Addison Capital Co - Q3 2016 holdings

$114 Million is the total value of Addison Capital Co's 97 reported holdings in Q3 2016. The portfolio turnover from Q2 2016 to Q3 2016 was 11.8% .

 Value Shares↓ Weighting
JNJ SellJohnson & Johnson$5,570,000
-3.2%
47,154
-0.6%
4.88%
-6.0%
MDLZ SellMondelez Intl Inc CL A$3,384,000
-5.0%
77,081
-1.5%
2.96%
-7.8%
GOOGL SellAlphabet Inc Cap STK CL A$3,345,000
+9.1%
4,160
-4.6%
2.93%
+5.9%
AIG SellAmerican Intl Group New$3,129,000
+10.9%
52,736
-1.2%
2.74%
+7.6%
ZTS SellZoetis Inc$3,115,000
+7.8%
59,888
-1.6%
2.73%
+4.6%
STZ SellConstellation Brand CL A$2,662,000
-1.7%
15,989
-2.3%
2.33%
-4.6%
GM SellGeneral Motors Co$2,522,000
+10.1%
79,390
-1.9%
2.21%
+6.9%
PEP SellPepsico Incorporated$2,435,000
+2.1%
22,387
-0.6%
2.13%
-0.9%
SFTBY SellSoftbank Corp ADR F$2,401,000
+14.2%
74,287
-0.7%
2.10%
+10.8%
ALR SellAlere Inc$2,295,000
+2.4%
53,088
-1.3%
2.01%
-0.6%
PG SellProcter & Gamble$2,244,000
+4.4%
25,001
-1.5%
1.97%
+1.4%
QCOM SellQualcomm Inc$2,241,000
+27.0%
32,720
-0.7%
1.96%
+23.2%
DOW SellDow Chemical Company$2,172,000
+3.4%
41,897
-0.8%
1.90%
+0.4%
ORCL SellOracle Corporation$2,133,000
-4.9%
54,308
-0.8%
1.87%
-7.7%
JPM SellJPMorgan Chase & Co$2,128,000
+4.2%
31,961
-2.8%
1.86%
+1.1%
TEVA SellTeva Pharm Inds LTD Adrf$1,975,000
-8.6%
42,926
-0.2%
1.73%
-11.3%
XEC SellCimarex Energy Co$1,966,000
+12.2%
14,629
-0.4%
1.72%
+8.9%
WFC SellWells Fargo & Co New$1,888,000
-8.8%
42,637
-2.6%
1.65%
-11.5%
WM SellWaste Management Inc Del$1,849,000
-4.4%
29,006
-0.6%
1.62%
-7.2%
UPS SellUnited Parcel Service B$1,742,000
+1.2%
15,933
-0.3%
1.53%
-1.8%
MON SellMonsanto Co New Del$1,739,000
-1.4%
17,020
-0.2%
1.52%
-4.3%
WFM SellWhole Foods Market Inc$1,556,000
-11.5%
54,895
-0.1%
1.36%
-14.2%
PM SellPhilip Morris Intl Inc$1,506,000
-6.1%
15,487
-1.8%
1.32%
-8.9%
DNOW SellNow Inc$1,323,000
+15.4%
61,716
-2.3%
1.16%
+12.1%
BAX SellBaxter International Inc$1,251,000
+3.5%
26,282
-1.7%
1.10%
+0.5%
TIP SelliShares TR TIPS$1,188,000
-2.9%
10,200
-2.8%
1.04%
-5.8%
FOXA Sell21ST Cent Fox CL A$1,137,000
-11.0%
46,940
-0.6%
1.00%
-13.6%
MSFT SellMicrosoft Corp$1,137,000
-23.5%
19,733
-32.1%
1.00%
-25.8%
SLB SellSchlumberger LTD F$1,051,000
-1.6%
13,371
-1.0%
0.92%
-4.5%
PFN SellPIMCO Income Stra FD II$1,015,000
+2.8%
106,493
-0.8%
0.89%
-0.2%
BK SellBank Of NY Mellon CP New$969,000
+1.8%
24,303
-0.8%
0.85%
-1.2%
CSCO SellCisco Systems Inc$902,000
+9.7%
28,437
-0.7%
0.79%
+6.5%
ADSK SellAutodesk Inc$833,000
+32.6%
11,518
-0.7%
0.73%
+28.7%
APC SellAnadarko Petroleum Corp$782,000
+15.7%
12,350
-2.8%
0.68%
+12.3%
WU SellWestern Union Company$770,000
+3.4%
36,987
-4.7%
0.67%
+0.3%
SDY SellSPDR S&P Dividend ETF$732,000
-2.3%
8,672
-2.8%
0.64%
-5.2%
WIP SellSPDR Series Trust ETF$729,000
+2.2%
12,803
-1.4%
0.64%
-0.6%
FIS SellFidelity Natl Info SVCS$685,000
+2.7%
8,888
-1.8%
0.60%
-0.3%
NVR SellN V R Inc$679,000
-8.7%
414
-1.0%
0.60%
-11.3%
GLD SellSPDR Gold Trust$640,000
-1.5%
5,090
-1.0%
0.56%
-4.4%
DEO SellDiageo PLC New ADR F$636,000
+1.4%
5,477
-1.4%
0.56%
-1.6%
LVNTA SellLiberty Interactive CP A$635,000
+7.1%
15,924
-0.5%
0.56%
+3.9%
XON SellIntrexon$584,000
+13.0%
20,847
-0.8%
0.51%
+9.6%
BP SellBP PLC ADR F$549,000
-3.5%
15,625
-2.5%
0.48%
-6.4%
BAC SellBank Of America Corp$500,000
+17.4%
31,930
-0.5%
0.44%
+14.1%
CHTR SellCharter Communications Inc New CL A$427,000
-39.3%
1,582
-48.7%
0.37%
-41.1%
FB SellFacebook Inc Class A$358,000
-53.0%
2,790
-58.1%
0.31%
-54.3%
XOM SellExxon Mobil Corporation$356,000
-8.0%
4,077
-1.2%
0.31%
-10.6%
PGC SellPeapack Gladstone Fi$345,000
-8.7%
15,410
-24.5%
0.30%
-11.4%
SCHB SellSCHW US BRD MKT ETF$323,000
-2.7%
6,169
-6.5%
0.28%
-5.7%
HON SellHoneywell International$303,000
-3.5%
2,601
-3.7%
0.26%
-6.4%
GOLD SellBarrick Gold Corp F$291,000
-17.1%
16,419
-0.2%
0.26%
-19.6%
T SellA T & T Inc New$253,000
-10.0%
6,229
-4.2%
0.22%
-12.6%
MDCO SellMedicines Company$229,000
-58.1%
6,066
-62.7%
0.20%
-59.3%
IWM SelliShares TR Russell 2000$224,000
+0.4%
1,802
-7.2%
0.20%
-2.5%
ETP SellEnergy Transfer Partners$223,000
-68.5%
6,031
-67.5%
0.20%
-69.4%
PPG SellPPG Industries Inc$212,000
-63.9%
2,051
-63.6%
0.19%
-64.9%
RTN SellRaytheon Company New$210,000
-0.9%
1,540
-1.3%
0.18%
-3.7%
BND SellVanguard Bond Index Fund$208,000
-1.4%
2,475
-1.2%
0.18%
-4.2%
KGC SellKinross Gold Corp New F$123,000
-14.6%
29,265
-0.6%
0.11%
-16.9%
VZ ExitVerizon Communications$0-3,716
-100.0%
-0.19%
SIG ExitSIGNET JEWELERS LTD F$0-5,759
-100.0%
-0.43%
UAL ExitUnited Contl HLDGS$0-13,711
-100.0%
-0.51%
NFLX ExitNetflix Inc$0-6,356
-100.0%
-0.52%
LH ExitLab Co Of Amer HLDG$0-4,683
-100.0%
-0.55%
CMPR ExitCIMPRESS F$0-6,721
-100.0%
-0.56%
EMC ExitE M C Corp Mass$0-117,737
-100.0%
-2.89%
CST ExitCST Brands Inc$0-84,666
-100.0%
-3.29%
Original filings

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

  • View 13F-HR filed 2016-10-11
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
JOHNSON & JOHNSON40Q3 20235.5%
PROCTER & GAMBLE CO40Q3 20234.9%
Mondelez Intl Inc CL A40Q3 20233.3%
QUALCOMM INC40Q3 20233.0%
JPMORGAN CHASE & CO40Q3 20232.9%
Oracle Corporation40Q3 20233.7%
Pepsico Incorporated40Q3 20233.3%
F M C Corp New40Q3 20231.9%
APPLE INC40Q3 20233.7%
UNITED PARCEL SERVICE INC40Q3 20232.0%

View Addison Capital Co's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-05-08
13F-HR2024-02-08
13F-HR2023-11-13
13F-HR2023-08-18
13F-HR2023-04-13
13F-HR2023-01-09
13F-HR2022-10-12
13F-HR2022-07-11
13F-HR2022-04-11
13F-HR2022-01-18

View Addison Capital Co's complete filings history.

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