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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.
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Small
Growth
17
10
16
2
5
0
19
7
24
MALAGA COVE CAPITAL LLC

Time Period2019-03-31

Total Holdings163

Total Value ($x1000)163,491
Activities
New21

Increased49

Unchanged28

Decreased65

Sold Out21

Top 10 Stock Holdingstotal 27.13%
ON6.62

FDX3.87

AMGN3.14

VNOM2.28

TRIP2.04

 
JEC1.93

WUBA1.89

AMZN1.89

RTEC1.76

NEM1.71

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
ON
6.62%
COM
FDX
3.87%
COM
AMGN
3.14%
COM
VNOM
2.28%
COM UNT RP INT
TRIP
2.04%
COM
JEC
1.93%
COM
WUBA
1.89%
SPON ADR REP A
AMZN
1.89%
COM
RTEC
1.76%
COM
NEM
1.71%
COM
MDSO
1.63%
COM
VLO
1.54%
COM
DIS
1.44%
COM DISNEY
AVNS
1.36%
COM
AAXN
1.29%
COM
HRI
1.27%
COM
OC
1.23%
COM
MPC
1.14%
COM
TSE
1.12%
SHS
TECD
1.12%
COM
JPM
1.11%
COM
TCO
1.06%
COM
QRTEA
1.05%
COM SER A
CSCO
1.04%
COM
NTNX
1.01%
CL A
BA
1.01%
COM
NUVA
0.9%
COM
ALK
0.89%
COM
NTGR
0.84%
COM
SKT
0.83%
COM
ARW
0.82%
COM
AYX
0.81%
CL A
BHE
0.8%
COM
COTY
0.77%
COM CL A
PEGI
0.73%
CL A
REGN
0.73%
COM
HOLI
0.72%
SHS
SJM
0.72%
COM NEW
LBTYA
0.7%
SHS CL A
HUN
0.67%
COM
LIND
0.66%
COM
DFIN
0.65%
COM
INFO
0.64%
SHS
RH
0.64%
COM
AMP
0.62%
COM
FORM
0.61%
COM
MTN
0.61%
COM
MU
0.6%
COM
INGN
0.6%
COM
LRCX
0.6%
COM
ODFL
0.59%
COM
FSLR
0.59%
COM
SNPS
0.58%
COM
PAC
0.58%
SPON ADR B
DISCA
0.57%
COM SER A
GILD
0.55%
COM
VTR
0.55%
COM
ATVI
0.54%
COM
DSKE
0.54%
COM
ALLY
0.53%
COM
IPGP
0.53%
COM
TSM
0.53%
SPONSORED ADR
USCR
0.52%
COM NEW
WNC
0.52%
COM
PCRX
0.52%
COM
MMI
0.51%
COM
RTN
0.51%
COM NEW
BHC
0.51%
COM
MCK
0.5%
COM
NWL
0.49%
COM
VEEV
0.49%
CL A COM
ANET
0.49%
COM
MKSI
0.48%
COM
TROW
0.47%
COM
ACM
0.47%
COM
IP
0.46%
COM
TEAM
0.44%
CL A
TOL
0.44%
COM
VIAB
0.44%
CL B
NPO
0.44%
COM
FSTR
0.44%
COM
CLDR
0.44%
COM
STZ
0.42%
CL A
ABC
0.41%
COM
VMW
0.41%
CL A COM
FB
0.41%
CL A
JKHY
0.41%
COM
SWKS
0.4%
COM
PLAB
0.4%
COM
CSX
0.4%
COM
BIIB
0.39%
COM
WB
0.38%
SPONSORED ADR
STLD
0.38%
COM
BGCP
0.38%
CL A
SKX
0.38%
CL A
Z
0.38%
CL C CAP STK
IESC
0.38%
COM
CVCO
0.38%
COM
AMWD
0.38%
COM
ORCL
0.37%
COM
UNH
0.37%
COM
CBT
0.36%
COM
CISN
0.36%
SHS
GNTX
0.36%
COM
KAR
0.35%
COM
CNDT
0.35%
COM
NXPI
0.33%
COM
NVDA
0.33%
COM
FOXAV
0.33%
CL A COM
CTL
0.32%
COM
CAH
0.32%
COM
CAT
0.32%
COM
TSLA
0.32%
COM
MHK
0.31%
COM
AAPL
0.31%
COM
CVS
0.31%
COM
MOMO
0.31%
ADR
KLAC
0.3%
COM
BP
0.3%
SPONSORED ADR
LOGM
0.3%
COM
ADS
0.28%
COM
FLEX
0.27%
ORD
HCLP
0.27%
COM UNIT LTD
DBX
0.26%
CL A
GOOGL
0.25%
CAP STK CL A
TLND
0.25%
ADS
ZUO
0.24%
CL A
WDC
0.23%
COM
V
0.23%
COM CL A
MX
0.23%
COM
SUPN
0.23%
COM
PVTL
0.22%
CL A
ARLO
0.21%
COM
GSKY
0.21%
CL A
EA
0.2%
COM
ACLS
0.2%
COM NEW
IPI
0.19%
COM
DAL
0.18%
COM NEW
HPR
0.16%
COM
SCHW
0.16%
COM
HABT
0.16%
CL A
XOM
0.15%
COM
STRL
0.15%
COM
HK
0.14%
COM PAR NEW
BZUN
0.14%
SPONSORED ADR
NEWR
0.14%
COM
ATI
0.13%
COM
RDCM
0.13%
SHS NEW
CAAP
0.12%
COM
UNP
0.12%
COM
CATO
0.11%
CL A
CBLK
0.11%
COM
RAIL
0.09%
COM
CRNT
0.04%
ORD
HWCC
0.04%
COM
CPLP
0.03%
PARTNERSHP UNITS
EGY
0.03%
COM NEW
JASN
0.03%
COM
DSX
0.02%
COM
QUIK
0.01%
COM
ATNM
0.01%
COM
BLRX
0.01%
SPONSORED ADR
CBK
< 0.01%
COM
FOXA
1.48%
CL A
PANW
1.28%
COM
LB
0.8%
COM
HZNP
0.66%
SHS
ORBK
0.63%
ORD
CXP
0.43%
COM NEW
TK
0.41%
COM
UNIT
0.4%
COM
CELG
0.39%
COM
NMRK
0.22%
CL A
BBBY
0.21%
COM
HAIN
0.16%
COM
GRUB
0.15%
COM
NYCB
0.11%
COM
VSTO
0.11%
COM
DESP
0.09%
ORD SHS
MLP
0.08%
COM
NVTA
0.08%
COM
NMM
0.05%
UNIT LPI
CPLP
0.03%
COM UNIT LP
EVC
0.03%
CL A