Winfield Associates, Inc. - Q1 2019 holdings

$187 Million is the total value of Winfield Associates, Inc.'s 127 reported holdings in Q1 2019. The portfolio turnover from Q4 2018 to Q1 2019 was 5.1% .

 Value Shares↓ Weighting
AMZN SellAMAZON.COM INCstock$11,575,000
+9.3%
6,500
-7.8%
6.17%
-4.8%
AAPL SellAPPLE INCstock$8,034,000
+17.6%
42,296
-2.4%
4.28%
+2.4%
MSFT SellMICROSOFTstock$7,001,000
+9.5%
59,361
-5.7%
3.73%
-4.6%
GOOG SellALPHABET INC CAP STK CL Cstock$6,265,000
+11.7%
5,340
-1.4%
3.34%
-2.7%
V SellVISA INCstock$5,031,000
+12.2%
32,209
-5.2%
2.68%
-2.2%
XLY SellCONSUMER DISCRETIONARY SEL SECTOR SPDR FDetf$5,006,000
+9.4%
43,966
-4.8%
2.67%
-4.6%
CWB SellSPDR BLOOMBERG BARCLAYS CONVERTIBLE SECURITIES ETFetf$3,961,000
-12.8%
75,805
-21.9%
2.11%
-24.0%
XLF SellFINANCIAL SELECT SECTOR SPDRetf$3,846,000
+3.2%
149,610
-4.3%
2.05%
-10.0%
TOTL SellSPDR DOUBLELINE TOTAL RETURN TACTICAL ETFetf$3,582,000
-1.3%
74,095
-3.3%
1.91%
-14.0%
VEA SellVANGUARD FTSE DEVELOPED MARKETS ETFetf$3,400,000
+7.4%
83,192
-2.5%
1.81%
-6.4%
VWO SellVANGUARD FTSE EMERGING MARKETS ETFetf$2,835,000
+9.0%
66,695
-2.3%
1.51%
-5.1%
IBB SellISHARES NASDAQ BIOTECHNOLOGYetf$2,705,000
+7.2%
24,192
-7.5%
1.44%
-6.5%
RTN SellRAYTHEON CO COM NEWstock$2,577,000
+9.3%
14,153
-7.9%
1.37%
-4.8%
CCI SellCROWN CASTLE INTL CORP NEW COMreit$2,555,000
+15.3%
19,962
-2.2%
1.36%
+0.5%
HDV SellISHARES TR HIGH DIVID EQUITY FDetf$2,402,000
+9.7%
25,750
-0.8%
1.28%
-4.5%
GOOGL SellGOOGLE INCstock$2,190,000
-11.4%
1,861
-21.3%
1.17%
-22.8%
MDB SellMONGODB INC CL Astock$2,080,000
+72.9%
14,150
-1.5%
1.11%
+50.7%
AGG SellISHARES AGGREGATE BOND ETFetf$2,028,000
-5.7%
18,590
-7.9%
1.08%
-17.8%
ANET SellARISTA NETWORKS INC COMstock$1,789,000
+39.4%
5,690
-6.6%
0.95%
+21.5%
BRKB SellBERKSHIRE HATHAWAY INC DEL CL B NEWstock$1,777,000
-2.1%
8,846
-0.6%
0.95%
-14.7%
BKNG SellBOOKING HLDGS INC COMstock$1,719,000
-5.4%
985
-6.6%
0.92%
-17.5%
HD SellHOME DEPOTstock$1,665,000
+7.8%
8,676
-3.5%
0.89%
-6.0%
SPLK SellSPLUNK INC COMstock$1,657,000
+18.7%
13,295
-0.2%
0.88%
+3.4%
XLP SellCONSUMER STAPLES SELECT SECTOR SPDRetf$1,617,000
-0.2%
28,820
-9.7%
0.86%
-13.1%
MMM Sell3M CO COMstock$1,548,000
+8.3%
7,452
-0.7%
0.83%
-5.6%
LMT SellLOCKHEED MARTIN CORPstock$1,536,000
+0.1%
5,117
-12.7%
0.82%
-12.9%
XLI SellINDUSTRIAL SELECT SECTOR SPDRetf$1,456,000
+14.6%
19,400
-1.7%
0.78%
-0.1%
XLE SellENERGY SELECT SECTOR SPDRetf$1,437,000
+9.0%
21,737
-5.4%
0.77%
-5.1%
FB SellFACEBOOK INC CL Astock$1,212,000
+3.9%
7,270
-18.3%
0.65%
-9.5%
HYG SellISHARES IBOXX HIGH YIELD CORPORATE BOND ETFetf$1,096,000
-3.3%
12,675
-9.3%
0.58%
-15.7%
IWD SellISHARES RUSSELL 1000 VALUE ETFetf$1,026,000
+2.8%
8,310
-7.5%
0.55%
-10.5%
IWN SellISHARES RUSSELL 2000 VALUEetf$762,000
-36.0%
6,355
-42.6%
0.41%
-44.2%
FUN SellCEDAR FAIR L P DEP UNITstock$716,000
-7.7%
13,600
-17.1%
0.38%
-19.6%
VCIT SellVANGUARD INTERMEDIATE-TERM CORPORATE BOND ETFetf$669,000
-2.5%
7,700
-7.0%
0.36%
-15.0%
APD SellAIR PRODS & CHEMS INC COMstock$587,000
+15.6%
3,075
-3.1%
0.31%
+0.6%
TRV SellTRAVELERS COMPANIES INC COMstock$585,000
+11.9%
4,268
-2.3%
0.31%
-2.5%
CMF SellISHARES TR S&P CALIF MUN BD FDetf$582,000
-15.4%
9,775
-17.0%
0.31%
-26.4%
PANW SellPALO ALTO NETWORKS INC COMstock$555,000
+28.5%
2,285
-0.4%
0.30%
+12.1%
LDP SellCOHEN & STEERS LTD DURATION PFD INCOMEcef$550,000
+3.6%
23,250
-4.5%
0.29%
-9.8%
JNJ SellJOHNSON & JOHNSON COMstock$525,000
+2.1%
3,755
-5.8%
0.28%
-11.1%
SJM SellJ M SMUCKER CO NEWstock$520,000
+16.9%
4,465
-6.3%
0.28%
+1.8%
NEWM SellNEW MEDIA INV GRP INCstock$452,000
-20.4%
43,050
-12.2%
0.24%
-30.7%
PEP SellPEPSICO INC COMstock$432,000
-25.1%
3,525
-32.5%
0.23%
-34.8%
ACIA SellACACIA COMMUNICATIONS INC COMstock$310,000
+47.6%
5,400
-2.3%
0.16%
+27.9%
AMJ SellJP MORGAN ALERIAN MLP ETNetf$286,000
+12.6%
11,200
-1.8%
0.15%
-1.3%
PM SellPHILIP MORRIS INTL INCstock$286,000
-27.8%
3,235
-45.5%
0.15%
-36.8%
IJH SellISHARES CORE S&P MID CAP ETFetf$285,000
-25.8%
1,503
-35.0%
0.15%
-35.3%
KEY SellKEYCORP NEW COMstock$273,000
+5.8%
17,355
-0.4%
0.15%
-7.6%
LQD SellISHARES IBOXX CORPORATE BOND ETFetf$262,000
-14.1%
2,200
-18.5%
0.14%
-25.1%
KBE SellSPDR SERIES TRUST KBW BK ETFetf$248,000
+1.6%
5,935
-9.2%
0.13%
-11.4%
MRVL SellMARVELL TECHNOLOGY GROUP LTD ORDstock$242,000
-18.2%
12,183
-33.3%
0.13%
-28.7%
COP SellCONOCOPHILLIPS COMstock$239,000
+4.4%
3,575
-2.7%
0.13%
-9.3%
BAC SellBANK AMER CORP COMstock$152,000
+2.7%
5,500
-8.3%
0.08%
-11.0%
XOM SellEXXON MOBIL CORP COMstock$140,000
+6.1%
1,737
-10.3%
0.08%
-7.4%
WFC SellWELLS FARGO CO NEW COMstock$135,000
-13.5%
2,785
-17.7%
0.07%
-24.2%
ATHX SellATHERSYS INC NEW COMstock$64,000
-4.5%
42,350
-8.6%
0.03%
-17.1%
VO ExitVANGUARD MID CAPetf$0-1,608
-100.0%
-0.14%
SYY ExitSYSCO CORP COMstock$0-7,400
-100.0%
-0.28%
TIP ExitISHARES TIPS BOND ETFetf$0-6,358
-100.0%
-0.43%
Original filings

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

  • View 13F-HR filed 2019-04-17
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
APPLE INC COM34Q1 20228.2%
AMAZON COM INC COM34Q1 20229.0%
SPDR S&P 500 TRUST34Q1 20224.9%
MICROSOFT CORP COM34Q1 20226.6%
ISHARES NASDAQ BIOTECHNOLOGY INDEX FUND34Q1 20226.4%
ISHARES CORE U.S. AGGREGATE BOND ETF34Q1 20225.0%
CONSUMER DISCRETIONARY SEL SECTOR SPDR FD34Q1 20224.4%
ISHARES S&P MIDCAP 400 GROWTH INDEX34Q1 20222.7%
VISA INC COM CL A34Q1 20222.9%
PIMCO ETF TR ENHAN SHRT MA AC34Q1 20225.9%

View Winfield Associates, Inc.'s complete holdings history.

Latest filings
TypeFiled
13F-HR2022-04-05
13F-HR2022-02-10
13F-HR2021-10-14
13F-HR2021-08-11
13F-HR2021-04-12
13F-HR2021-02-12
13F-HR2020-10-14
13F-HR2020-08-14
13F-HR2020-05-04
13F-HR2020-01-13

View Winfield Associates, Inc.'s complete filings history.

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