $0 $242
2861 30 Abbott Laboratories (ABT) Life Science Equipment 5,582 Added More 3 $41.83 $0 $233
2956 32 Dominion Resources Incva (D) Integrated Utilities 3,086 Added More 1 $75.12 $0 $231
242 6 Medivation Inc (MDVN) Biotech 23,800 No Change 0 $45.98 $0 $1,094
2905 5 Amerisourcebergen Corp (ABC) Health Care Supply Chain 4,922 No Change 0 $86.55 $0 $425
222 1 Nokia Corp (NOK) Communications Equipment 23,412 No Change 0 $5.91 $0 $138
2777 25 P G And E Corp (PCG) Integrated Utilities 6,771 No Change 0 $59.72 $0 $404
2064 230 Trustmark Corp (TRMK) Banks 15,600 No Change 0 $23.03 $0 $359
2958 31 Illumina Inc (ILMN) Life Science Equipment 1,765 No Change 0 $162.11 $0 $286
2942 7 Tesla Motors Inc (TSLA) Automobiles 2,520 No Change 0 $229.77 $0 $579
2990 40 Mondelez International Inc-A (MDLZ) Packaged Food 6,342 Sold Some -33 $40.11 $-1 $254
2570 47 Precision Drilling Corp (PDS) Oil And Gas Services And Equip 25,262 Sold Some -397 $4.20 $-1 $106
2856 20 Kinder Morgan Inc (KMI) Midstream Oil And Gas 29,147 Sold Some -160 $17.86 $-2 $520
3065 7 Philip Morris International (PM) Tobacco 8,831 Sold Some -44 $98.11 $-4 $866
3076 10 Johnson And Johnson (JNJ) Large Pharma 6,762 Sold Some -41 $108.19 $-4 $731
3016 38 Starbucks Corp (SBUX) Restaurants 8,144 Sold Some -85 $59.70 $-5 $486
2927 6 Ford Motor Co (F) Automobiles 37,408 Sold Some -491 $13.50 $-6 $505
3072 34 Microsoft Corp (MSFT) Infrastructure Software 9,693 Sold Some -123 $55.23 $-6 $535
3022 6 Altria Group Inc (MO) Tobacco 11,616 Sold Some -204 $62.66 $-12 $727
3064 14 Walt Disney Cothe (DIS) Entertainment Content 12,946 Sold Some -149 $99.30 $-14 $1,285
758 19 Sandstorm Gold Ltd (SAND) Precious Metal Mining 32,333 Sold Some -5,343 $3.29 $-17 $106
3049 6 General Electric Co (GE) Electrical Power Equipment 32,787 Sold Some -571 $31.79 $-18 $1,042
3017 8 Wal-Mart Stores Inc (WMT) Mass Merchants 3,809 Sold Some -306 $68.48 $-20 $260
620 42 Medical Properties Trust Inc (MPW) Reit 34,632 Sold Some -1,842 $12.98 $-23 $449
2974 36 Chipotle Mexican Grill Inc (CMG) Restaurants 449 Sold Some -60 $470.97 $-28 $211
3050 14 Wells Fargo And Co (WFC) Diversified Banks 6,311 Sold Some -592 $48.36 $-28 $305
2494 56 Frontier Communications Corp (FTR) Telecom Carriers 99,226 Sold Some -5,463 $5.59 $-30 $554
2864 28 Edwards Lifesciences Corp (EW) Medical Devices 3,830 Sold Some -400 $88.20 $-35 $337
3029 24 Coca-Cola Cothe (KO) Beverages 8,675 Sold Some -769 $46.38 $-35 $402
553 14 Cree Inc (CREE) Semiconductor Devices 26,467 Sold Some -1,422 $29.10 $-41 $770
3077 22 Procter And Gamble Cothe (PG) Household Products 7,999 Sold Some -520 $82.30 $-42 $658
3003 49 Travelers Cos Incthe (TRV) P And C Insurance 2,425 Sold Some -400 $116.70 $-46 $283
200 13 Enerplus Corp (ERF) Exploration And Production 0 Sold All -13,390 $3.93 $-52 $0
503 36 Senior Housing Prop Trust (SNH) Reit 73,247 Sold Some -3,096 $17.88 $-55 $1,310
3044 9 Costco Wholesale Corp (COST) Mass Merchants 1,757 Sold Some -375 $157.58 $-59 $276
3023 7 Merck And Co Inc (MRK) Large Pharma 8,210 Sold Some -1,179 $52.91 $-62 $434
3030 69 Intel Corp (INTC) Semiconductor Devices 17,184 Sold Some -2,221 $32.34 $-71 $555
3071 42 Intl Business Machines Corp (IBM) It Services 1,669 Sold Some -584 $151.44 $-88 $252
3074 26 Facebook Inc-A (FB) Internet Media 2,461 Sold Some -1,346 $114.09 $-153 $280
2744 119 Hcp Inc (HCP) Reit 6,800 Sold Some -4,800 $32.58 $-156 $221
2736 118 Ventas Inc (VTR) Reit 0 Sold All -4,846 $62.95 $-305 $0
802 13 8x8 Inc (EGHT) Telecom Carriers 28,390 Sold Some -31,929 $10.06 $-321 $285
3079 54 Apple Inc (AAPL) Communications Equipment 20,224 Sold Some -5,878 $108.98 $-640 $2,204