DC Investments Management, LLC - Q1 2019 holdings

$158 Million is the total value of DC Investments Management, LLC's 245 reported holdings in Q1 2019. The portfolio turnover from Q4 2018 to Q1 2019 was 0.0% .

 Value Shares↓ Weighting
GRMN  GARMIN LTD$1,353,000
+36.4%
15,6680.0%0.86%
+6.1%
ACN  ACCENTURE PLC IRELAND$1,154,000
+24.9%
6,5540.0%0.73%
-2.8%
GSK  GLAXOSMITHKLINE PLCsponsored adr$1,123,000
+9.3%
26,8760.0%0.71%
-15.0%
SNN  SMITH & NEPHEW PLCspdn adr new$1,099,000
+7.3%
27,4020.0%0.70%
-16.5%
NVO  NOVO-NORDISK A Sadr$1,079,000
+13.6%
20,6250.0%0.68%
-11.6%
SNY  SANOFIsponsored adr$1,023,000
+2.0%
23,1120.0%0.65%
-20.6%
MDT  MEDTRONIC PLC$991,000
+0.1%
10,8800.0%0.63%
-22.1%
NVS  NOVARTIS A Gsponsored adr$890,000
+12.1%
9,2580.0%0.56%
-12.7%
AZN  ASTRAZENECA PLCsponsored adr$835,000
+6.5%
20,6540.0%0.53%
-17.1%
BAM  BROOKFIELD ASSET MGMT INCcl a ltd vt sh$791,000
+21.7%
16,9600.0%0.50%
-5.3%
MRK  MERCK & CO INC$780,000
+8.8%
9,3830.0%0.49%
-15.4%
DHR  DANAHER CORPORATION$771,000
+28.1%
5,8380.0%0.49%
-0.4%
PG  PROCTER AND GAMBLE CO$753,000
+13.1%
7,2410.0%0.48%
-12.0%
BKH  BLACK HILLS CORP$749,000
+18.0%
10,1110.0%0.47%
-8.3%
ABT  ABBOTT LABS$741,000
+10.6%
9,2680.0%0.47%
-13.9%
OGE  OGE ENERGY CORP$730,000
+10.1%
16,9180.0%0.46%
-14.4%
NWE  NORTHWESTERN CORP$722,000
+18.4%
10,2610.0%0.46%
-8.0%
PAYX  PAYCHEX INC$717,000
+23.2%
8,9400.0%0.45%
-4.2%
AEE  AMEREN CORP$710,000
+12.7%
9,6540.0%0.45%
-12.3%
POR  PORTLAND GEN ELEC CO$711,000
+13.0%
13,7080.0%0.45%
-12.1%
EXC  EXELON CORP$711,000
+11.1%
14,1900.0%0.45%
-13.6%
WEC  WEC ENERGY GROUP INC$709,000
+14.2%
8,9610.0%0.45%
-11.3%
HRC  HILL ROM HLDGS INC$706,000
+19.7%
6,6660.0%0.45%
-6.9%
XEL  XCEL ENERGY INC$702,000
+14.1%
12,4860.0%0.44%
-11.2%
SON  SONOCO PRODS CO$701,000
+15.9%
11,3940.0%0.44%
-9.8%
TECH  BIO TECHNE CORP$696,000
+37.0%
3,5070.0%0.44%
+6.5%
AEP  AMERICAN ELEC PWR CO INC$693,000
+12.1%
8,2740.0%0.44%
-12.7%
CMS  CMS ENERGY CORP$688,000
+11.9%
12,3880.0%0.44%
-13.0%
PNW  PINNACLE WEST CAP CORP$689,000
+12.2%
7,2040.0%0.44%
-12.8%
ETR  ENTERGY CORP NEW$689,000
+11.1%
7,2060.0%0.44%
-13.7%
DTE  DTE ENERGY CO$683,000
+13.1%
5,4730.0%0.43%
-12.0%
RSG  REPUBLIC SVCS INC$678,000
+11.5%
8,4290.0%0.43%
-13.3%
HE  HAWAIIAN ELEC INDUSTRIES$676,000
+11.4%
16,5740.0%0.43%
-13.4%
PEG  PUBLIC SVC ENTERPRISE GRP IN$673,000
+14.3%
11,3250.0%0.43%
-11.1%
SO  SOUTHERN CO$669,000
+17.6%
12,9530.0%0.42%
-8.4%
WRB  BERKLEY W R CORP$669,000
+14.8%
7,8920.0%0.42%
-10.7%
MGP  MGM GROWTH PPTYS LLC$670,000
+22.0%
20,7820.0%0.42%
-5.1%
GHC  GRAHAM HLDGS CO$668,000
+6.7%
9780.0%0.42%
-17.1%
JKHY  HENRY JACK & ASSOC INC$666,000
+9.7%
4,7990.0%0.42%
-14.6%
PDM  PIEDMONT OFFICE REALTY TR IN$665,000
+22.2%
31,9080.0%0.42%
-5.0%
UGI  UGI CORP NEW$656,000
+3.8%
11,8420.0%0.42%
-19.3%
CNP  CENTERPOINT ENERGY INC$656,000
+8.8%
21,3560.0%0.42%
-15.5%
DUK  DUKE ENERGY CORP NEW$655,000
+4.3%
7,2750.0%0.42%
-18.8%
FIS  FIDELITY NATL INFORMATION SV$652,000
+10.1%
5,7690.0%0.41%
-14.3%
EVRG  EVERGY INC$649,000
+2.2%
11,1850.0%0.41%
-20.5%
APH  AMPHENOL CORP NEWcl a$646,000
+16.6%
6,8380.0%0.41%
-9.3%
MMS  MAXIMUS INC$645,000
+9.0%
9,0900.0%0.41%
-15.4%
PFE  PFIZER INC$645,000
-2.7%
15,1820.0%0.41%
-24.4%
PMT  PENNYMAC MTG INVT TR$640,000
+11.3%
30,8850.0%0.40%
-13.5%
PK  PARK HOTELS RESORTS INC$636,000
+19.8%
20,4560.0%0.40%
-6.7%
WPC  W P CAREY INC$634,000
+19.8%
8,0960.0%0.40%
-7.0%
ED  CONSOLIDATED EDISON INC$634,000
+10.8%
7,4750.0%0.40%
-13.9%
SAFT  SAFETY INS GROUP INC$630,000
+6.6%
7,2260.0%0.40%
-17.0%
BXMT  BLACKSTONE MTG TR INC$628,000
+8.5%
18,1590.0%0.40%
-15.5%
JNJ  JOHNSON & JOHNSON$623,000
+8.2%
4,4600.0%0.40%
-15.8%
ARCC  ARES CAP CORP$622,000
+10.1%
36,2660.0%0.39%
-14.3%
CCEP  COCA COLA EUROPEAN PARTNERS$620,000
+12.9%
11,9800.0%0.39%
-12.1%
CIM  CHIMERA INVT CORP$615,000
+5.1%
32,8200.0%0.39%
-18.3%
FISV  FISERV INC$615,000
+20.1%
6,9650.0%0.39%
-6.7%
CFFN  CAPITOL FED FINL INC$612,000
+4.6%
45,8460.0%0.39%
-18.5%
STWD  STARWOOD PPTY TR INC$613,000
+13.3%
27,4290.0%0.39%
-11.8%
TRV  TRAVELERS COMPANIES INC$612,000
+14.6%
4,4630.0%0.39%
-10.8%
HTGC  HERCULES CAPITAL INC$604,000
+14.6%
47,7280.0%0.38%
-10.7%
WAT  WATERS CORP$603,000
+33.4%
2,3950.0%0.38%
+3.8%
XOM  EXXON MOBIL CORP$601,000
+18.5%
7,4400.0%0.38%
-7.7%
RWT  REDWOOD TR INC$600,000
+7.1%
37,1460.0%0.38%
-16.7%
NWBI  NORTHWEST BANCSHARES INC MD$590,000
+0.2%
34,7480.0%0.37%
-21.9%
IQV  IQVIA HLDGS INC$591,000
+23.9%
4,1050.0%0.37%
-3.6%
NRZ  NEW RESIDENTIAL INVT CORP$590,000
+19.0%
34,8720.0%0.37%
-7.4%
CTXS  CITRIX SYS INC$584,000
-2.8%
5,8620.0%0.37%
-24.3%
AQN  ALGONQUIN PWR UTILS CORP$585,000
+12.3%
51,8680.0%0.37%
-12.7%
ANAT  AMERICAN NATL INS CO$583,000
-5.0%
4,8240.0%0.37%
-26.2%
ARI  APOLLO COML REAL EST FIN INC$583,000
+9.4%
32,0100.0%0.37%
-15.0%
FTS  FORTIS INC$579,000
+10.9%
15,6530.0%0.37%
-13.6%
TRTX  TPG RE FIN TR INC$577,000
+7.1%
29,4640.0%0.36%
-16.9%
PSEC  PROSPECT CAPITAL CORPORATION$574,000
+3.4%
87,9640.0%0.36%
-19.5%
RGA  REINSURANCE GRP OF AMERICA I$573,000
+1.2%
4,0340.0%0.36%
-21.3%
RCI  ROGERS COMMUNICATIONS INCcl b$571,000
+5.0%
10,6110.0%0.36%
-18.3%
ORAN  ORANGEsponsored adr$569,000
+0.7%
34,9220.0%0.36%
-21.7%
L  LOEWS CORP$568,000
+5.4%
11,8460.0%0.36%
-18.0%
WTM  WHITE MTNS INS GROUP LTD$559,000
+7.9%
6040.0%0.35%
-16.1%
CHE  CHEMED CORP NEW$559,000
+12.9%
1,7460.0%0.35%
-12.2%
SYK  STRYKER CORP$558,000
+26.0%
2,8230.0%0.35%
-2.2%
CTSH  COGNIZANT TECHNOLOGY SOLUTIOcl a$556,000
+14.2%
7,6730.0%0.35%
-11.1%
MDU  MDU RES GROUP INC$555,000
+8.4%
21,4880.0%0.35%
-15.8%
BCE  BCE INC$554,000
+12.1%
12,4870.0%0.35%
-12.7%
TEF  TELEFONICA S Asponsored adr$553,000
-1.2%
66,1780.0%0.35%
-23.2%
USB  US BANCORP DEL$552,000
+5.3%
11,4560.0%0.35%
-18.0%
TU  TELUS CORP$549,000
+11.8%
14,8230.0%0.35%
-13.0%
TWO  TWO HBRS INVT CORP$548,000
+5.4%
40,4910.0%0.35%
-18.0%
ADM  ARCHER DANIELS MIDLAND CO$544,000
+5.2%
12,6240.0%0.34%
-18.1%
AFL  AFLAC INC$543,000
+9.7%
10,8680.0%0.34%
-14.6%
VZ  VERIZON COMMUNICATIONS INC$541,000
+5.3%
9,1430.0%0.34%
-17.9%
CNA  CNA FINL CORP$536,000
-1.8%
12,3720.0%0.34%
-23.6%
ZBH  ZIMMER BIOMET HLDGS INC$534,000
+23.0%
4,1800.0%0.34%
-4.2%
HSY  HERSHEY CO$529,000
+7.1%
4,6080.0%0.34%
-16.7%
MSI  MOTOROLA SOLUTIONS INC$527,000
+22.0%
3,7560.0%0.33%
-5.1%
CINF  CINCINNATI FINL CORP$528,000
+10.9%
6,1440.0%0.33%
-13.7%
RY  ROYAL BK CDA MONTREAL QUE$523,000
+10.3%
6,9160.0%0.33%
-14.2%
FSV  FIRSTSERVICE CORP NEWsub vtg sh$521,000
+30.2%
5,8340.0%0.33%
+1.2%
HUM  HUMANA INC$517,000
-7.2%
1,9430.0%0.33%
-27.8%
TMK  TORCHMARK CORP$515,000
+10.0%
6,2810.0%0.33%
-14.4%
CDW  CDW CORP$514,000
+19.0%
5,3340.0%0.33%
-7.4%
D  DOMINION ENERGY INC$509,000
+7.4%
6,6400.0%0.32%
-16.6%
HCA  HCA HEALTHCARE INC$503,000
+4.8%
3,8600.0%0.32%
-18.4%
ALE  ALLETE INC$504,000
+7.9%
6,1320.0%0.32%
-16.1%
ACGL  ARCH CAP GROUP LTDord$500,000
+21.1%
15,4600.0%0.32%
-5.7%
NWLI  NATIONAL WESTN LIFE GROUP INcl a$496,000
-12.7%
1,8880.0%0.31%
-32.0%
PKI  PERKINELMER INC$493,000
+22.6%
5,1140.0%0.31%
-4.6%
DOX  AMDOCS LTD$488,000
-7.6%
9,0140.0%0.31%
-28.1%
COST  COSTCO WHSL CORP NEW$482,000
+19.0%
1,9900.0%0.30%
-7.6%
SYY  SYSCO CORP$480,000
+6.4%
7,1920.0%0.30%
-17.2%
WRI  WEINGARTEN RLTY INVSsh ben int$480,000
+18.5%
16,3280.0%0.30%
-7.9%
BRC  BRADY CORPcl a$480,000
+6.9%
10,3380.0%0.30%
-16.7%
H  HYATT HOTELS CORP$475,000
+7.2%
6,5470.0%0.30%
-16.6%
NICE  NICE LTDsponsored adr$472,000
+13.2%
3,8560.0%0.30%
-11.8%
MAIN  MAIN STREET CAPITAL CORP$452,000
+10.0%
12,1590.0%0.29%
-14.6%
PEP  PEPSICO INC$446,000
+10.9%
3,6390.0%0.28%
-13.8%
WU  WESTERN UN CO$441,000
+8.1%
23,8880.0%0.28%
-16.0%
DRE  DUKE REALTY CORP$440,000
+18.0%
14,3920.0%0.28%
-8.2%
UA  UNDER ARMOUR INCcl c$432,000
+16.8%
22,8740.0%0.27%
-9.0%
NHI  NATIONAL HEALTH INVS INC$432,000
+3.8%
5,5060.0%0.27%
-19.2%
BRO  BROWN & BROWN INC$431,000
+7.2%
14,6010.0%0.27%
-16.5%
EHC  ENCOMPASS HEALTH CORP$428,000
-5.3%
7,3320.0%0.27%
-26.4%
ICLR  ICON PLC$424,000
+5.7%
3,1040.0%0.27%
-17.5%
HOLX  HOLOGIC INC$424,000
+17.8%
8,7620.0%0.27%
-8.2%
LLY  LILLY ELI & CO$420,000
+12.3%
3,2340.0%0.27%
-12.5%
CUZ  COUSINS PPTYS INC$418,000
+22.2%
43,2440.0%0.26%
-4.7%
MPW  MEDICAL PPTYS TRUST INC$410,000
+15.2%
22,1360.0%0.26%
-10.3%
PINC  PREMIER INCcl a$404,000
-7.6%
11,7000.0%0.26%
-28.1%
EXLS  EXLSERVICE HOLDINGS INC$403,000
+14.2%
6,7160.0%0.26%
-11.1%
BAH  BOOZ ALLEN HAMILTON HLDG CORcl a$401,000
+28.9%
6,8980.0%0.25%
+0.4%
TMO  THERMO FISHER SCIENTIFIC INC$395,000
+22.3%
1,4440.0%0.25%
-4.9%
EE  EL PASO ELEC CO$381,000
+17.2%
6,4840.0%0.24%
-9.1%
ES  EVERSOURCE ENERGY$375,000
+9.0%
5,2820.0%0.24%
-15.4%
ZTS  ZOETIS INCcl a$375,000
+17.6%
3,7300.0%0.24%
-8.8%
NEE  NEXTERA ENERGY INC$370,000
+11.4%
1,9120.0%0.23%
-13.3%
IDA  IDACORP INC$367,000
+7.0%
3,6840.0%0.23%
-16.8%
UHS  UNIVERSAL HLTH SVCS INCcl b$365,000
+14.8%
2,7280.0%0.23%
-10.8%
BR  BROADRIDGE FINL SOLUTIONS IN$361,000
+7.8%
3,4800.0%0.23%
-16.1%
ATO  ATMOS ENERGY CORP$360,000
+11.1%
3,4940.0%0.23%
-13.6%
WCG  WELLCARE HEALTH PLANS INC$360,000
+14.3%
1,3360.0%0.23%
-10.9%
TD  TORONTO DOMINION BK ONT$358,000
+9.1%
6,5950.0%0.23%
-15.0%
E  ENI S P Asponsored adr$358,000
+11.9%
10,1560.0%0.23%
-12.7%
NFG  NATIONAL FUEL GAS CO N J$356,000
+19.1%
5,8340.0%0.22%
-7.4%
IVR  INVESCO MORTGAGE CAPITAL INC$351,000
+9.0%
22,2340.0%0.22%
-15.3%
BDX  BECTON DICKINSON & CO$339,000
+10.8%
1,3580.0%0.22%
-13.7%
RPAI  RETAIL PPTYS AMER INCcl a$339,000
+12.3%
27,8260.0%0.22%
-12.6%
WCN  WASTE CONNECTIONS INC$336,000
+19.1%
3,7930.0%0.21%
-7.4%
NHC  NATIONAL HEALTHCARE CORP$335,000
-3.2%
4,4160.0%0.21%
-24.8%
GLPI  GAMING & LEISURE PPTYS INC$331,000
+19.5%
8,5750.0%0.21%
-6.7%
VTR  VENTAS INC$330,000
+8.9%
5,1760.0%0.21%
-15.4%
ORI  OLD REP INTL CORP$327,000
+1.6%
15,6420.0%0.21%
-21.0%
TM  TOYOTA MOTOR CORP$325,000
+1.9%
2,7520.0%0.21%
-20.8%
BRKB  BERKSHIRE HATHAWAY INC DELcl b new$324,000
-1.8%
1,6140.0%0.20%
-23.8%
CNI  CANADIAN NATL RY CO$321,000
+20.7%
3,5890.0%0.20%
-6.5%
AMGN  AMGEN INC$316,000
-2.5%
1,6640.0%0.20%
-24.2%
CI  CIGNA CORP NEW$304,000
-15.3%
1,8880.0%0.19%
-33.9%
APD  AIR PRODS & CHEMS INC$301,000
+19.4%
1,5740.0%0.19%
-6.8%
BNS  BANK N S HALIFAX$299,000
+6.8%
5,6100.0%0.19%
-17.1%
TRCO  TRIBUNE MEDIA COcl a$296,000
+1.7%
6,4150.0%0.19%
-21.1%
V  VISA INC$290,000
+18.4%
1,8560.0%0.18%
-7.5%
TSS  TOTAL SYS SVCS INC$289,000
+17.0%
3,0420.0%0.18%
-9.0%
CXP  COLUMBIA PPTY TR INC$287,000
+16.7%
12,7360.0%0.18%
-9.0%
PGR  PROGRESSIVE CORP OHIO$286,000
+19.2%
3,9740.0%0.18%
-7.2%
PBA  PEMBINA PIPELINE CORP$267,000
+23.6%
7,2740.0%0.17%
-4.0%
VICI  VICI PPTYS INC$266,000
+16.7%
12,1600.0%0.17%
-9.7%
RDSA  ROYAL DUTCH SHELL PLCspons adr a$260,000
+7.4%
4,1590.0%0.16%
-16.2%
CVX  CHEVRON CORP NEW$252,000
+13.0%
2,0460.0%0.16%
-12.1%
SJR  SHAW COMMUNICATIONS INCcl b conv$249,000
+15.3%
11,9280.0%0.16%
-10.2%
TRI  THOMSON REUTERS CORP$246,000
+23.0%
4,1500.0%0.16%
-4.3%
AGNC  AGNC INVT CORP$233,000
+2.6%
12,9500.0%0.15%
-20.0%
TTE  TOTAL S Asponsored ads$226,000
+6.6%
4,0630.0%0.14%
-17.3%
SR  SPIRE INC$222,000
+11.0%
2,7000.0%0.14%
-13.5%
CAJ  CANON INCsponsored adr$221,000
+5.2%
7,6080.0%0.14%
-18.1%
KO  COCA COLA CO$201,000
-1.0%
4,2880.0%0.13%
-23.0%
HBAN  HUNTINGTON BANCSHARES INC$183,000
+6.4%
14,4360.0%0.12%
-17.1%
MFA  MFA FINL INC$182,000
+9.0%
25,0280.0%0.12%
-15.4%
ISBC  INVESTORS BANCORP INC NEW$128,000
+14.3%
10,7760.0%0.08%
-11.0%
ROAN  ROAN RES INC$61,000
-27.4%
10,0080.0%0.04%
-42.6%
Original filings

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

  • View 13F-HR filed 2019-05-06
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
MDU RES GROUP INC19Q3 202313.2%
UNDER ARMOUR INC19Q3 20221.0%
PINNACLE WEST CAP CORP17Q1 20222.8%
CONSOLIDATED EDISON INC16Q1 20222.9%
PORTLAND GEN ELEC CO16Q1 20222.8%
OGE ENERGY CORP16Q1 20222.5%
PUBLIC SVC ENTERPRISE GRP IN16Q1 20222.6%
NORTHWESTERN CORP16Q1 20222.5%
EXELON CORP14Q1 20222.8%
EVERSOURCE ENERGY14Q1 20222.6%

View DC Investments Management, LLC's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-02-13
13F-HR2023-11-14
13F-HR2023-08-10
13F-HR2023-05-15
13F-HR2023-02-14
13F-HR2022-11-14
13F-HR2022-08-12
13F-HR2022-05-13
13F-HR2022-02-11
13F-HR2021-11-12

View DC Investments Management, LLC's complete filings history.

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Issues

The following issues were detected while analyzing the report:

  • The reported total value is incorrect (157904000.0 != 157908000.0)

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