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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
17
3
6
0
1
0
17
1
6
HILTON CAPITAL MANAGEMENT LLC

Time Period2017-09-30

Total Holdings127

Total Value ($x1000)573,001
Activities
New23

Increased33

Unchanged44

Decreased27

Sold Out12

Top 10 Stock Holdingstotal 32.33%
NTB4.71

JPM3.52

BR3.46

RSG3.15

HRS2.93

 
GPT2.93

EPD2.93

RWT2.91

AOS2.9

MSFG2.89

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
GVI
9.55%
PRN
NTB
4.71%
SHS NEW
JPM
3.52%
COM
BR
3.46%
COM
VTA
3.42%
PRN
RSG
3.15%
COM
VCSH
3.14%
PRN
HRS
2.93%
COM
GPT
2.93%
COM NEW
EPD
2.93%
COM
JQC
2.92%
PRN
RWT
2.91%
COM
AOS
2.9%
COM
MSFG
2.89%
COM
PCI
2.88%
PRN
NRE
2.7%
COM
MMP
2.67%
COM UNIT RP LP
JLS
2.57%
PRN
SBUX
2.43%
COM
FSC
2.36%
COM
COST
2.35%
COM
DHI
2.26%
COM
HCI GROU...
2.02%
PRN
MCD
1.99%
COM
VCIT
1.98%
PRN
LII
1.94%
COM
CME
1.86%
COM
FCPT
1.83%
COM
FLOT
1.5%
PRN
JNJ
1.4%
COM
AMZN
1.14%
COM
GOOG
0.95%
CAP STK CL C
SJT
0.83%
UNIT BEN INT
HBMD
0.7%
COM
COLONY F...
0.61%
PRN
QQQ
0.59%
PRN
AAPL
0.51%
COM
AMJ
0.38%
PRN
HBC/PA
0.35%
PRN
WES
0.3%
COM UNIT LP IN
SHV
0.3%
PRN
VNQ
0.28%
PRN
XLI
0.26%
PRN
FB
0.25%
CL A
LQD
0.24%
PRN
AXP
0.22%
COM
PAA
0.19%
UNIT LTD PARTN
TRGP
0.18%
COM
CELG
0.17%
COM
IWM
0.16%
PRN
SIVB
0.16%
COM
XLV
0.15%
PRN
BABA
0.14%
SPONSORED ADS
ISD
0.13%
PRN
IWR
0.13%
PRN
BRK.B
0.13%
CL B NEW
MSFT
0.13%
COM
XOM
0.12%
COM
DIA
0.12%
UT SER 1
GOOGL
0.11%
CAP STK CL A
XLP
0.11%
PRN
XLY
0.11%
PRN
MDLZ
0.1%
CL A
BRG
0.1%
COM CL A
XLB
0.09%
PRN
WPZ
0.09%
COM UNIT LTD PAR
TEP
0.09%
COM UNIT
ETE
0.08%
COM UT LTD PTN
GE
0.08%
COM
IYG
0.08%
PRN
SFBS
0.08%
COM
TER
0.08%
COM
MO
0.08%
COM
ITB
0.07%
PRN
BX
0.07%
COM UNIT LTD
ABBV
0.07%
COM
OZRK
0.07%
COM
MU
0.07%
COM
FTEC
0.07%
PRN
VHT
0.07%
PRN
ONEQ
0.07%
PRN
VWO
0.07%
PRN
FCB
0.07%
CL A
AMD
0.07%
COM
WB
0.07%
SPONSORED ADR
BLK
0.07%
COM
NSA
0.06%
COM SHS BEN IN
MSL
0.06%
COM
MDY
0.06%
PRN
AMP
0.06%
COM
OPB
0.06%
COM
KNOW
0.06%
PRN
KKR
0.06%
COM UNITS
BANC
0.06%
COM
CSCO
0.06%
COM
ALLY
0.06%
COM
MAR
0.06%
CL A
FIDU
0.05%
PRN
NVG
0.05%
PRN
HD
0.05%
COM
FSTA
0.05%
PRN
SHOP
0.05%
CL A
MRK
0.05%
COM
HYS
0.05%
PRN
MPLX
0.05%
COM UNIT REP LTD
OSTK
0.05%
COM
UAL
0.05%
COM
LTXB
0.05%
COM
INTC
0.05%
COM
HTBK
0.05%
COM
C
0.04%
COM NEW
LLSP
0.04%
PRN
EDAP
0.04%
SPONSORED ADR
IWF
0.04%
PRN
GS
0.04%
COM
IWS
0.04%
PRN
DIS
0.04%
COM DISNEY
AMRB
0.04%
COM
PG
0.04%
COM
NAC
0.04%
PRN
HLT
0.04%
WHEN ISSUED
KMI
0.04%
COM
DX
0.03%
COM NEW
RAD
0.03%
COM
LTEA
0.01%
COM
EMAN
< 0.01%
COM NEW
EVEP
< 0.01%
COM UNITS
KEY
2.75%
COM
RESI
1.86%
CL B
AMJ
0.41%
ALERIAN ML ETN
LOW
0.22%
COM
LOAN
0.05%
COM
SWX
0.05%
COM
SBBX
0.04%
COM
MTGE
0.04%
COM
TCBI
0.04%
COM
MITK
0.03%
COM NEW
NGD
0.02%
COM
NSU
0.01%
COM