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Stock Style
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Stock Style shows hedge fund manager's main investment focus in Value or Growth. It is determined based on analysis of portfolio holdings that are part of about 3000 US Stocks.
Style
Market Cap
Large
Value
Mid
Blend
Small
Growth
79
3
9
3
5
1
58
18
6
FIELD MAIN BANK

Time Period2018-09-30

Total Holdings223

Total Value ($x1000)111,967
Activities
New2

Increased26

Unchanged103

Decreased92

Sold Out6

Top 10 Stock Holdingstotal 29.39%
AAPL5.75

V3.37

AMZN2.96

UNH2.82

JNJ2.66

 
HD2.59

GOOGL2.57

WMT2.47

KO2.14

JPM2.06

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
AAPL
5.75%
COM
V
3.37%
COM CL A
AMZN
2.96%
COM
UNH
2.82%
COM
JNJ
2.66%
COM
HD
2.59%
COM
GOOGL
2.57%
CAP STK CL A
WMT
2.47%
COM
KO
2.14%
COM
JPM
2.06%
COM
SYK
1.94%
COM
BA
1.93%
COM
AVGO
1.89%
COM
DIS
1.75%
COM DISNEY
BRK.B
1.58%
CL B NEW
FB
1.56%
CL A
INTC
1.54%
COM
UTX
1.45%
COM
UNP
1.27%
COM
BABA
1.24%
SPONSORED ADS
TJX
1.23%
COM
CVX
1.22%
COM
PRU
1.15%
COM
MSFT
1.14%
COM
GS
1.13%
COM
ABT
1.1%
COM
CRM
1.1%
COM
VNLA
1.09%
SHORT DUR ETF
ETN
1.05%
SHS
ABBV
1%
COM
XOM
0.99%
COM
RCL
0.98%
COM
C
0.97%
COM NEW
MCD
0.92%
COM
TMUS
0.9%
COM
WM
0.87%
COM
PEP
0.86%
COM
VLO
0.85%
COM
CSCO
0.84%
COM
PG
0.84%
COM
BMY
0.83%
COM
BX
0.82%
COM UNIT LTD
AMGN
0.82%
COM
VZ
0.81%
COM
COST
0.79%
COM
WFC
0.77%
COM
WBA
0.75%
COM
ACN
0.73%
SHS CLASS A
T
0.73%
COM
PANW
0.69%
COM
ADBE
0.68%
COM
KSS
0.61%
COM
NEE
0.6%
COM
EOG
0.6%
COM
TMO
0.58%
COM
SWKS
0.58%
COM
PGX
0.57%
PFD ETF
HON
0.56%
COM
FREL
0.55%
MSCI RL EST ETF
NUE
0.54%
COM
SYY
0.51%
COM
IDU
0.51%
U.S. UTILITS ETF
MDT
0.5%
SHS
PGF
0.48%
FINL PFD ETF
DWDP
0.48%
COM
PX
0.47%
COM
SLB
0.47%
COM
KMB
0.46%
COM
BAC
0.46%
COM
PM
0.45%
COM
VAR
0.43%
COM
GOOG
0.42%
CAP STK CL C
MDLZ
0.42%
CL A
ADP
0.41%
COM
PPG
0.4%
COM
HAL
0.4%
COM
FSLR
0.4%
COM
HSY
0.39%
COM
CELG
0.38%
COM
MLPX
0.38%
GLB X MLP ENRG I
VVC
0.37%
COM
MPC
0.35%
COM
NKE
0.35%
CL B
SBUX
0.34%
COM
TM
0.32%
SP ADR REP2COM
PYPL
0.3%
COM
BAX
0.28%
COM
ISRG
0.27%
COM NEW
PFE
0.26%
COM
CVS
0.26%
COM
GD
0.26%
COM
MO
0.23%
COM
UL
0.23%
SPON ADR NEW
LYB
0.23%
SHS - A -
CMI
0.22%
COM
D
0.22%
COM
APC
0.21%
COM
ONB
0.2%
COM
AFL
0.2%
COM
IBM
0.2%
COM
IR
0.2%
SHS
TU
0.19%
COM
XHB
0.18%
S&P HOMEBUILD
COP
0.17%
COM
MMM
0.16%
COM
STT
0.16%
COM
CAT
0.15%
COM
DUK
0.15%
COM NEW
GIS
0.15%
COM
IJH
0.14%
CORE S&P MCP ETF
PNR
0.14%
SHS
USB
0.14%
COM NEW
EWBC
0.13%
COM
VOD
0.13%
SPNSR ADR NO PAR
ORCL
0.13%
COM
GSK
0.13%
SPONSORED ADR
OXY
0.13%
COM
VBR
0.12%
SM CP VAL ETF
GABC
0.12%
COM
CL
0.11%
COM
APA
0.11%
COM
GILD
0.1%
COM
LMT
0.1%
COM
PKG
0.1%
COM
LUV
0.09%
COM
NTRS
0.09%
COM
BP
0.09%
SPONSORED ADR
DHR
0.09%
COM
LLY
0.08%
COM
TRV
0.08%
COM
IYM
0.08%
U.S. BAS MTL ETF
PAYX
0.08%
COM
MRK
0.08%
COM
ECL
0.07%
COM
GE
0.07%
COM
PNC
0.07%
COM
MDY
0.07%
UTSER1 S&PDCRP
CHD
0.06%
COM
SCHW
0.06%
COM
ATO
0.06%
COM
AXP
0.06%
COM
LNT
0.06%
COM
RDS/A
0.05%
SPONS ADR A
DPZ
0.05%
COM
MNST
0.05%
COM
MA
0.05%
CL A
BLK
0.05%
COM
KR
0.05%
COM
FTV
0.05%
COM
IFF
0.05%
COM
COL
0.05%
COM
DG
0.05%
COM
ENB
0.05%
COM
SHW
0.04%
COM
AMT
0.04%
COM
VNQ
0.04%
REIT ETF
SBAC
0.04%
CL A
ED
0.04%
COM
QCOM
0.04%
COM
CSX
0.04%
COM
NOC
0.04%
COM
AMX
0.04%
SPON ADR L SHS
APD
0.04%
COM
CB
0.04%
COM
KHC
0.03%
COM
SO
0.03%
COM
EW
0.03%
COM
JCI
0.03%
SHS
BIIB
0.03%
COM
CMCSA
0.03%
CL A
SPY
0.03%
TR UNIT
BBT
0.03%
COM
PCG
0.03%
COM
ITT
0.03%
COM
LRCX
0.02%
COM
SIVB
0.02%
COM
RTN
0.02%
COM NEW
STI
0.02%
COM
NHI
0.02%
COM
IYZ
0.02%
U.S. TELECOM ETF
WPC
0.02%
COM
FDX
0.02%
COM
AON
0.02%
SHS CL A
LOW
0.02%
COM
UPS
0.02%
CL B
MKC
0.02%
COM NON VTG
GWW
0.02%
COM
NSC
0.02%
COM
O
0.01%
COM
HCN
0.01%
COM
WBT
0.01%
COM
PSX
0.01%
COM
YUM
0.01%
COM
FOXA
0.01%
CL A
MCHP
0.01%
COM
VRTS
0.01%
COM
LII
0.01%
COM
NVG
0.01%
COM
GLD
0.01%
GOLD SHS
TXN
0.01%
COM
GLW
0.01%
COM
TRGP
0.01%
COM
CAG
0.01%
COM
BERY
0.01%
COM
HBC
0.01%
SPON ADR NEW
LW
0.01%
COM
SIRI
0.01%
COM
MMC
0.01%
COM
JBLU
< 0.01%
COM
ROST
< 0.01%
COM
EFX
< 0.01%
COM
BK
< 0.01%
COM
CCI
< 0.01%
COM
F
< 0.01%
COM PAR $0.01
NXRT
< 0.01%
COM
SPOT
< 0.01%
SHS
STZ
< 0.01%
CL A
IYE
< 0.01%
U.S. ENERGY ETF
EQT
< 0.01%
COM
JD
< 0.01%
SPON ADR CL A
UA/C
< 0.01%
CL C
ARNC
< 0.01%
COM
AA
< 0.01%
COM
KEYS
0.06%
COM
EBAY
0.02%
COM
MCY
0.01%
COM
SOR
< 0.01%
COM
CC
< 0.01%
COM
PXD
< 0.01%
COM