HoldingsChannel.com
Shelton Capital Management Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
APPLE INC      $83,737
     AAPL432,787+344,060$85,657
     Put9,700-3,300$1,920
WELLS FARGO CO NEW 1,511,595 +1,440,740 $71,529
     WFC1,511,595+1,440,740$71,529
AMAZON COM INC 36,751 -24,765 $69,593
     AMZN36,751-24,765$69,593
MICROSOFT CORP 396,281 +343,794 $53,086
     MSFT396,281+343,794$53,086
FACEBOOK INC      $48,457
     FB254,273+212,138$49,075
     Put3,200UNCH$618
FRANKLIN RES INC      $36,637
     BEN1,682,788+1,647,899$58,561
     Put630,000-90,000$21,924
INTEL CORP 720,459 +681,814 $34,488
     INTC720,459+681,814$34,488
CISCO SYS INC 523,445 +494,244 $28,648
     CSCO523,445+494,244$28,648
ALPHABET INC 25,149 -4,359 $27,184
     GOOG25,149-4,359$27,184
COMCAST CORP NEW 630,691 +605,843 $26,666
     CMCSA630,691+605,843$26,666
ALPHABET INC 24,589 -4,299 $26,625
     GOOGL24,589-4,299$26,625
JPMORGAN CHASE & CO 176,582 +158,989 $19,742
     JPM176,582+158,989$19,742
PEPSICO INC 140,841 +124,025 $18,468
     PEP140,841+124,025$18,468
EXXON MOBIL CORP 225,040 +206,879 $17,245
     XOM225,040+206,879$17,245
STARBUCKS CORP 190,543 +176,540 $15,973
     SBUX190,543+176,540$15,973
KELLOGG CO 294,116 +278,462 $15,756
     K294,116+278,462$15,756
NETFLIX INC 42,665 +27,883 $15,672
     NFLX42,665+27,883$15,672
ADOBE INC 47,790 +35,406 $14,081
     ADBE47,790+35,406$14,081
CHEVRON CORP NEW 108,517 +93,621 $13,504
     CVX108,517+93,621$13,504
TEXAS INSTRS INC 116,676 +104,224 $13,390
     TXN116,676+104,224$13,390
PAYPAL HLDGS INC 113,223 +99,225 $12,960
     PYPL113,223+99,225$12,960
VERIZON COMMUNICATIONS INC 221,008 +208,984 $12,626
     VZ221,008+208,984$12,626
AMGEN INC 68,172 +55,033 $12,563
     AMGN68,172+55,033$12,563
INGERSOLL RAND PLC 98,634 +87,986 $12,494
     IR98,634+87,986$12,494
ABBOTT LABS 147,308 +138,976 $12,389
     ABT147,308+138,976$12,389
COSTCO WHSL CORP NEW 43,854 +33,619 $11,589
     COST43,854+33,619$11,589
BROADCOM INC 38,799 +26,916 $11,169
     AVGO38,799+26,916$11,169
CATERPILLAR INC DEL 81,795 +71,146 $11,148
     CAT81,795+71,146$11,148
GILEAD SCIENCES INC 163,919 +153,263 $11,074
     GILD163,919+153,263$11,074
BANK AMER CORP 378,834 +368,144 $10,986
     BAC378,834+368,144$10,986
QUALCOMM INC 143,431 +135,051 $10,911
     QCOM143,431+135,051$10,911
PFIZER INC 250,937 +241,709 $10,871
     PFE250,937+241,709$10,871
PROCTER AND GAMBLE CO 98,787 +87,224 $10,832
     PG98,787+87,224$10,832
CSX CORP 137,717 +127,091 $10,655
     CSX137,717+127,091$10,655
WALGREENS BOOTS ALLIANCE INC 187,409 +175,248 $10,246
     WBA187,409+175,248$10,246
NVIDIA CORP 61,891 +50,850 $10,164
     NVDA61,891+50,850$10,164
VISA INC 57,337 +48,547 $9,951
     V57,337+48,547$9,951
CONOCOPHILLIPS 162,355 +152,214 $9,904
     COP162,355+152,214$9,904
APPLIED MATLS INC 208,150 +199,814 $9,348
     AMAT208,150+199,814$9,348
AMERICAN EXPRESS CO 75,384 +67,250 $9,305
     AXP75,384+67,250$9,305
WABCO HLDGS INC 69,750 +60,555 $9,249
     WBC69,750+60,555$9,249
BOOKING HLDGS INC 4,879 -3,676 $9,147
     BKNG4,879-3,676$9,147
US BANCORP DEL 172,016 +164,584 $9,014
     USB172,016+164,584$9,014
EMERSON ELEC CO 130,530 +121,593 $8,709
     EMR130,530+121,593$8,709
NIKE INC 102,381 +96,556 $8,595
     NKE102,381+96,556$8,595
CHARTER COMMUNICATIONS INC N 21,514 +14,012 $8,502
     CHTR21,514+14,012$8,502
INTUITIVE SURGICAL INC 15,672 +7,191 $8,221
     ISRG15,672+7,191$8,221
ABBVIE INC 110,966 +98,606 $8,069
     ABBV110,966+98,606$8,069
PAYCHEX INC 93,885 +89,347 $7,726
     PAYX93,885+89,347$7,726
SOUTHWEST AIRLS CO 151,573 +144,560 $7,697
     LUV151,573+144,560$7,697

See Full List: All Stocks Held By Shelton Capital Management
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Shelton Capital Management

Size ($ in 1000's)
At 06/30/2019: $1,735,515
At 03/31/2019: $25,363

Shelton Capital Management holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Shelton Capital Management 13F filings. Link to 13F filings: SEC filings

Shelton Capital Management Top Holdings 13F Filings | www.HoldingsChannel.com

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