Wellington Shields & Co., LLC - Q1 2018 holdings

$185 Million is the total value of Wellington Shields & Co., LLC's 146 reported holdings in Q1 2018. The portfolio turnover from Q4 2017 to Q1 2018 was 1.4% .

 Value Shares↓ Weighting
GM  GENERAL MOTORS CO$3,908,000
-11.3%
107,5500.0%2.11%
-11.1%
FSLR  FIRST SOLAR INC COM$3,655,000
+5.1%
51,5000.0%1.97%
+5.5%
MDLZ  MONDELEZ INTERNATIONAL$3,360,000
-2.5%
80,5060.0%1.81%
-2.2%
HON  HONEYWELL INTERNATIONAL$2,948,000
-5.8%
20,3990.0%1.59%
-5.5%
UNP  UNION PACIFIC$2,759,000
+0.3%
20,5200.0%1.49%
+0.6%
DIS  WALT DISNEY CO/THE$2,282,000
-6.6%
22,7210.0%1.23%
-6.3%
SPGI  S&P GLOBAL INC$2,025,000
+12.8%
10,6000.0%1.09%
+13.1%
BEL  BELMOND LTD$1,809,000
-9.0%
162,2000.0%0.98%
-8.7%
KHC  THE KRAFT HEINZ COMPANY$1,731,000
-19.9%
27,7850.0%0.93%
-19.6%
AVAV  AEROVIRONMENT$1,638,000
-19.0%
36,0000.0%0.88%
-18.7%
EFX  EQUIFAX INC$1,461,000
-0.1%
12,3990.0%0.79%
+0.3%
FIS  FIDELITY NATIONAL INFORMATION$1,175,000
+2.4%
12,1980.0%0.63%
+2.8%
WAAS  AQUAVENTURE HOLDINGS LTD$1,047,000
-20.0%
84,3000.0%0.56%
-19.6%
CSX  CSX CORP$1,042,000
+1.3%
18,7000.0%0.56%
+1.6%
OKE  ONEOK INC$1,030,000
+6.5%
18,0930.0%0.56%
+6.9%
CTRL  CONTROL4 CORPORATION$1,031,000
-27.8%
48,0000.0%0.56%
-27.6%
PNC  PNC FINANCIAL CORP$945,000
+4.9%
6,2460.0%0.51%
+5.2%
DWDP  DOWDUPONT INC.$943,000
-10.6%
14,8070.0%0.51%
-10.2%
WM  WASTE MGT.$907,000
-2.6%
10,7830.0%0.49%
-2.4%
CAT  CATERPILLAR$899,000
-6.5%
6,1000.0%0.48%
-6.2%
SEIC  SEI INVESTMENTS COMPANY$899,000
+4.3%
12,0000.0%0.48%
+4.5%
BP  BP PLC SPONS ADR$880,000
-3.5%
21,6960.0%0.48%
-3.1%
 VIRGINIA PARTNERS BK FREDERICK$877,000
+3.2%
68,0000.0%0.47%
+3.5%
LUK  LEUCADIA NATIONAL CORP$750,000
-14.2%
33,0000.0%0.40%
-13.8%
MRK  MERCK & CO$704,000
-3.3%
12,9300.0%0.38%
-3.1%
ZTS  ZOETIS INC$685,000
+15.9%
8,2000.0%0.37%
+16.4%
AXP  AMERICAN EXPRESS CO$681,000
-6.1%
7,3000.0%0.37%
-5.9%
BGS  B&G FOODS INC$647,000
-32.5%
27,2800.0%0.35%
-32.4%
CODI  COMPASS DIVERSIFIED HOLDINGS$641,000
-3.2%
39,0700.0%0.35%
-2.8%
AAL  AMERICAN AIRLINES GROUP INC$624,0000.0%12,0000.0%0.34%
+0.3%
EMN  EASTMAN CHEM CO$618,000
+14.0%
5,8500.0%0.33%
+14.4%
CTWS  CONNECTICUT WATER SVC INC$605,000
+5.4%
10,0000.0%0.33%
+5.5%
GEO  GEO GROUP INC$595,000
-13.3%
29,0500.0%0.32%
-13.0%
BAX  BAXTER INTERNATIONAL INC$572,000
+0.5%
8,8000.0%0.31%
+1.0%
NEE  NEXTERA ENERGY INC$555,000
+4.5%
3,4000.0%0.30%
+4.5%
 DIAGEO$520,000
-6.6%
15,3750.0%0.28%
-6.3%
NSC  NORFOLK SOUTHERN$428,000
-6.1%
3,1500.0%0.23%
-5.7%
THVB  THOMASVILLE BANCSHARES INC$420,0000.0%10,5000.0%0.23%
+0.4%
AVGO  BROADCOM LIMITED$401,000
-8.2%
1,7000.0%0.22%
-8.1%
IP  INTERNATIONAL PAPER$401,000
-7.8%
7,5000.0%0.22%
-7.7%
ITW  ILLINOIS TOOL WORKS$387,000
-6.1%
2,4700.0%0.21%
-5.9%
TECK  TECK COMINCO LTD CL B$374,000
-1.3%
14,5000.0%0.20%
-1.0%
DTE  D T E ENERGY CO$373,000
-4.6%
3,5690.0%0.20%
-4.3%
CWT  CALIFORNIA WATER SEFICE GROUP$372,000
-17.9%
10,0000.0%0.20%
-17.6%
KO  COCA COLA$362,000
-5.2%
8,3250.0%0.20%
-4.9%
WST  WEST PHARMACEUTICALS SVCS INC$353,000
-10.6%
4,0000.0%0.19%
-10.4%
TIP  ISHARES TIPS BOND ETF$339,000
-0.9%
3,0000.0%0.18%
-0.5%
YUM  YUM BRANDS$334,000
+4.4%
3,9200.0%0.18%
+4.7%
FDX  FEDEX CORP$324,000
-3.9%
1,3500.0%0.18%
-3.3%
MTB  M&T BANK CORP$318,000
+7.8%
1,7230.0%0.17%
+8.2%
TIF  TIFFANY & CO$313,000
-6.0%
3,2000.0%0.17%
-5.6%
VVC  VECTREN CORP$307,000
-1.6%
4,7980.0%0.17%
-1.2%
KMB  KIMBERLY CLARK CORP$297,000
-8.9%
2,7000.0%0.16%
-8.6%
HPQ  H P INC$289,000
+4.3%
13,2000.0%0.16%
+4.7%
VLO  VALERO ENERGY$283,000
+1.1%
3,0500.0%0.15%
+1.3%
BRKB  BERKSHIRE HATHAWAY INC. CLASS$279,000
+0.7%
1,3980.0%0.15%
+1.3%
COP  CONOCOPHILLIPS$276,000
+8.2%
4,6500.0%0.15%
+8.8%
AHH  ARMADA HOFFLER PROPERTIES INC$274,000
-11.9%
20,0000.0%0.15%
-11.4%
ABB  ABB LIMITED SPONS ADR$268,000
-11.6%
11,3000.0%0.14%
-11.0%
SPG  SIMON PROPERTY GROUP INC REIT$258,000
-10.1%
1,6700.0%0.14%
-9.7%
VCSH  VANGUARD SHORT TERM CORPORATE$255,000
-1.2%
3,2500.0%0.14%
-0.7%
CAG  CONAGRA BRANDS INC$252,000
-1.9%
6,8250.0%0.14%
-1.4%
SYY  SYSCO CORP$240,000
-1.2%
4,0000.0%0.13%
-1.5%
HPE  HEWLETT PACKARD ENTERPRIS$235,000
+22.4%
13,4000.0%0.13%
+23.3%
XRX  XEROX$224,000
-1.3%
7,7840.0%0.12%
-0.8%
CLX  CLOROX CO$213,000
-10.5%
1,6000.0%0.12%
-10.2%
SXT  SENSIENT TECHNOLOGIES CORP$212,000
-3.2%
3,0000.0%0.11%
-3.4%
PBCT  PEOPLE'S UNITED FINANCIAL INC$200,0000.0%10,7070.0%0.11%0.0%
F  FORD MOTOR COMPANY NEW$127,000
-11.2%
11,4500.0%0.07%
-10.4%
NYMT  NEW YORK MORTGAGE TR INC$125,000
-3.8%
21,0000.0%0.07%
-4.3%
NLY  ANNALY CAPITAL MANAGEMENT$115,000
-12.2%
11,0000.0%0.06%
-11.4%
CSU  CAPITAL SENIOR LIVING CORP$107,000
-20.7%
10,0000.0%0.06%
-20.5%
TVAGF  TVA GROUP INC CL B$54,000
-15.6%
19,8000.0%0.03%
-14.7%
VASO  VASO CORPORATION$1,0000.0%11,0000.0%0.00%0.0%
 HOME SOLUTIONS HEALTH INC$050,0000.0%0.00%
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR/A filed 2018-08-28
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
MICROSOFT CORPORATION42Q3 20239.0%
EXXON MOBIL CORP COM42Q3 20233.2%
JPMORGAN CHASE & CO COM42Q3 20233.0%
AT&T INC COM42Q3 20232.6%
WALT DISNEY CO/THE42Q3 20232.4%
VERIZON COMMUNICATIONS INC COM42Q3 20232.3%
UNION PACIFIC42Q3 20231.8%
JOHNSON & JOHNSON COM42Q3 20233.2%
PFIZER INC COM42Q3 20231.9%
CISCO SYSTEMS42Q3 20231.0%

View Wellington Shields & Co., LLC's complete holdings history.

Latest filings
TypeFiled
13F-HR/A2024-05-23
13F-HR/A2024-05-23
13F-HR/A2024-05-23
13F-HR2024-05-03
13F-HR2024-02-09
13F-HR2023-11-14
13F-HR2023-08-11
13F-HR2023-05-11
13F-HR2023-02-15
13F-HR2022-11-14

View Wellington Shields & Co., LLC's complete filings history.

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Issues

The following issues were detected while analyzing the report:

  • The reported has been restated
  • The reported has been amended

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