Rikoon Group LLC

Rikoon Group LLC latest Q4_2020 13F filings reported $321,468,000 in market value on this 2021-02-10 report date . The portfolio quarterly return is -0.66%. This fund has 202 securities concentrations of 100% weights.

Rikoon Group LLC largest holding is Apple Inc. with weight of 6.11% and $21,880,000 in market value. The portfolio return is computed based on the amount invested in the new quarter. The following shows the portfolio details.

Portfolio Performance History

FILE DATEREPORT PERIODQTR YEARFILE TYPENOS. OF STOCKSREPORTED VALUERETURN
2021-02-102020-12-31Q4_202013F-HR202$321,468,000-0.66%
2020-10-232020-09-30Q3_202013F-HR211$323,610,0008.07%
2020-08-072020-06-30Q2_202013F-HR211$299,457,00024.02%
2020-04-302020-03-31Q1_202013F-HR186$241,460,000-16.97%
2020-01-212019-12-31Q4_201913F-HR201$290,798,0007.70%
2019-11-052019-09-30Q3_201913F-HR202$270,015,0000.51%
2019-08-062019-06-30Q2_201913F-HR201$268,635,000-0.04%
2019-05-012019-03-31Q1_201913F-HR200$268,745,00011.32%
2019-02-072018-12-31Q4_201813F-HR194$241,417,000-14.52%
2018-11-142018-09-30Q3_201813F-HR209$282,437,0007.92%
2018-08-142018-06-30Q2_201813F-HR200$261,701,0005.99%
2018-06-072018-03-31Q1_201813F-HR191$246,911,0002.09%
2018-02-272017-12-31Q4_201713F-HR166$241,854,0004.76%
2017-11-142017-09-30Q3_201713F-HR162$230,870,0002.44%
2017-08-182017-06-30Q2_201713F-HR164$225,371,000-0.40%
2017-05-152017-03-31Q1_201713F-HR169$226,271,000-0.42%

Portfolio Details

Stock NameTickersValueCurrent Value (x1000)Change Value %WeightComputed PriceShares Change %Current Shares
APPLE INCAAPLINCR$21,88013.63%6.11%$133.16-100.76%164,311
PROCTER AND GAMBLE COPGDECR$16,602-0.27%4.64%$139.14-100.38%119,321
JOHNSON & JOHNSONJNJINCR$15,3994.69%4.30%$157.38-100.96%97,847
NETFLIX INCNFLXINCR$14,7017.86%4.10%$540.74-100.26%27,187
MICROSOFT CORPMSFTINCR$11,4585.51%3.20%$222.42-100.23%51,515
ABBVIE INCABBVINCR$10,42620.76%2.91%$107.15-101.28%97,306
AMAZON COM INCAMZNINCR$9,9213.78%2.77%$3257.06-99.67%3,046
ABBOTT LABSABTINCR$6,9210.77%1.93%$109.49-99.84%63,209
GRAPHIC PACKAGING HLDG COGPKINCR$6,84520.11%1.91%$17.01-100.00%402,300
S & P DEPOSITORY RECEIPTSSPYINCR$6,3198.54%1.76%$375.42-103.19%16,832
HOME DEPOT INCHDDECR$6,250-4.93%1.74%$265.63-100.60%23,529
3M COMMMINCR$6,1559.13%1.72%$174.80-100.00%35,212
BERKSHIRE HATHAWAY INC NEWBRK/BINCR$6,0654.57%1.69%$231.87-103.98%26,157
PFIZER COMPANY INCPFEINCR$5,8793.07%1.64%$36.81-97.25%159,707
INVESCO QQQ TRQQQINCR$5,62812.58%1.57%$313.75-100.31%17,938
TRUIST FINL CORPTFCINCR$5,53425.94%1.55%$47.93-100.02%115,455
EMERSON ELEC COEMRINCR$5,42522.57%1.51%$80.37-100.00%67,499
COCA COLA COKOINCR$5,10610.19%1.43%$54.84-99.99%93,104
VISA INCVINCR$4,9878.34%1.39%$218.71-100.93%22,802
ISHARES TRIWMINCR$4,55530.97%1.27%$196.05-99.92%23,234
FEDEX CORPFDXDECR$4,388-1.53%1.23%$259.61-104.35%16,902
PAYPAL HLDGS INCPYPLINCR$4,1864.91%1.17%$234.18-111.73%17,875
DISNEY WALT CODISINCR$3,63944.98%1.02%$181.18-100.72%20,085
WALGREENS BOOTS ALLIANCE INCWBAINCR$3,59010.67%1.00%$39.88-100.33%90,014
ILLINOIS TOOL WORKS INC USD 0.01ITWINCR$3,5452.78%0.99%$205.04-102.57%17,289
WALMART INCWMTINCR$3,5533.41%0.99%$144.68-100.00%24,557
ISHARES CORE S&P 500 INDEX ETFIVVINCR$3,18714.68%0.89%$375.43-97.33%8,489
PEPSICO INCPEPINCR$3,1367.21%0.88%$149.33-100.47%21,001
MERCK & CO INC NEWMRKDECR$3,048-2.15%0.85%$82.46-100.83%36,965
BRISTOL MYERS SQUIBB COBMYINCR$2,9383.67%0.82%$62.51-100.00%47,003
ALPHABET INC USD 0.001 CLS AGOOGLINCR$2,89215.04%0.81%$1752.73-103.79%1,650
HONEYWELL INTL INCHONINCR$2,85224.16%0.80%$212.72-103.94%13,407
NEXTERA ENERGY INC COMNEEINCR$2,76611.71%0.77%$77.16201.89%35,849
COSTCO WHSL CORP NEWCOSTINCR$2,6644.59%0.74%$376.80-101.45%7,070
BK OF AMERICA CORPBACINCR$2,33525.61%0.65%$30.30-100.13%77,053
VANGUARD INDEX FDSVTIINCR$2,0988.87%0.59%$194.66-104.72%10,778
MASTERCARD INCORPORATEDMADECR$2,072-3.63%0.58%$356.87-108.68%5,806
FACEBOOK INCFBINCR$1,9071.17%0.53%$273.13-103.00%6,982
EXXON MOBIL CORPXOMINCR$1,87719.63%0.52%$41.22-100.39%45,531
VERIZON COMMUNICATIONS INCVZDECR$1,838-21.75%0.51%$58.76-120.79%31,281
ISHARES TRIWRINCR$1,76517.35%0.49%$68.55-101.75%25,747
FASTENAL COFASTINCR$1,7326.32%0.48%$48.83-101.80%35,469
VANGUARD INFORMATION TECHNOLOGY INDEX FUNDVGTINCR$1,70610.56%0.48%$353.87-102.70%4,821
MCDONALDS CORPMCDDECR$1,698-4.61%0.47%$214.58-102.42%7,913
MEDTRONIC PLC USD 0.1MDTINCR$1,63911.65%0.46%$117.69-100.86%13,926
ALPHABET INCGOOGINCR$1,6177.58%0.45%$1751.90-109.78%923
CHEVRON CORP NEWCVXINCR$1,5590.97%0.44%$84.45-113.93%18,461
QUALCOMM INCORPORATEDQCOMINCR$1,58121.52%0.44%$152.30-106.11%10,381
FIDELITY COMWLTH TRONEQINCR$1,5237.63%0.43%$501.81-106.90%3,035
SELECT SECTOR SPDR TRXLPINCR$1,53911.68%0.43%$67.45-93.88%22,818
TAIWAN SEMICONDUCTOR MFG LTDTSMINCR$1,53330.91%0.43%$109.46-103.08%14,005
NOVARTIS AG SPONSORED ADRNVSINCR$1,5138.07%0.42%$94.42-100.45%16,024
COMCAST CORP NEWCMCSAINCR$1,47211.60%0.41%$52.41-101.53%28,086
ISHARES TR S&P MIDCAP 400 INDEX FUNDIJHINCR$1,46424.28%0.41%$229.86-99.80%6,369
CUMMINS INCCMIINCR$1,4433.52%0.40%$227.14-103.77%6,353
ORACLE SYSTEMSORCLINCR$1,4501.54%0.40%$64.67-106.27%22,422
TELEFLEX INCORPORATEDTFXINCR$1,44020.91%0.40%$411.43-100.00%3,500
TOYOTA MOTOR CORP ADRTMINCR$1,44016.13%0.40%$154.59-100.53%9,315
INTERNATIONAL BUSINESS MACHINE COMPANYIBMINCR$1,40710.87%0.39%$125.88-92.81%11,177
LOCKHEED MARTIN CORPLMTINCR$1,3907.09%0.39%$355.04-84.41%3,915
STRYKER CORPORATIONSYKINCR$1,40928.09%0.39%$245.47-91.31%5,740
TESLA MOTORS INCTSLAINCR$1,38965.16%0.39%$705.79-99.59%1,968
AT&T INCTDECR$1,347-5.67%0.38%$28.75-106.49%46,850
ECOLAB INCECLINCR$1,28311.18%0.36%$216.83-97.58%5,917
SALESFORCE.COMCRMDECR$1,307-14.01%0.36%$222.51-102.89%5,874
ACCENTURE PLCACNINCR$1,21919.51%0.34%$261.20-96.56%4,667
ASTRAZENECA PLCAZNDECR$1,191-14.07%0.33%$49.99-105.77%23,826
ISHARES MSCI EAFE ETFEFAINCR$1,1805.73%0.33%$72.96-107.78%16,174
J P MORGAN CHASE & CO COMJPMINCR$1,15622.59%0.32%$127.02-107.11%9,101
UNION PAC CORPUNPINCR$1,1325.70%0.32%$208.16-100.02%5,438
ARK ETF TRARKKINCR$1,11560.89%0.31%$124.58-81.11%8,950
KIMBERLY-CLARK CORPKMBBUY$1,1250.00%0.31%$135.870.00%8,280
SELECT SECTOR SPDR TRXLVINCR$1,10814.70%0.31%$113.48-93.43%9,764
UDR INCUDRINCR$1,11718.33%0.31%$38.44-99.68%29,056
UNITEDHEALTH GROUP INCUNHDECR$1,105-2.47%0.31%$350.68-113.29%3,151
GLAXOSMITHKLINE PLCGSKDECR$1,060-5.02%0.30%$37.32-102.91%28,404
INTEL CORPINTCDECR$1,075-8.51%0.30%$49.84-104.95%21,568
FIRST TR EXCHANGE-TRADED FDQCLNINCR$1,03326.90%0.29%$70.25-119.84%14,704
VANGUARD FINANCIALS INDEX FUNDVFHINCR$1,03124.52%0.29%$72.83-100.00%14,157
CVS HEALTH CORPORATIONCVSINCR$1,00026.90%0.28%$68.29-91.41%14,644
AVERY DENNISON CORPAVYINCR$97721.37%0.27%$155.10-100.00%6,299
COGNEX CORPCGNXINCR$96323.30%0.27%$80.25-100.00%12,000
PHILIP MORRIS INTL INCPMDECR$973-29.39%0.27%$84.02-135.98%11,580
SCHLUMBERGER LTDSLBINCR$98135.50%0.27%$21.96-103.25%44,674
BCE INCBCEDECR$914-1.93%0.26%$43.45-106.45%21,035
KANSAS CITY SOUTHERNKSUINCR$9489.34%0.26%$204.57-103.14%4,634
MAIN STREET CAP CORP COMMAININCR$9472.82%0.26%$32.25-105.76%29,366
VANGUARD TOTAL WORLD STOCK INDEX FUNDVTINCR$94814.91%0.26%$92.59-99.95%10,239
VANGUARD INTL EQUITY INDEX FVEUINCR$92015.29%0.26%$58.36-100.34%15,764
ARK ETF TRARKWINCR$88434.14%0.25%$146.36-100.41%6,040
BROADCOM LTD NPVAVGOINCR$90236.05%0.25%$437.86-86.81%2,060
KONINKLIJKE PHILIPS N V NY REG SH NEWPHGINCR$88910.71%0.25%$54.17-103.60%16,411
RAYTHEON TECHNOLOGIES CORP USD 1.0RTXINCR$89224.23%0.25%$71.48-99.98%12,479
ROKU INCROKUINCR$90530.40%0.25%$332.11-125.85%2,725
SANOFISNYDECR$886-8.19%0.25%$48.61-105.20%18,225
COLGATE PALMOLIVE COCLINCR$86610.88%0.24%$85.55-99.99%10,123
INVESCO EXCH TRADED FD TR IISPLVDECR$874-23.47%0.24%$56.22-126.95%15,547
SS&C TECHNOLOGIES HLDGS INCSSNCINCR$86021.30%0.24%$72.76-99.13%11,819
BLACKSTONE GROUP INCBXINCR$81011.72%0.23%$64.85-110.08%12,491
CARLISLE COS INCCSLINCR$8069.07%0.23%$156.20-114.50%5,160
SELECT SECTOR SPDR TRXLUINCR$80810.84%0.23%$62.74-95.03%12,879
VANGUARD DIVIDEND APPRECIATION INDEX FUNDVIGINCR$82414.76%0.23%$141.10-94.91%5,840
BLACKROCK HEALTH SCIENCES TR BMEINCR$79312.96%0.22%$47.56-98.17%16,672
CISCO SYSTEMSCSCOINCR$78413.62%0.22%$44.73-99.93%17,529
APPLIED MATLS INCAMATINCR$73845.28%0.21%$86.32-100.00%8,550
DIREXION SHS ETF TRINCR$758206.88%0.21%$59.6967.65%12,700
GLOBAL X FDSFINXBUY$7350.00%0.21%$46.680.00%15,745
ILLUMINA INCILMNINCR$74019.74%0.21%$370.00-100.00%2,000
RESMED INCRMDINCR$76735.51%0.21%$212.47-90.61%3,610
BAXTER INTERNATIONAL INCBAXDECR$730-15.02%0.20%$80.55-114.93%9,063
CSX CORPCSXINCR$72215.71%0.20%$90.76-101.00%7,955
SELECT SECTOR SPDR TRXLKDECR$732-8.16%0.20%$130.06-117.56%5,628
SPDR SERIE DIVIDEND ETFSDYINCR$73214.73%0.20%$105.99-99.96%6,906
CARDINAL HEALTH INCCAHINCR$6864.26%0.19%$53.99-109.38%12,706
CATERPILLAR INCCATBUY$6630.00%0.19%$181.990.00%3,643
MCKESSON CORPORATIONMCKINCR$68516.89%0.19%$174.43-100.00%3,927
NIKE INCNKEINCR$67510.84%0.19%$141.51-101.55%4,770
UNILEVER ADRULBUY$6360.00%0.18%$60.350.00%10,539
ADVANCE AUTO PARTS INCAAPINCR$59910.31%0.17%$157.63-92.41%3,800
BROOKFIELD INFRAST PARTNERSBIPINCR$6013.80%0.17%$49.40-100.00%12,167
CIGNA CORP NEWCIINCR$59822.79%0.17%$208.07-100.00%2,874
COGNIZANT TECHNOLOGYCTSHINCR$62116.51%0.17%$81.92-101.28%7,581
LABORATORY CORP AMER HLDGSLHINCR$61743.49%0.17%$203.43-67.15%3,033
US BANCORP DEL COMPANYUSBINCR$59831.14%0.17%$47.01-99.99%12,721
VANGUARD INTL EQUITY INDEX FVWOINCR$60612.22%0.17%$50.09-103.09%12,099
CENTENE CORP DELCNCINCR$564102.88%0.16%$60.06-3.08%9,391
LIBERTY BROADBAND CORPLBRDKINCR$56910.70%0.16%$158.28-100.00%3,595
MARKEL CORPMKLBUY$5900.00%0.16%$1033.270.00%571
PROGRESSIVE CORPPGRINCR$5623.88%0.16%$98.93-100.54%5,681
STARBUCKS CORPSBUXINCR$56959.83%0.16%$106.95-71.65%5,320
STONECO LTDSTNEINCR$55841.98%0.16%$83.97-110.63%6,645
TOTAL SETOTINCR$57615.90%0.16%$42.70-104.77%13,490
AUTOMATIC DATA PROCESSINGADPINCR$52212.74%0.15%$177.13-110.62%2,947
CRISPR THERAPEUTICS AGCRSPINCR$52854.39%0.15%$153.18-115.66%3,447
ISHARES TREEMINCR$52717.11%0.15%$51.68-100.00%10,197
ISHARES S&P MID-CAP 400 VALUE ETFIJJINCR$52228.26%0.15%$86.340.46%6,046
LILLY ELI & COLLYINCR$5419.96%0.15%$169.01-103.73%3,201
PHILLIPS 66PSXINCR$53214.41%0.15%$69.90-115.18%7,611
ADOBE SYSTEMS INCORPORATEDADBEDECR$500-4.21%0.14%$500.50-106.11%999
BAIDU INCBIDUINCR$51170.90%0.14%$216.07-100.00%2,365
LAM RESEARCH CORPLRCXINCR$48540.58%0.14%$473.17-100.97%1,025
OTIS WORLDWIDE CORPORATION USD 0.01OTISINCR$4848.28%0.14%$67.55-100.00%7,165
MONDELEZ INTERNATIONAL INCMDLZDECR$474-0.63%0.13%$58.78-102.42%8,064
ALEXION PHARMACEUTICALS INCALXNINCR$41336.30%0.12%$156.20-100.00%2,644
BOEING COBADECR$427-3.83%0.12%$214.04-125.81%1,995
ISHARES TRIVEINCR$41214.13%0.12%$127.91-99.69%3,221
LAMAR ADVERTISING CO NEWLAMRINCR$41612.13%0.12%$83.17-110.68%5,002
QUEST DIAGNOSTICS INCDGXINCR$4154.27%0.12%$119.25-100.00%3,480
SHERWIN-WILLIAMS COMPANY USD1.0SHWINCR$4435.48%0.12%$734.66-100.00%603
V F CORPVFCINCR$43721.73%0.12%$85.45-100.00%5,114
CHEGG INCCHGGINCR$38463.40%0.11%$90.31-70.64%4,252
CHURCH & DWIGHT INCCHDINCR$3785.59%0.11%$87.30-86.65%4,330
GARTNER INCITINCR$38831.08%0.11%$160.00-97.46%2,425
ISHARES TRIWOINCR$39829.64%0.11%$286.95-99.86%1,387
SYSCO CORPORATIONSYYINCR$37919.56%0.11%$74.31-100.00%5,100
TARGET CORPTGTINCR$3823.52%0.11%$176.52-107.64%2,164
VANGUARD INDEX FDSVXFINCR$37926.76%0.11%$164.78-99.87%2,300
BERKSHIRE HATHAWAY INC DELBRK/AINCR$3488.75%0.10%$348000.00-100.00%1
CARRIER GLOBAL CORPORAITON USD 0.01CARRINCR$37124.08%0.10%$37.88-100.00%9,795
CITRIX SYS INCCTXSINCR$3662.52%0.10%$130.06-91.31%2,814
DANAHER CORPORATIONDHRDECR$369-4.16%0.10%$222.02-107.10%1,662
DOLLAR GEN CORP NEWDGDECR$373-12.24%0.10%$210.02-112.34%1,776
DUKE ENERGY CORP NEWDUKDECR$365-1.62%0.10%$91.64-104.89%3,983
ISHARES TRIYTBUY$3750.00%0.10%$220.590.00%1,700
ISHARES TRIVWINCR$36010.77%0.10%$63.86200.92%5,637
ISHARES TRIJKINCR$36321.00%0.10%$72.15200.88%5,031
ISHARES TRIWNINCR$37233.33%0.10%$131.91-99.68%2,820
ISHARES CORE S&P U.S. VALUE ETFIUSVDECR$343-7.30%0.10%$62.10-118.97%5,523
LISTED FD TRINCR$35922.53%0.10%$30.11-99.12%11,924
NORTHROP GRUMMAN CORPORATION USD 1.0NOCDECR$366-3.43%0.10%$305.000.00%1,200
PPG INDS INCPPGINCR$35818.15%0.10%$144.35-100.00%2,480
RIO TINTO PLC SPONSORED ADRRIOINCR$34324.28%0.10%$75.15-100.00%4,564
SCHWAB US DIVIDEND EQUITY ETFSCHDINCR$36615.82%0.10%$64.12-100.00%5,708
UNITED PARCEL SERVICEUPSINCR$3492.35%0.10%$168.44-98.78%2,072
VALVOLINE INCVVVINCR$34939.60%0.10%$23.11-85.04%15,099
VIATRIS INC NPVVTRSBUY$3420.00%0.10%$18.740.00%18,250
WEYERHAEUSER CO MTN BEWYINCR$35617.49%0.10%$33.51-100.00%10,623
AVALONBAY CMNTYS INCAVBDECR$335-2.05%0.09%$161.84-109.53%2,070
DUPONT DE NEMOURS INC USD 0.01DDINCR$31628.46%0.09%$71.14-100.00%4,442
FIRST TRUST NASDAQ TECHNOLOGY DIVIDEND INDEX FUNDTDIVINCR$33312.88%0.09%$49.42-100.00%6,738
ISHARES TRSOXXINCR$30645.71%0.09%$379.65-83.36%806
ISHARES CORE HIGH DIVIDEND ETFHDVINCR$3110.97%0.09%$87.58-107.28%3,551
LOWES COS INCLOWDECR$316-1.56%0.09%$160.41-98.30%1,970
SPDR S&P MIDCAP 400 ETF TR ZMDYINCR$32018.96%0.09%$421.05-104.16%760
ALTRIA GROUP INCMODECR$283-7.82%0.08%$41.81-112.87%6,769
CHECK POINT SOFTWARE TECH LTCHKPINCR$29935.91%0.08%$133.13-77.20%2,246
FIDELITY COVINGTON TRUST FUTYINCR$2938.52%0.08%$40.54-98.58%7,227
GENERAL DYNAMICS CORPGDDECR$282-1.05%0.08%$148.97-108.02%1,893
GENERAL MLS INCGISDECR$288-2.70%0.08%$58.73-97.88%4,904
GILEAD SCIENCES INCGILDDECR$285-10.09%0.08%$58.29-102.43%4,889
INVESCO EXCHANGE TRADED FD TPZDBUY$2790.00%0.08%$75.000.00%3,720
ISHARES TRILFINCR$29439.34%0.08%$29.40-100.00%10,000
MERCADOLIBRE INCMELIBUY$2930.00%0.08%$1674.290.00%175
ROYAL DUTCH SHELL PLCRDS/AINCR$29926.16%0.08%$35.18-109.57%8,500
SAP SESAPDECR$293-26.93%0.08%$130.45-112.64%2,246
SPDR DOW JONES INDL AVERAGEDIAINCR$27310.08%0.08%$306.40-100.00%891
VODAFONE GROUP PLC NEWVODINCR$27526.73%0.08%$17.02-100.00%16,158
DEERE & CODEBUY$2430.00%0.07%$270.000.00%900
DOW HOLDINGS INC USD 0.01DOWINCR$26618.22%0.07%$55.52-99.96%4,791
ELASTIC N VESTCBUY$2370.00%0.07%$146.300.00%1,620
ENPHASE ENERGY INCENPHBUY$2330.00%0.07%$175.190.00%1,330
FIRST TRUST CLOUD COMPUTING ETFSKYYBUY$2380.00%0.07%$94.900.00%2,508
INTERCONTINENTAL EXCHANGE INICEBUY$2540.00%0.07%$115.400.00%2,201
VANGUARD WORLD FDSVDCINCR$2494.18%0.07%$174.00-102.25%1,431
ALIBABA GROUP HOLDINGBABADECR$215-16.34%0.06%$232.68-94.40%924
CLOROX CO DELCLXDECR$222-3.90%0.06%$201.820.00%1,100
EXPEDITORS INTL WASH INCEXPDINCR$2255.14%0.06%$95.14-100.00%2,365
GENERAL ELECTRIC COMPANYGEINCR$22876.74%0.06%$10.79-98.07%21,123
ISHARES MSCI USA ESG SELECT ETFSUSADECR$231-0.43%0.06%$82.50-22.22%2,800
JACOBS ENGR GROUP INCJBUY$2160.00%0.06%$108.760.00%1,986
LEGGETT & PLATT INCLEGINCR$2278.61%0.06%$44.77-100.00%5,070
ROPER TECHNOLOGIES INCROPBUY$2050.00%0.06%$431.580.00%475
SELECT SECTOR SPDR TRXLBBUY$2220.00%0.06%$72.310.00%3,070
SHOPIFY INCSHOPDECR$203-16.80%0.06%$1134.08-125.10%179
SQUARE INCSQBUY$2310.00%0.06%$217.510.00%1,062
THERMO FISHER SCIENTIFIC INCTMODECR$226-3.42%0.06%$465.98-108.49%485
HANESBRANDS INCHBIDECR$179-7.25%0.05%$14.590.00%12,272
HORIZON BANCORP INCHBNCINCR$17756.64%0.05%$15.84-100.00%11,176
VANECK VECTORSBIZDBUY$1940.00%0.05%$14.090.00%13,773
ALLSCRIPTS HEALTHCARE SOLUTNMDRXINCR$15591.36%0.04%$14.45-92.75%10,725
WPX ENERGY INCWPXINCR$13566.67%0.04%$8.13-100.00%16,600
NEW YORK MTG TR INCNYMTBUY$480.00%0.01%$3.790.00%12,681
NEWAGE INCNBEVINCR$4250.00%0.01%$2.60-100.00%16,145
BOOKING HOLDINGS INCBKNGSOLD$00.00%-100.00%$0.000.00%0
BROADMARK RLTY CAP INCBRMKSOLD$00.00%-100.00%$0.000.00%0
EQUINOR ASA SPONSORED ADREQNRSOLD$00.00%-100.00%$0.000.00%0
SELECT SECTOR SPDR TRXLFSOLD$00.00%-100.00%$0.000.00%0
UNILEVER N VUNSOLD$00.00%-100.00%$0.000.00%0
VANGUARD INDEX FDSVBSOLD$00.00%-100.00%$0.000.00%0