St. Johns Investment Management Company, LLC - Q2 2021 holdings

$184 Million is the total value of St. Johns Investment Management Company, LLC's 209 reported holdings in Q2 2021. The portfolio turnover from Q1 2021 to Q2 2021 was 8.6% .

 Value Shares↓ Weighting
GUSH  DIREXION SHS ETF TRoil gas bl 2x sh$307,000
+36.4%
3,1950.0%0.17%
+28.5%
GOOG  ALPHABET INCcap stk cl c$251,000
+21.3%
1000.0%0.14%
+14.3%
BRKB  BERKSHIRE HATHAWAY INC DELcl b new$245,000
+8.9%
8800.0%0.13%
+2.3%
CL  COLGATE PALMOLIVE CO$129,000
+3.2%
1,5800.0%0.07%
-2.8%
KBWP  INVESCO EXCH TRADED FD TR IIkbw ppty casut$81,000
+2.5%
1,0590.0%0.04%
-2.2%
NEE  NEXTERA ENERGY INC$80,000
-3.6%
1,0960.0%0.04%
-10.4%
WRB  BERKLEY W R CORP$56,000
-1.8%
7500.0%0.03%
-9.1%
WEC  WEC ENERGY GROUP INC$53,000
-5.4%
6000.0%0.03%
-9.4%
REGN  REGENERON PHARMACEUTICALS$48,000
+17.1%
860.0%0.03%
+8.3%
OKE  ONEOK INC NEW$45,000
+9.8%
8060.0%0.02%0.0%
SYY  SYSCO CORP$42,0000.0%5380.0%0.02%
-4.2%
GMED  GLOBUS MED INCcl a$39,000
+25.8%
5000.0%0.02%
+16.7%
SCHD  SCHWAB STRATEGIC TRus dividend eq$36,000
+2.9%
4770.0%0.02%0.0%
ICF  ISHARES TRcohen steer reit$31,000
+10.7%
4800.0%0.02%
+6.2%
DUK  DUKE ENERGY CORP NEW$31,000
+3.3%
3110.0%0.02%0.0%
USO  UNITED STS OIL FD LPunits$31,000
+24.0%
6200.0%0.02%
+21.4%
COST  COSTCO WHSL CORP NEW$30,000
+11.1%
760.0%0.02%0.0%
DBC  INVESCO DB COMMDY INDX TRCKunit$28,000
+16.7%
1,4700.0%0.02%
+7.1%
GSK  GLAXOSMITHKLINE PLCsponsored adr$25,000
+8.7%
6350.0%0.01%
+7.7%
EPD  ENTERPRISE PRODS PARTNERS L$25,000
+8.7%
1,0490.0%0.01%
+7.7%
STZ  CONSTELLATION BRANDS INCcl a$23,0000.0%1000.0%0.01%
-7.7%
BUD  ANHEUSER BUSCH INBEV SA/NVsponsored adr$23,000
+15.0%
3160.0%0.01%0.0%
ROBO  EXCHANGE TRADED CONCEPTS TRrobo glb etf$18,0000.0%2830.0%0.01%0.0%
CERN  CERNER CORP$16,000
+14.3%
2000.0%0.01%
+12.5%
LFVN  LIFEVANTAGE CORP$15,000
-21.1%
2,0750.0%0.01%
-27.3%
D  DOMINION ENERGY INC$13,0000.0%1750.0%0.01%0.0%
INMD  INMODE LTD$12,000
+33.3%
1220.0%0.01%
+40.0%
DG  DOLLAR GEN CORP NEW$11,000
+10.0%
500.0%0.01%0.0%
GIS  GENERAL MLS INC$10,0000.0%1630.0%0.01%
-16.7%
EPC  EDGEWELL PERS CARE CO$9,000
+12.5%
2000.0%0.01%0.0%
ENR  ENERGIZER HLDGS INC NEW$9,0000.0%2000.0%0.01%0.0%
BX  BLACKSTONE GROUP INC$10,000
+42.9%
1000.0%0.01%
+25.0%
ASAN  ASANA INCcl a$9,000
+125.0%
1400.0%0.01%
+150.0%
PSA  PUBLIC STORAGE$8,000
+14.3%
270.0%0.00%0.0%
APTV  APTIV PLC$7,000
+16.7%
450.0%0.00%
+33.3%
ALNY  ALNYLAM PHARMACEUTICALS INC$8,000
+14.3%
500.0%0.00%0.0%
F  FORD MTR CO DEL$8,000
+14.3%
5650.0%0.00%0.0%
REZI  RESIDEO TECHNOLOGIES INC$7,0000.0%2410.0%0.00%0.0%
LLY  LILLY ELI & CO$7,000
+16.7%
300.0%0.00%
+33.3%
KODK  EASTMAN KODAK CO$6,000
+20.0%
6900.0%0.00%0.0%
HOMZ  ETF SER SOLUTIONShoya cap housi$5,0000.0%1350.0%0.00%0.0%
CPT  CAMDEN PPTY TRsh ben int$5,0000.0%410.0%0.00%0.0%
TWTR  TWITTER INC$6,000
+20.0%
810.0%0.00%0.0%
WBA  WALGREENS BOOTS ALLIANCE INC$5,0000.0%1000.0%0.00%0.0%
WRK  WESTROCK CO$6,0000.0%1100.0%0.00%0.0%
GRMN  GARMIN LTD$5,0000.0%350.0%0.00%0.0%
DOCU  DOCUSIGN INC$3,000
+50.0%
100.0%0.00%
+100.0%
BAM  BROOKFIELD ASSET MGMT INCcl a ltd vt sh$3,000
+50.0%
550.0%0.00%
+100.0%
WORK  SLACK TECHNOLOGIES INC$3,000
+50.0%
600.0%0.00%
+100.0%
FBHS  FORTUNE BRANDS HOME & SEC IN$3,0000.0%300.0%0.00%0.0%
SXI  STANDEX INTL CORP$4,0000.0%450.0%0.00%0.0%
ARD  ARDAGH GROUP S Acl a$3,0000.0%1080.0%0.00%0.0%
NVDA  NVIDIA CORPORATION$4,000
+33.3%
50.0%0.00%0.0%
BXMT  BLACKSTONE MTG TR INC$4,000
+33.3%
1100.0%0.00%0.0%
BYND  BEYOND MEAT INC$3,0000.0%200.0%0.00%0.0%
ODP  THE ODP CORP$3,000
+50.0%
550.0%0.00%
+100.0%
FNF  FIDELITY NATIONAL FINANCIAL$4,0000.0%900.0%0.00%0.0%
PYPL  PAYPAL HLDGS INC$3,0000.0%110.0%0.00%0.0%
IEFA  ISHARES TRcore msci eafe$4,0000.0%580.0%0.00%0.0%
POST  POST HLDGS INC$4,000
+33.3%
330.0%0.00%0.0%
IEMG  ISHARES INCcore msci emkt$1,0000.0%190.0%0.00%0.0%
BKI  BLACK KNIGHT INC$2,0000.0%270.0%0.00%0.0%
PLTR  PALANTIR TECHNOLOGIES INCcl a$1,0000.0%250.0%0.00%0.0%
CABO  CABLE ONE INC$2,0000.0%10.0%0.00%0.0%
BA  BOEING CO$2,000
-33.3%
100.0%0.00%
-50.0%
MRO  MARATHON OIL CORP$1,0000.0%980.0%0.00%0.0%
BSCL  INVESCO EXCH TRD SLF IDX FD$1,0000.0%280.0%0.00%0.0%
GHC  GRAHAM HLDGS CO$1,0000.0%10.0%0.00%0.0%
ASIX  ADVANSIX INC$2,0000.0%580.0%0.00%0.0%
WFC  WELLS FARGO CO NEW$2,0000.0%530.0%0.00%0.0%
PSX  PHILLIPS 66$010.0%0.00%
 DIFFUSION PHARMACEUTICALS IN$020.0%0.00%
JAX  J ALEXANDERS HLDGS INC$080.0%0.00%
HPQ  HP INC$010.0%0.00%
NKLA  NIKOLA CORP$0100.0%0.00%
ARKG  ARK ETF TRgenomic rev etf$040.0%0.00%
Original filings

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

  • View 13F-HR filed 2021-08-04
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
SPDR S&P 500 ETF TR39Q3 20237.0%
ISHARES TR39Q3 20238.3%
SPDR S&P MIDCAP 400 ETF TR39Q3 20237.2%
ISHARES TR39Q3 20236.5%
ISHARES TR39Q3 20234.1%
SELECT SECTOR SPDR TR39Q3 20232.9%
COCA COLA CO39Q3 20232.2%
DISNEY WALT CO39Q3 20232.0%
JOHNSON & JOHNSON39Q3 20231.7%
SELECT SECTOR SPDR TR39Q3 20231.8%

View St. Johns Investment Management Company, LLC's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-04-15
13F-HR2024-02-07
13F-HR2023-10-13
13F-HR2023-07-20
13F-HR2023-05-04
13F-HR2023-02-10
13F-HR2022-11-02
13F-HR2022-08-03
13F-HR2022-04-20
13F-HR2022-02-08

View St. Johns Investment Management Company, LLC's complete filings history.

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