ELCO Management Co., LLC - Q3 2020 holdings

$123 Million is the total value of ELCO Management Co., LLC's 134 reported holdings in Q3 2020. The portfolio turnover from Q2 2020 to Q3 2020 was 15.4% .

 Value Shares↓ Weighting
AMZN SellAMAZON COM INC$4,959,000
+7.4%
1,575
-5.9%
4.04%
+4.0%
HD SellHOME DEPOT INC$4,268,000
+9.7%
15,367
-1.1%
3.48%
+6.3%
ILMN SellILLUMINA INC$4,221,000
-19.0%
13,657
-2.9%
3.44%
-21.5%
MSFT SellMICROSOFT CORP$3,301,000
-3.3%
15,695
-6.4%
2.69%
-6.3%
GOOG SellALPHABET INCcap stk cl c$2,779,000
+2.3%
1,891
-1.6%
2.27%
-0.9%
LNG SellCHENIERE ENERGY INC$2,691,000
-4.5%
58,165
-0.2%
2.19%
-7.5%
HXL SellHEXCEL CORP NEW$2,322,000
-26.5%
69,212
-0.9%
1.89%
-28.8%
SUN SellSUNOCO LP/SUNOCO FIN CORP$2,097,000
+4.7%
85,995
-2.0%
1.71%
+1.4%
PG SellPROCTER AND GAMBLE CO$1,949,000
+15.9%
14,025
-0.3%
1.59%
+12.2%
NEE SellNEXTERA ENERGY INC$1,858,000
+14.4%
6,695
-1.0%
1.52%
+10.8%
MPLX SellMPLX LP$1,762,000
-14.5%
111,923
-6.2%
1.44%
-17.2%
SRE SellSEMPRA ENERGY$1,752,000
+0.6%
14,799
-0.4%
1.43%
-2.5%
DIS SellDISNEY WALT CO$1,727,000
+9.6%
13,918
-1.5%
1.41%
+6.1%
BA SellBOEING CO$1,612,000
-10.1%
9,754
-0.3%
1.31%
-13.0%
D SellDOMINION ENERGY INC$1,427,000
-3.8%
18,074
-1.0%
1.16%
-6.7%
CL SellCOLGATE PALMOLIVE CO$1,350,000
-10.1%
17,500
-14.6%
1.10%
-12.9%
MCD SellMCDONALDS CORP$1,334,000
+18.2%
6,078
-0.7%
1.09%
+14.5%
EPD SellENTERPRISE PRODS PARTNERS L$1,260,000
-15.4%
79,790
-2.6%
1.03%
-18.0%
STZ SellCONSTELLATION BRANDS INCcl a$1,243,000
+7.8%
6,557
-0.5%
1.01%
+4.4%
JPM SellJPMORGAN CHASE & CO$1,195,000
+1.4%
12,417
-0.9%
0.97%
-1.8%
VZ SellVERIZON COMMUNICATIONS INC$1,016,000
+6.1%
17,077
-1.7%
0.83%
+2.7%
ICE SellINTERCONTINENTAL EXCHANGE IN$1,002,000
-0.7%
10,015
-9.1%
0.82%
-3.8%
TRGP SellTARGA RES CORP$996,000
-32.2%
71,007
-3.0%
0.81%
-34.4%
HUBB SellHUBBELL INC$887,000
+8.4%
6,484
-0.6%
0.72%
+4.9%
RTX SellRAYTHEON TECHNOLOGIES CORP$869,000
-6.6%
15,094
-0.0%
0.71%
-9.5%
ZBH SellZIMMER BIOMET HOLDINGS INC$854,000
+12.8%
6,270
-1.2%
0.70%
+9.3%
MMP SellMAGELLAN MIDSTREAM PRTNRS LP$852,000
-28.1%
24,918
-9.3%
0.70%
-30.4%
CVS SellCVS HEALTH CORP$817,000
-12.9%
13,985
-3.2%
0.67%
-15.7%
INTC SellINTEL CORP$813,000
-13.6%
15,708
-0.1%
0.66%
-16.3%
KMI SellKINDER MORGAN INC DEL$612,000
-26.6%
49,673
-9.6%
0.50%
-28.9%
STXB SellSPIRIT OF TEX BANCSHARES INC$568,000
-9.6%
50,890
-0.2%
0.46%
-12.5%
KTOS SellKRATOS DEFENSE & SEC SOLUTIO$553,000
+21.5%
28,700
-1.4%
0.45%
+17.8%
XLV SellSELECT SECTOR SPDR TRsbi healthcare$488,000
+3.4%
4,625
-1.9%
0.40%
+0.3%
PAA SellPLAINS ALL AMERN PIPELINE Lunit ltd partn$482,000
-33.0%
80,635
-0.9%
0.39%
-35.0%
KO SellCOCA COLA CO$445,000
+10.4%
9,019
-0.0%
0.36%
+7.1%
BDJ SellBLACKROCK ENHANCED EQUITY DI$436,000
-1.6%
59,700
-1.2%
0.36%
-4.6%
NEP SellNEXTERA ENERGY PARTNERS LP$432,000
+7.2%
7,205
-8.3%
0.35%
+3.8%
FBMS SellFIRST BANCSHARES INC MS$416,000
-7.6%
19,858
-0.7%
0.34%
-10.6%
DOW SellDOW INC$394,000
+14.9%
8,373
-0.5%
0.32%
+11.1%
EQBK SellEQUITY BANCSHARES INC$391,000
-17.2%
25,200
-6.9%
0.32%
-19.6%
SLCT SellSELECT BANCORP INC NEW$379,000
-18.7%
52,765
-7.9%
0.31%
-21.2%
NGL SellNGL ENERGY PARTNERS LP$369,000
-1.9%
93,075
-3.4%
0.30%
-5.0%
MYFW SellFIRST WESTN FINL INC$363,000
-18.1%
28,058
-9.8%
0.30%
-20.6%
XYL SellXYLEM INC$330,000
-52.9%
3,923
-63.6%
0.27%
-54.3%
OKE SellONEOK INC NEW$314,000
-26.3%
12,085
-5.8%
0.26%
-28.7%
ABCB SellAMERIS BANCORP$289,000
-51.1%
12,682
-49.4%
0.24%
-52.6%
GEL SellGENESIS ENERGY L Punit ltd partn$281,000
-40.3%
62,545
-4.1%
0.23%
-42.2%
XLF SellSELECT SECTOR SPDR TRsbi int-finl$270,0000.0%11,215
-3.7%
0.22%
-3.1%
LMT SellLOCKHEED MARTIN CORP$238,000
-3.3%
620
-8.1%
0.19%
-6.3%
USA SellLIBERTY ALL STAR EQUITY FDsh ben int$227,000
+2.3%
37,800
-2.6%
0.18%
-1.1%
LMST SellLIMESTONE BANCORP INC$205,000
-20.5%
19,471
-0.8%
0.17%
-23.0%
ESQ SellESQUIRE FINL HLDGS INC$198,000
-42.8%
13,192
-35.5%
0.16%
-44.7%
ESXB SellCOMMUNITY BANKERS TR CORP$182,000
-9.5%
35,880
-1.7%
0.15%
-12.4%
HBMD SellHOWARD BANCORP INC$173,000
-23.5%
19,237
-9.7%
0.14%
-25.8%
ENLC SellENLINK MIDSTREAM LLC$35,000
-12.5%
15,000
-9.1%
0.03%
-14.7%
ANTE ExitAIRNET TECHNOLOGY INCsponsored ads$0-20,000
-100.0%
-0.01%
DBCP ExitDELMAR BANCORP$0-10,851
-100.0%
-0.06%
AMAL ExitAMALGAMATED BK NEW YORK N Yclass a$0-15,709
-100.0%
-0.17%
TCP ExitTC PIPELINES LP$0-7,125
-100.0%
-0.19%
WFC ExitWELLS FARGO CO NEW$0-8,864
-100.0%
-0.19%
HTBK ExitHERITAGE COMMERCE CORP$0-37,068
-100.0%
-0.23%
BCTF ExitBANCORP 34 INC$0-50,894
-100.0%
-0.48%
UNP ExitUNION PAC CORP$0-3,604
-100.0%
-0.51%
RRBI ExitRED RIVER BANCSHARES INC$0-14,900
-100.0%
-0.55%
PSX ExitPHILLIPS 66$0-14,504
-100.0%
-0.88%
Original filings

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

  • View 13F-HR filed 2020-11-12
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
WILLIAMS COS INC DEL29Q3 20236.4%
ENERGY TRANSFER LP29Q3 20235.7%
HEXCEL CORP NEW29Q3 20238.0%
CHENIERE ENERGY INC29Q3 20236.9%
APPLE INC29Q3 20235.9%
TARGA RES CORP29Q3 20233.7%
ILLUMINA INC29Q3 20234.4%
AMAZON COM INC29Q3 20234.0%
MPLX LP29Q3 20232.4%
HOME DEPOT INC29Q3 20233.5%

View ELCO Management Co., LLC's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-05-14
13F-HR2024-02-14
13F-HR2023-11-14
13F-HR2023-08-11
13F-HR2023-05-15
13F-HR2023-02-14
13F-HR2022-11-14
13F-HR2022-08-12
13F-HR2022-05-16
13F-HR2022-02-14

View ELCO Management Co., LLC's complete filings history.

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