Blue Granite Capital, LLC - Q1 2017 holdings

$3.41 Million is the total value of Blue Granite Capital, LLC's 106 reported holdings in Q1 2017. The portfolio turnover from Q4 2016 to Q1 2017 was 2.9% .

 Value Shares↓ Weighting
CSCO  CISCO SYSTEMS, INC.$3,999,000
+11.9%
118,3000.0%2.62%
+3.0%
ABT  ABBOTT LABORATORIES$3,840,000
+15.6%
86,4600.0%2.51%
+6.4%
DIS  THE WALT DISNEY COMPANY$3,609,000
+8.8%
31,8300.0%2.36%
+0.1%
HD  THE HOME DEPOT, INC.$3,501,000
+9.5%
23,8450.0%2.29%
+0.7%
V  VISA INC.$3,413,000
+13.9%
38,4100.0%2.23%
+4.8%
AER  AERCAP HOLDINGS N.V.$3,264,000
+10.5%
71,0000.0%2.14%
+1.7%
F  FORD MOTOR COMPANY$3,256,000
-4.0%
279,7500.0%2.13%
-11.7%
ETN  EATON CORPORATION PUBLIC LIMITED COMPANY$3,222,000
+10.5%
43,4500.0%2.11%
+1.7%
JPM  JPMORGAN CHASE & CO.$3,166,000
+1.8%
36,0400.0%2.07%
-6.3%
PAY  VERIFONE SYSTEMS, INC.$3,004,000
+5.6%
160,4000.0%1.96%
-2.8%
MRK  MERCK & CO., INC.$2,852,000
+7.9%
44,8800.0%1.87%
-0.6%
ANTM  ANTHEM, INC.$2,811,000
+15.0%
17,0000.0%1.84%
+5.9%
ORCL  ORACLE CORPORATION$2,766,000
+16.0%
62,0000.0%1.81%
+6.8%
COST  COSTCO WHOLESALE CORPORATION$2,643,000
+4.8%
15,7600.0%1.73%
-3.6%
CELG  CELGENE CORPORATION$2,613,000
+7.5%
21,0000.0%1.71%
-1.1%
HON  HONEYWELL INTERNATIONAL INC.$2,266,000
+7.8%
18,1500.0%1.48%
-0.8%
BLK  BLACKROCK, INC.$2,259,000
+0.8%
5,8900.0%1.48%
-7.3%
GM  GENERAL MOTORS COMPANY$1,853,000
+1.5%
52,4000.0%1.21%
-6.6%
KEY  KEYCORP$1,822,000
-2.7%
102,5000.0%1.19%
-10.4%
HAL  HALLIBURTON COMPANY$1,797,000
-9.0%
36,5250.0%1.18%
-16.2%
AMAT  APPLIED MATERIALS, INC.$1,692,000
+20.5%
43,5000.0%1.11%
+10.9%
SXL  SUNOCO LOGISTICS PARTNERS L.P.$1,441,000
+1.7%
59,0000.0%0.94%
-6.4%
PG  THE PROCTER & GAMBLE COMPANY$1,334,000
+6.9%
14,8450.0%0.87%
-1.6%
JNJ  JOHNSON & JOHNSON$1,253,000
+8.1%
10,0600.0%0.82%
-0.5%
FB  FACEBOOK, INC.$1,175,000
+23.6%
8,2700.0%0.77%
+13.8%
PM  PHILIP MORRIS INTERNATIONAL INC.$1,166,000
+23.5%
10,3250.0%0.76%
+13.7%
RTN  RAYTHEON COMPANY$1,119,000
+7.4%
7,3350.0%0.73%
-1.2%
EMB  ISHARES TR JPMORGAN USD EMERGING MKTS BD ETFetf$975,000
+3.2%
8,5750.0%0.64%
-5.1%
IGSB  ISHARES TR 1-3 YR CR BD ETFetf$844,000
+0.2%
8,0250.0%0.55%
-7.8%
TIP  ISHARES TR TIPS BD ETFetf$699,000
+1.3%
6,1000.0%0.46%
-6.7%
KKR  KKR & CO. L.P.$693,000
+18.5%
38,0000.0%0.45%
+8.9%
MBB  ISHARES TR MBS ETFetf$603,000
+0.3%
5,6550.0%0.39%
-7.7%
ODP  OFFICE DEPOT, INC.$583,000
+3.2%
125,0000.0%0.38%
-5.2%
PTCT  PTC THERAPEUTICS, INC.$571,000
-9.8%
58,0000.0%0.37%
-16.9%
MA  MASTERCARD INC CL A COM$567,000
+8.8%
5,0450.0%0.37%
+0.3%
AMZN  AMAZON COM INC$457,000
+18.4%
5150.0%0.30%
+9.1%
FOXA  TWENTY-FIRST CENTY FOX INC CL A$420,000
+15.4%
12,9750.0%0.28%
+6.2%
FLOT  ISHARES TR FLTG RATE NT ETFetf$397,000
+0.3%
7,8000.0%0.26%
-7.5%
KO  COCA COLA COMPANY$353,000
+2.3%
8,3250.0%0.23%
-5.7%
GIS  GENERAL MILLS INC COM$345,000
-4.4%
5,8500.0%0.23%
-12.1%
MINT  PIMCO ETF TR ENHANCED SHORT MAT ACTIVE ETFetf$333,000
+0.3%
3,2750.0%0.22%
-7.6%
VZ  VERIZON COMMUNICATIONS INC COM$290,000
-8.5%
5,9460.0%0.19%
-15.6%
ICE  INTERCONTINENTAL EXCHANGE INC COM$277,000
+5.7%
4,6350.0%0.18%
-2.7%
NBR  NABORS INDS LTD SHS ISIN#BMG6359F1032$269,000
-20.2%
20,5750.0%0.18%
-26.7%
AGG  ISHARES TR CORE U S AGGREGATE BD ETFetf$233,000
+0.4%
2,1450.0%0.15%
-7.9%
CMBS  ISHARES TR CMBS ETFetf$215,000
+0.5%
4,2000.0%0.14%
-7.2%
NEAR  ISHARES U S ETF TR SHORT MTY BD ETFetf$211,0000.0%4,2000.0%0.14%
-8.0%
RAI  REYNOLDS AMERN INC COM$176,000
+12.1%
2,8000.0%0.12%
+2.7%
PEP  PEPSICO INC COM$157,000
+7.5%
1,4000.0%0.10%
-1.0%
XLU  SELECT SECTOR SPDR TR UTILSetf$154,000
+5.5%
3,0000.0%0.10%
-2.9%
DVMT  DELL TECHNOLOGIES INC CL V$153,000
+16.8%
2,3900.0%0.10%
+7.5%
BIB  PROSHARES TR PROSHARES ULTRA NASDAQ BIOTECHNOLOGYetf$145,000
+20.8%
3,0000.0%0.10%
+11.8%
BOND  PIMCO ETF TR TOTAL RETURN ACTIVE ETFetf$84,000
+1.2%
8000.0%0.06%
-6.8%
SPY  SPDR S&P 500 ETF TR TR UNITetf$47,000
+4.4%
2000.0%0.03%
-3.1%
DD  DU PONT E I DE NEMOURS & CO COM$40,000
+8.1%
5000.0%0.03%0.0%
SWK  STANLEY BLACK & DECKER INC COM$27,000
+17.4%
2000.0%0.02%
+12.5%
CVX  CHEVRON CORP NEW COM$27,000
-6.9%
2500.0%0.02%
-14.3%
IYC  ISHARES TR U S CONSUMER SVCS ETFetf$24,000
+4.3%
1500.0%0.02%0.0%
IGM  ISHARES TR NORTH AMERN TECH ETFetf$21,000
+10.5%
1500.0%0.01%0.0%
IYK  ISHARES TR U S CONSUMER GOODS ETFetf$18,000
+5.9%
1500.0%0.01%0.0%
IYH  ISHARES TR U S HEALTHCARE ETFetf$19,000
+5.6%
1250.0%0.01%
-7.7%
IYF  ISHARES TR US FINANCIALS ETF INDEX FDetf$16,000
+6.7%
1500.0%0.01%
-9.1%
IYJ  ISHARES TR US INDUSTRIALS ETFetf$16,000
+6.7%
1250.0%0.01%
-9.1%
IWD  ISHARES TR RUSSELL 1000 VALUE ETFetf$12,0000.0%1050.0%0.01%
-11.1%
IWN  ISHARES TR RUSSELL 2000 VALUE ETFetf$10,0000.0%880.0%0.01%0.0%
KXI  ISHARES TR GLOBAL CONSUMER STAPLES ETFetf$5,0000.0%500.0%0.00%
-25.0%
GOOGL  ALPHABET INC CAP STK CL A$3,0000.0%40.0%0.00%0.0%
OZM  OCH-ZIFF CAP MGMT GROUP CL A SHS$1,000
-50.0%
5000.0%0.00%0.0%
JCI  JOHNSON CTLS INTL PLC SHS ISIN#IE00BY7QL619$010.0%0.00%
XCO  EXCO RES INC COM$05500.0%0.00%
Original filings

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

  • View 13F-HR filed 2017-05-05
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
SPDR S&P 500 ETF TRUST5Q4 201741.9%
BANK OF AMERICA CORPORATION COM5Q4 20173.5%
ISHARES TRUST5Q4 201711.0%
APPLE INC COM5Q4 20172.9%
CISCO SYSTEMS, INC.5Q4 20172.6%
THE BOEING COMPANY5Q4 20172.9%
CVS HEALTH CORPORATION5Q4 20172.8%
THE WALT DISNEY COMPANY5Q4 20172.4%
THE KROGER CO.5Q4 20172.6%
PFIZER INC COM5Q4 20172.7%

View Blue Granite Capital, LLC's complete holdings history.

Latest filings
TypeFiled
13F-HR2018-02-14
13F-HR2017-11-01
13F-HR2017-07-17
13F-HR2017-05-05
13F-HR2017-02-02

View Blue Granite Capital, LLC's complete filings history.

Compare quarters

Issues

The following issues were detected while analyzing the report:

  • The reported total value is incorrect (3409000.0 != 152858000.0)

Export Blue Granite Capital, LLC's holdings