HoldingsChannel.com
Shelton Capital Management Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
MICROSOFT CORP 499,457 -143,593 $78,769
     MSFT499,457-143,593$78,769
AMAZON COM INC 33,012 -5,265 $64,364
     AMZN33,012-5,265$64,364
WELLS FARGO CO NEW 1,476,385 +38,474 $42,372
     WFC1,476,385+38,474$42,372
ALPHABET INC 23,851 -5,062 $27,734
     GOOG23,851-5,062$27,734
ALPHABET INC 23,004 -2,142 $26,729
     GOOGL23,004-2,142$26,729
INTEL CORP 464,660 +55,584 $25,147
     INTC464,660+55,584$25,147
COMCAST CORP NEW 584,615 -489 $20,099
     CMCSA584,615-489$20,099
QUALCOMM INC 248,624 +14,892 $16,819
     QCOM248,624+14,892$16,819
CISCO SYS INC 404,860 -11,777 $15,915
     CSCO404,860-11,777$15,915
PAYPAL HLDGS INC 160,291 -6,386 $15,346
     PYPL160,291-6,386$15,346
PEPSICO INC 119,915 -5,751 $14,402
     PEP119,915-5,751$14,402
ADOBE INC 44,894 -683 $14,287
     ADBE44,894-683$14,287
NVIDIA CORP 52,868 -392 $13,936
     NVDA52,868-392$13,936
KELLOGG CO 231,016 +1,000 $13,859
     K231,016+1,000$13,859
PROCTER & GAMBLE CO 122,370 -6,504 $13,461
     PG122,370-6,504$13,461
NETFLIX INC 35,812 -284 $13,447
     NFLX35,812-284$13,447
ABBOTT LABS 168,495 -13,445 $13,296
     ABT168,495-13,445$13,296
VERIZON COMMUNICATIONS INC 231,808 -1,766 $12,455
     VZ231,808-1,766$12,455
FISERV INC 127,842 +8,909 $12,144
     FISV127,842+8,909$12,144
CHEVRON CORP NEW 160,080 -2,596 $11,599
     CVX160,080-2,596$11,599
AMGEN INC 54,495 -1,363 $11,048
     AMGN54,495-1,363$11,048
GILEAD SCIENCES INC 143,060 -72,910 $10,695
     GILD143,060-72,910$10,695
STARBUCKS CORP 158,434 -5,577 $10,415
     SBUX158,434-5,577$10,415
COSTCO WHSL CORP NEW 35,867 -288 $10,227
     COST35,867-288$10,227
TESLA INC 17,344 -195 $9,088
     TSLA17,344-195$9,088
PAYCHEX INC 135,557 -12,729 $8,529
     PAYX135,557-12,729$8,529
WABCO HLDGS INC 62,450 -7,300 $8,434
     WBC62,450-7,300$8,434
TRANE TECHNOLOGIES PLC 98,161 +98,161 $8,107
     TT98,161+98,161$8,107
TEXAS INSTRS INC 80,581 -1,037 $8,052
     TXN80,581-1,037$8,052
NIKE INC 94,541 +2,900 $7,822
     NKE94,541+2,900$7,822
BROADCOM INC 31,958 -496 $7,577
     AVGO31,958-496$7,577
MEDTRONIC PLC 82,875 +1,600 $7,474
     MDT82,875+1,600$7,474
AMERICAN ELEC PWR CO INC 91,945 -11,201 $7,354
     AEP91,945-11,201$7,354
JPMORGAN CHASE & CO 80,801 -50,651 $7,275
     JPM80,801-50,651$7,275
AKAMAI TECHNOLOGIES INC 78,765 -29,500 $7,206
     AKAM78,765-29,500$7,206
CHARTER COMMUNICATIONS INC N 16,067 -1,571 $7,010
     CHTR16,067-1,571$7,010
ACTIVISION BLIZZARD INC 110,425 +11,954 $6,568
     ATVI110,425+11,954$6,568
AMERICAN EXPRESS CO 74,701 -23,003 $6,395
     AXP74,701-23,003$6,395
AUTOMATIC DATA PROCESSING IN 46,635 -930 $6,374
     ADP46,635-930$6,374
PACCAR INC 103,420 +34,420 $6,322
     PCAR103,420+34,420$6,322
EXXON MOBIL CORP 163,321 +5,776 $6,201
     XOM163,321+5,776$6,201
EMERSON ELEC CO 129,138 UNCH $6,153
     EMR129,138UNCH$6,153
ORACLE CORP 124,930 -10,170 $6,038
     ORCL124,930-10,170$6,038
CARDINAL HEALTH INC 121,736 +2,302 $5,836
     CAH121,736+2,302$5,836
MONDELEZ INTL INC 116,285 -1,795 $5,824
     MDLZ116,285-1,795$5,824
APPLIED MATLS INC 123,001 -926 $5,636
     AMAT123,001-926$5,636
KEYSIGHT TECHNOLOGIES INC 66,579 +64,500 $5,571
     KEYS66,579+64,500$5,571
T MOBILE US INC 65,042 -1,064 $5,457
     TMUS65,042-1,064$5,457
VERTEX PHARMACEUTICALS INC 21,578 -377 $5,134
     VRTX21,578-377$5,134
UNITEDHEALTH GROUP INC 20,250 +9,813 $5,050
     UNH20,250+9,813$5,050

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 03/31/2020: $1,379,622
At 12/31/2019: $1,809,465

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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