Find Institutional Investor
Institutional Investor
Browse Institutional Investors
Time Period
Activity
Security Type
Top Percentile
?
Use this filter to see holdings within a selected percentile portfolio.

For example, click 10 to show only holdings in the top 10 percentile.

100908070605040302010%
Sectors
?
Use the pull down list to add one or more sectors to the space below and click Apply to filter out the holdings that belong to your selected sector(s).
 
Stock Style
?
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
18
3
4
1
3
0
13
2
3
PARKSIDE INVESTMENTS LLC

Time Period2018-12-31

Total Holdings103

Total Value ($x1000)230,440
Activities
New21

Increased55

Unchanged6

Decreased21

Sold Out73

Top 10 Stock Holdingstotal 34.4%
VWO8.46

TYG4.64

VEA3.49

SHM3.18

IJR3.04

 
IEFA2.98

AMLP2.74

CME2.17

KYN1.86

XOP1.84

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
VWO
8.46%
FTSE EMR MKT ETF
TYG
4.64%
COM
VEA
3.49%
FTSE DEV MKT ETF
SHM
3.18%
NUVN BR SHT MUNI
IJR
3.04%
CORE S&P SCP ETF
IEFA
2.98%
CORE MSCI EAFE
AMLP
2.74%
ALERIAN MLP
CME
2.17%
COM
KYN
1.86%
COM
XOP
1.84%
S&P OILGAS EXP
IWM
1.81%
RUSSELL 2000 ETF
IWN
1.74%
RUS 2000 VAL ETF
IBB
1.68%
NASDQ BIOTEC ETF
IWO
1.64%
RUS 2000 GRW ETF
AAPL
1.62%
COM
GLW
1.57%
COM
BAM
1.57%
CL A LTD VT SH
IAC
1.55%
COM PAR $.001
MSFT
1.55%
COM
FDX
1.5%
COM
UNH
1.45%
COM
GOOG
1.42%
CAP STK CL C
FLTR
1.41%
INVT GRADE FLTG
TMO
1.38%
COM
SPY
1.35%
TR UNIT
C
1.3%
COM NEW
IEMG
1.26%
CORE MSCI EMKT
WMT
1.17%
COM
DIS
1.15%
COM DISNEY
WBA
1.12%
COM
XLK
1.11%
TECHNOLOGY
TXN
1.07%
COM
DISCK
1.04%
COM SER C
CF
1.03%
COM
HYS
1.02%
0-5 HIGH YIELD
NEE
0.99%
COM
XLY
0.98%
SBI CONS DISCR
JPM
0.96%
COM
AL
0.96%
CL A
IJH
0.9%
CORE S&P MCP ETF
BSV
0.9%
SHORT TRM BOND
XLV
0.89%
SBI HEALTHCARE
BG
0.83%
COM
EOG
0.83%
COM
IDEV
0.82%
CORE MSCI INTL
CSCO
0.8%
COM
AGN
0.79%
SHS
JPST
0.79%
ULTRA SHRT INC
XPO
0.78%
COM
DSL
0.77%
COM
PAH
0.76%
COM
KRE
0.75%
S&P REGL BKG
IVV
0.75%
CORE S&P500 ETF
GT
0.72%
COM
NWL
0.7%
COM
FB
0.7%
CL A
MET
0.66%
COM
BWA
0.65%
COM
FCX
0.61%
COM
HYMB
0.61%
NUV HGHYLD MUN
BABA
0.55%
SPONSORED ADS
IWD
0.53%
RUS 1000 VAL ETF
CEM
0.5%
COM
VTI
0.44%
TOTAL STK MKT
MYL
0.44%
SHS EURO
M
0.41%
COM
BP
0.41%
SPONSORED ADR
IJS
0.4%
SP SMCP600VL ETF
FNDX
0.4%
SCHWAB FDT US LG
SCHV
0.39%
US LCAP VA ETF
SMH
0.38%
SEMICONDUCTOR ET
CSJ
0.37%
1-3 YR CR BD ETF
SCZ
0.37%
EAFE SML CP ETF
XBI
0.34%
S&P BIOTECH
XHB
0.31%
S&P HOMEBUILD
AMZN
0.28%
COM
GDX
0.27%
GOLD MINERS ETF
SLB
0.27%
COM
XLU
0.25%
SBI INT-UTILS
XLI
0.24%
SBI INT-INDS
EFA
0.23%
MSCI EAFE ETF
XLF
0.23%
SBI INT-FINL
STI
0.23%
COM
FMC
0.22%
COM NEW
XLP
0.22%
SBI CONS STPLS
XRT
0.21%
S&P RETAIL ETF
BXMT
0.18%
COM CL A
CMCSA
0.18%
CL A
BAC
0.16%
COM
MBFI
0.16%
COM
ORCL
0.16%
COM
XLE
0.14%
SBI INT-ENERGY
OIH
0.13%
OIL SVCS ETF
ANCX
0.13%
COM
WPX
0.13%
COM
TFI
0.12%
NUVN BRCLY MUNI
LDUR
0.12%
LOW DURTN ETF
BLK
0.12%
COM
CRM
0.12%
COM
HON
0.12%
COM
APA
0.11%
COM
BMY
0.11%
COM
NVDA
0.09%
COM
GS
0.37%
COM
ZMH
0.28%
COM
ABBV
0.13%
COM
PFF
0.1%
U.S. PFD STK ETF
NFLX
0.09%
COM
UNP
0.09%
COM
WFC
0.08%
COM
VYM
0.08%
HIGH DIV YLD
TIP
0.08%
TIPS BD ETF
MTUM
0.07%
MSCI USAMOMFCT
GOOGL
0.06%
CAP STK CL A
PCI
0.06%
COM SHS
PFO
0.05%
COM
COST
0.05%
COM
GE
0.04%
COM
BCBP
0.04%
COM
MOFG
0.04%
COM
V
0.04%
COM CL A
SPG
0.03%
COM
UMBF
0.03%
COM
CMA
0.03%
COM
PG
0.02%
COM
COP
0.02%
COM
PTVCB
0.02%
CL B
BRK.B
0.02%
CL B NEW
SBUX
0.02%
COM
PSX
0.02%
COM
MAR
0.02%
CL A
PYPL
0.02%
COM
XYL
0.01%
COM
DLTH
0.01%
COM CL B
FAST
0.01%
COM
BANC
0.01%
COM
STZ
0.01%
CL A
FISV
0.01%
COM
JNJ
0.01%
COM
CVX
0.01%
COM
CI
0.01%
COM
HIG
0.01%
COM
RPM
0.01%
COM
LOW
0.01%
COM
AWK
0.01%
COM
ACN
0.01%
SHS CLASS A
PEG
0.01%
COM
AOS
0.01%
COM
KKR
0.01%
CL A
WTW
0.01%
COM
WM
0.01%
COM
LNC
0.01%
COM
ITT
0.01%
COM
CLMT
0.01%
UT LTD PARTNER
EXC
0.01%
COM
MOS
< 0.01%
COM
RDS/A
< 0.01%
SPONS ADR A
OCFC
< 0.01%
COM
GILD
< 0.01%
COM
EIX
< 0.01%
COM
HRS
< 0.01%
COM
ROST
< 0.01%
COM
RYN
< 0.01%
COM
SHW
< 0.01%
COM
ETP
< 0.01%
UNIT LTD PRT INT
HST
< 0.01%
COM
IBM
< 0.01%
COM
BIP
< 0.01%
LP INT UNIT
KMI
< 0.01%
COM
MS
< 0.01%
COM NEW
AMGN
< 0.01%
COM
PBR
< 0.01%
SPONSORED ADR
VAC
< 0.01%
COM
RYAM
< 0.01%
COM
FVE
< 0.01%
COM
VEC
< 0.01%
COM