Legacy Capital Partners, Inc.

données du 31/03/2022

Capitalisation

$ 303.661 M -1.71 %

Période de détention moyenne

24 ans

Performance

$ 246.317 M 53 992.53 %

Capitalisation

Taille du portefeuille

Performance du portefeuille

Performance du portefeuille %

Performances par rapport au S&P 500 (%)

Entreprise dans Legacy Capital Partners, Inc.

Date Symbol Nom Poids Capitalisation Nombre d'action 1er ajout Performance ($) Performance (%)
2022/03/31 AAPL APPLE INC COM 9.45% 28.702 M $ 164378 2008/12/31 -490.779 K $ -1.67 %
2022/03/31 ABBV ABBVIE INC COM 3.54% 10.749 M $ 66307 2013/03/31 1.785 M $ 19.72 %
2022/03/31 MSFT MICROSOFT CORP COM 3.50% 10.640 M $ 34511 2015/06/30 -964.692 K $ -8.33 %
2022/03/31 ACN ACCENTURE PLC IRELAND SHS CLASS A 2.94% 8.922 M $ 26456 2012/03/31 -2.049 M $ -18.65 %
2022/03/31 AMZN AMAZON COM INC COM 2.58% 7.824 M $ 2400 2017/03/31 -179.452 K $ -2.23 %
2022/03/31 ABT ABBOTT LABS COM 2.33% 7.083 M $ 59847 2008/12/31 -1.342 M $ -15.90 %
2022/03/31 INTC INTEL CORP COM 2.27% 6.907 M $ 139372 2008/12/31 -257.061 K $ -3.77 %
2022/03/31 BMO BANK MONTREAL QUE COM 2.18% 6.613 M $ 56053 2011/09/30 575.312 K $ 9.52 %
2022/03/31 JNJ JOHNSON & JOHNSON COM 2.12% 6.433 M $ 36300 2008/12/31 221.944 K $ 3.60 %
2022/03/31 FISV FISERV INC COM 2.02% 6.124 M $ 60399 2008/12/31 -142.334 K $ -2.30 %
2022/03/31 XOM EXXON MOBIL CORP COM 1.94% 5.885 M $ 71260 2008/12/31 1.518 M $ 34.98 %
2022/03/31 BMY BRISTOL-MYERS SQUIBB CO COM 1.93% 5.853 M $ 80143 2008/12/31 847.917 K $ 17.13 %
2022/03/31 MCD MCDONALDS CORP COM 1.77% 5.362 M $ 21682 2008/12/31 -448.066 K $ -7.76 %
2022/03/31 PHYS SPROTT PHYSICAL GOLD TR UNIT 1.76% 5.346 M $ 347829 2016/03/31 372.870 K $ 7.03 %
2022/03/31 V VISA INC COM CL A 1.72% 5.234 M $ 23599 2015/09/30 119.097 K $ 2.33 %
2022/03/31 GOOG ALPHABET INC CAP STK CL C 1.70% 5.161 M $ 1848 2015/12/31 -185.908 K $ -3.48 %
2022/03/31 KO COCA COLA CO COM 1.69% 5.125 M $ 82665 2008/12/31 230.914 K $ 4.71 %
2022/03/31 MCHP MICROCHIP TECHNOLOGY INC. COM 1.66% 5.031 M $ 66949 2010/12/31 -793.562 K $ -13.69 %
2022/03/31 PG PROCTER AND GAMBLE CO COM 1.65% 5.015 M $ 32820 2008/12/31 -354.284 K $ -6.59 %
2022/03/31 VZ VERIZON COMMUNICATIONS INC COM 1.63% 4.960 M $ 97372 2008/12/31 -97.677 K $ -1.96 %
2022/03/31 QCOM QUALCOMM INC COM 1.55% 4.712 M $ 30836 2016/09/30 -932.932 K $ -16.43 %
2022/03/31 CVX CHEVRON CORP NEW COM 1.52% 4.602 M $ 28260 2008/12/31 1.301 M $ 38.75 %
2022/03/31 UNH UNITEDHEALTH GROUP INC COM 1.36% 4.133 M $ 8105 2015/09/30 63.697 K $ 1.56 %
2022/03/31 CSCO CISCO SYS INC COM 1.34% 4.063 M $ 72874 2014/06/30 -552.288 K $ -12.01 %
2022/03/31 CB CHUBB LIMITED COM 1.20% 3.656 M $ 17092 2016/03/31 351.924 K $ 10.65 %
2022/03/31 WMT WALMART INC COM 1.17% 3.567 M $ 23952 2011/03/31 100.470 K $ 2.92 %
2022/03/31 RGLD ROYAL GOLD INC COM 1.14% 3.455 M $ 24457 2013/09/30 882.163 K $ 34.29 %
2022/03/31 ORLY OREILLY AUTOMOTIVE INC COM 1.12% 3.407 M $ 4974 2011/03/31 -105.903 K $ -3.01 %
2022/03/31 GD GENERAL DYNAMICS CORP COM 1.12% 3.391 M $ 14061 2008/12/31 459.935 K $ 15.69 %
2022/03/31 PCRX PACIRA BIOSCIENCES INC COM 1.04% 3.148 M $ 41252 2015/09/30 669.449 K $ 26.84 %
2022/03/31 ETN EATON CORP PLC SHS 1.00% 3.032 M $ 19980 2015/12/31 -428.149 K $ -12.19 %
2022/03/31 PFE PFIZER INC COM 0.99% 3.012 M $ 58183 2008/12/31 -445.608 K $ -12.34 %
2022/03/31 CL COLGATE PALMOLIVE CO COM 0.98% 2.984 M $ 39347 2008/12/31 -373.666 K $ -11.14 %
2022/03/31 BAC BK OF AMERICA CORP COM 0.98% 2.966 M $ 71960 2016/06/30 -228.867 K $ -7.35 %
2022/03/31 LNG CHENIERE ENERGY INC COM NEW 0.94% 2.868 M $ 20685 2016/06/30 829.112 K $ 36.70 %
2022/03/31 PEP PEPSICO INC COM 0.93% 2.824 M $ 16873 2008/12/31 -100.159 K $ -3.65 %
2022/03/31 BRK-B BERKSHIRE HATHAWAY INC DEL CL B NEW 0.92% 2.783 M $ 7885 2017/06/30 420.174 K $ 18.03 %
2022/03/31 APH AMPHENOL CORP NEW CL A 0.90% 2.731 M $ 36250 2020/09/30 -440.319 K $ -13.86 %
2022/03/31 WEC WEC ENERGY GROUP INC COM 0.86% 2.616 M $ 26208 2015/06/30 71.261 K $ 2.82 %
2022/03/31 ALB ALBEMARLE CORP COM 0.84% 2.551 M $ 11534 2020/03/31 -154.077 K $ -5.40 %
2022/03/31 MMM 3M CO COM 0.76% 2.319 M $ 15573 2013/06/30 -376.899 K $ -13.53 %
2022/03/31 CHD CHURCH & DWIGHT CO INC COM 0.73% 2.227 M $ 22410 2008/12/31 -70.543 K $ -3.04 %
2022/03/31 APAM ARTISAN PARTNERS ASSET MGMT IN CL A 0.73% 2.224 M $ 56520 2017/06/30 -468.384 K $ -17.40 %
2022/03/31 AIZ ASSURANT INC COM 0.71% 2.165 M $ 11905 2018/09/30 309.172 K $ 16.66 %
2022/03/31 RTX RAYTHEON TECHNOLOGIES CORP COM 0.71% 2.145 M $ 21649 2020/06/30 281.653 K $ 15.12 %
2022/03/31 NEM NEWMONT CORP COM 0.69% 2.087 M $ 26272 2008/12/31 435.872 K $ 28.10 %
2022/03/31 RIO RIO TINTO PLC SPONSORED ADR 0.68% 2.054 M $ 25545 2021/12/31 315.300 K $ 20.11 %
2022/03/31 GOOGL ALPHABET INC CAP STK CL A 0.66% 1.997 M $ 718 2015/09/30 -83.116 K $ -3.99 %
2022/03/31 MO ALTRIA GROUP INC COM 0.64% 1.934 M $ 37020 2008/12/31 178.770 K $ 10.26 %
2022/03/31 LYB LYONDELLBASELL INDUSTRIES N V SHS - A - 0.61% 1.862 M $ 18108 2015/06/30 186.680 K $ 11.48 %
2022/03/31 PM PHILIP MORRIS INTL INC COM 0.61% 1.848 M $ 19670 2008/12/31 -20.267 K $ -1.12 %
2022/03/31 PRU PRUDENTIAL FINL INC COM 0.60% 1.823 M $ 15425 2021/09/30 140.857 K $ 9.17 %
2022/03/31 FCX FREEPORT-MCMORAN INC CL B 0.60% 1.819 M $ 36575 2009/03/31 302.577 K $ 19.20 %
2022/03/31 RSG REPUBLIC SVCS INC COM 0.59% 1.793 M $ 13530 2009/03/31 -94.033 K $ -4.98 %
2022/03/31 HON HONEYWELL INTL INC COM 0.58% 1.753 M $ 9010 2014/03/31 -115.827 K $ -6.68 %
2022/03/31 CRM SALESFORCE INC COM 0.57% 1.729 M $ 8144 2017/06/30 -342.800 K $ -16.45 %
2022/03/31 LHX L3HARRIS TECHNOLOGIES INC COM 0.56% 1.712 M $ 6890 2020/12/31 227.938 K $ 16.52 %
2022/03/31 HD HOME DEPOT INC COM 0.56% 1.697 M $ 5669 2015/09/30 -655.789 K $ -27.92 %
2022/03/31 AVGO BROADCOM INC COM 0.47% 1.420 M $ 2255 2019/03/31 -81.574 K $ -5.37 %
2022/03/31 COST COSTCO WHSL CORP NEW COM 0.45% 1.366 M $ 2372 2019/12/31 19.128 K $ 1.44 %
2022/03/31 DISCA DISCOVERY INC COM SER A 0.44% 1.325 M $ 53175 2019/09/30 71.525 K $ 5.86 %
2022/03/31 URI UNITED RENTALS INC COM 0.40% 1.224 M $ 3445 2017/09/30 78.959 K $ 6.90 %
2022/03/31 IVOL QUADRATIC INTEREST RATE VOLATILITY AND INFLATION HEDGE ETF 0.39% 1.188 M $ 46370 2021/03/31 -63.592 K $ -4.58 %
2022/03/31 SBUX STARBUCKS CORP COM 0.37% 1.138 M $ 12515 2017/06/30 -335.452 K $ -22.23 %
2022/03/31 GDX VANECK GOLD MINERS ETF 0.37% 1.109 M $ 28925 2016/06/30 182.806 K $ 19.74 %
2022/03/31 KLAC KLA CORP COM NEW 0.36% 1.106 M $ 3020 2011/09/30 -193.431 K $ -14.90 %
2022/03/31 ECPG ENCORE CAP GROUP INC COM 0.35% 1.071 M $ 17075 2021/06/30 10.781 K $ 1.00 %
2022/03/31 COP CONOCOPHILLIPS COM 0.34% 1.046 M $ 10462 2008/12/31 288.827 K $ 38.56 %
2022/03/31 LRCX LAM RESEARCH CORP COM 0.34% 1.042 M $ 1939 2020/06/30 -339.410 K $ -25.25 %
2022/03/31 XLP CONSUMER STAPLES SELECT SECTOR SPDR FUND 0.33% 1.016 M $ 13394 2020/09/30 -10.193 K $ -1.58 %
2022/03/31 DIS DISNEY WALT CO COM 0.33% 1.007 M $ 7344 2015/06/30 -130.120 K $ -11.44 %
2022/03/31 BP BP PLC SPONSORED ADR 0.33% 1.002 M $ 34089 2021/06/30 52.973 K $ 10.41 %
2022/03/31 NCBS NICOLET BANKSHARES INC COM 0.33% 1.001 M $ 10700 2016/09/30 83.673 K $ 9.11 %
2022/03/31 ADBE ADOBE SYSTEMS INCORPORATED COM 0.31% 939.000 K $ 2062 2019/12/31 -296.096 K $ -19.65 %
2022/03/31 ABMD ABIOMED INC COM 0.28% 864.000 K $ 2609 2020/06/30 -89.627 K $ -7.77 %
2022/03/31 WFC WELLS FARGO CO NEW COM 0.28% 843.000 K $ 17390 2013/09/30 8.299 K $ 1.00 %
2022/03/31 T AT&T INC COM 0.27% 831.000 K $ 35172 2008/12/31 -36.061 K $ -3.93 %
2022/03/31 WSM WILLIAMS SONOMA INC COM 0.27% 828.000 K $ 5711 2016/09/30 -169.607 K $ -14.28 %
2022/03/31 DE DEERE & CO COM 0.27% 810.000 K $ 1950 2019/03/31 141.511 K $ 21.15 %
2022/03/31 RE EVEREST RE GROUP LTD COM 0.27% 809.000 K $ 2683 2014/09/30 73.675 K $ 10.02 %
2022/03/31 DNP DNP SELECT INCOME FD INC COM 0.26% 787.000 K $ 66620 2009/03/31 61.294 K $ 8.74 %
2022/03/31 JPM JPMORGAN CHASE & CO COM 0.25% 762.000 K $ 5591 2016/12/31 -121.517 K $ -13.90 %
2022/03/31 TJX TJX COS INC NEW COM 0.25% 748.000 K $ 12340 2021/06/30 -228.259 K $ -20.20 %
2022/03/31 LMT LOCKHEED MARTIN CORP COM 0.25% 746.000 K $ 1690 2020/06/30 141.023 K $ 24.19 %
2022/03/31 XLV HEALTH CARE SELECT SECTOR SPDR FUND 0.24% 725.000 K $ 5291 2020/12/31 -17.230 K $ -2.77 %
2022/03/31 DOW DOW INC COM 0.24% 722.000 K $ 11325 2021/03/31 73.675 K $ 12.34 %
2022/03/31 XLE ENERGY SELECT SECTOR SPDR FUND 0.24% 719.000 K $ 9408 2021/03/31 197.003 K $ 37.74 %
2022/03/31 ANET ARISTA NETWORKS INC COM 0.24% 715.000 K $ 5148 2020/09/30 -24.710 K $ -3.34 %
2022/03/31 CEF SPROTT PHYSICAL GOLD & SILVER TR UNIT 0.23% 694.000 K $ 35800 2017/12/31 58.712 K $ 9.25 %
2022/03/31 SPG SIMON PPTY GROUP INC NEW COM 0.22% 669.000 K $ 5085 2021/03/31 -143.447 K $ -17.67 %
2022/03/31 CIEN CIENA CORP COM NEW 0.22% 656.000 K $ 10820 2020/12/31 -178.596 K $ -21.24 %
2022/03/31 SCHH SCHWAB U.S. REIT ETF 0.21% 639.000 K $ 25693 2021/03/31 -38.088 K $ -5.54 %
2022/03/31 HOLX HOLOGIC INC COM 0.21% 636.000 K $ 8280 2021/03/31 2.622 K $ 0.34 %
2022/03/31 META META PLATFORMS INC CL A 0.21% 630.000 K $ 2835 2017/06/30 -486.167 K $ -33.88 %
2022/03/31 ENPH ENPHASE ENERGY INC COM 0.20% 608.000 K $ 3014 2020/12/31 51.131 K $ 10.31 %
2022/03/31 COIN COINBASE GLOBAL INC COM CL A 0.20% 599.000 K $ 3155 2021/12/31 -172.215 K $ -24.78 %
2022/03/31 C CITIGROUP INC COM NEW 0.20% 598.000 K $ 11200 2021/12/31 -35.299 K $ -11.57 %
2022/03/31 OUNZ VAN ECK MERK GOLD TRUST 0.18% 559.000 K $ 29670 2022/03/31 0.000 $ 0.00 %
2022/03/31 IDXX IDEXX LABS INC COM 0.18% 536.000 K $ 980 2018/06/30 -109.172 K $ -16.93 %
2022/03/31 SHW SHERWIN WILLIAMS CO COM 0.17% 529.000 K $ 2120 2016/03/31 -217.384 K $ -29.14 %