HoldingsChannel.com
Syntal Capital Partners LLC Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
PIMCO Enhanced Short Maturity 365,974 -98,886 $37,237
     MINT365,974-98,886$37,237
iShares Trust Core MSCI EAFE ETF (IEFA) 458,674 -2,266 $28,162
     IEFA458,674-2,266$28,162
Willis Group Holdings Ltd 447,714 +447,714 $21,745
     COM447,714+447,714$21,745
Idexx Labs Inc 77,963 +77,963 $21,465
     IDXX77,963+77,963$21,465
Williams Sonoma Inc 208,381 +201,473 $13,544
     WSM208,381+201,473$13,544
CHEVRON CORP 107,058 +85,688 $13,322
     CVX107,058+85,688$13,322
S&P 500 DEPOSITORY RECIEPT TOTAL 44,914 -6,883 $13,159
     SPY44,914-6,883$13,159
Invesco Actively Managed Exchange Trade Ultra Short Duration Ttl (GSY) 228,031 -26,089 $11,485
     GSY228,031-26,089$11,485
Cisco Systems Inc 168,839 +168,839 $9,240
     CSCO168,839+168,839$9,240
Pfizer Inc 212,364 +212,364 $9,199
     PFE212,364+212,364$9,199
Polo Ralph Lauren Corp 67,624 +67,624 $8,149
     COM67,624+67,624$8,149
HFF Inc Cl A 174,028 +24,028 $7,914
     HF174,028+24,028$7,914
Union Pac Corp 41,264 +41,264 $6,978
     UNP41,264+41,264$6,978
SPDR S&P Emerging Markets ETF Total (SPEM) 179,425 -16,843 $6,421
     SPEM179,425-16,843$6,421
Starbucks Corp 68,024 +68,024 $5,702
     SBUX68,024+68,024$5,702
iShares Tr MSCI USA Quality Factor ETF (QUAL) 55,749 +55,749 $5,099
     QUAL55,749+55,749$5,099
iShares S&P North Amercian Technology Software Index Fund (IGV) 22,837 +22,837 $4,989
     IGV22,837+22,837$4,989
iShares S&P North American Technology Semiconductor Index Fund (SOXX) 20,637 +20,637 $4,094
     SOXX20,637+20,637$4,094
iShares Dow Jones U.S. Healthcare Providers Index Fund (IHF) 23,518 +23,518 $4,030
     IHF23,518+23,518$4,030
iShares Russell 1000 Index Fund (IWB) 24,665 -1,973 $4,015
     IWB24,665-1,973$4,015
iShares S&P North American Technology Sector Index Fund (IGM) 18,330 +18,330 $3,952
     IGM18,330+18,330$3,952
iShares MSCI EAFE Small Cap Index Fund (SCZ) 67,451 -7,107 $3,871
     SCZ67,451-7,107$3,871
EXXON MOBIL CORP 49,771 +1,555 $3,813
     XOM49,771+1,555$3,813
Heinz HJ Co 49,816 +49,816 $3,611
     COM49,816+49,816$3,611
iShares Russell 2000 Index Fund (IWM) 23,146 -676 $3,599
     IWM23,146-676$3,599
iShares Dow Jones U.S. Technology Sector Index Fund (IYW) 17,375 +17,375 $3,438
     IYW17,375+17,375$3,438
iShares Trust Core Dividend Growth ETF (DGRO) 89,923 +64,193 $3,435
     DGRO89,923+64,193$3,435
Walmart Stores Inc 30,682 +7,157 $3,390
     WMT30,682+7,157$3,390
PARSLEY ENERGY INC 162,141 -110,323 $3,082
     PE162,141-110,323$3,082
Amazon Com Inc 1,615 UNCH $3,058
     AMZN1,615UNCH$3,058
Waste Management Inc 23,801 +23,801 $2,745
     WM23,801+23,801$2,745
MICROSOFT CORP 20,031 +11,891 $2,683
     MSFT20,031+11,891$2,683
Sherwin Williams Co 5,853 +5,853 $2,682
     SHW5,853+5,853$2,682
iShares Dow jones U.S. Pharmaceuticals Index Fund (IHE) 17,747 +17,747 $2,676
     IHE17,747+17,747$2,676
SPDR MSCI EAFE Strategic factors ETF (QEFA) 42,290 +42,290 $2,667
     QEFA42,290+42,290$2,667
Loopnet Inc 138,826 +138,826 $2,661
     COM138,826+138,826$2,661
Procter & Gamble Co 24,129 +8,621 $2,645
     PG24,129+8,621$2,645
Apple Inc 13,246 +6,753 $2,621
     AAPL13,246+6,753$2,621
Philip Morris Intl Inc 31,821 +31,821 $2,498
     PM31,821+31,821$2,498
Heath Care Reit Inc 35,250 +35,250 $2,454
     COM35,250+35,250$2,454
TEXAS PAC LD 3,029 -3 $2,383
     TPL3,029-3$2,383
iShares Treafe Min Volat (EFAV) 32,406 +32,406 $2,353
     EFAV32,406+32,406$2,353
iShares Edge MSCI ETF (EMGF) 55,261 +55,261 $2,328
     EMGF55,261+55,261$2,328
Wingstop Inc 24,209 -4,712 $2,293
     WING24,209-4,712$2,293
iShares S&P 500 Index Fund (IVV) 7,290 +7,290 $2,148
     IVV7,290+7,290$2,148
Steelcase Inc 117,134 +117,134 $2,002
     SCS117,134+117,134$2,002
Abbott Labs Com 23,757 -6,139 $1,997
     ABT23,757-6,139$1,997
Diageo PLC 11,542 +11,542 $1,988
     DEO11,542+11,542$1,988
AT&T Inc 59,058 +12,530 $1,979
     T59,058+12,530$1,979
iShares MSCI USA Momentum Index Fund (MTUM) 16,607 +16,607 $1,969
     MTUM16,607+16,607$1,969

See Full List: All Stocks Held By Syntal Capital Partners LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Syntal Capital Partners LLC

Size ($ in 1000's)
At 06/30/2019: $465,086
At 03/31/2019: $221,585

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

Syntal Capital Partners LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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