HoldingsChannel.com
All Stocks Held By Cypress Capital Management LLC WY
As of  03/31/2020
   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
APPLE INC 28,269 +196 $7,189
     AAPL28,269+196$7,189
FIRST INTST BANCSYSTEM INC 18,727 -196,044 $5,401
     FIBK18,727-196,044$5,401
EDWARDS LIFESCIENCES CORP 22,556 -1,506 $4,255
     EW22,556-1,506$4,255
ISHARES TR (PFF) 106,190 +40,729 $3,381
     PFF106,190+40,729$3,381
VANECK VECTORS ETF TR (GDX) 121,185 -10,661 $2,792
     GDX121,185-10,661$2,792
SELECT SECTOR SPDR TR (XLV) 27,584 -2,113 $2,443
     XLV27,584-2,113$2,443
CARA THERAPEUTICS INC 179,954 -4,131 $2,377
     CARA179,954-4,131$2,377
KIRKLAND LAKE GOLD LTD 78,768 -2,470 $2,332
     KL78,768-2,470$2,332
DIREXION SHS ETF TR (SPXS) 143,163 +143,163 $2,282
     SPXS143,163+143,163$2,282
VERIZON COMMUNICATIONS INC 39,123 -2,436 $2,102
     VZ39,123-2,436$2,102
MCDONALDS CORP 10,952 -563 $1,811
     MCD10,952-563$1,811
LULULEMON ATHLETICA INC 9,513 -494 $1,803
     LULU9,513-494$1,803
AMAZON COM INC 877 -41 $1,710
     AMZN877-41$1,710
SPDR SERIES TRUST (XSD) 20,135 -2,028 $1,691
     XSD20,135-2,028$1,691
CONSTELLATION BRANDS INC 11,305 -391 $1,621
     STZ11,305-391$1,621
SELECT SECTOR SPDR TR (XLK) 19,189 -2,173 $1,542
     XLK19,189-2,173$1,542
ABIOMED INC 10,416 -1,105 $1,512
     ABMD10,416-1,105$1,512
SPDR SERIES TRUST (KRE) 46,359 -3,880 $1,511
     KRE46,359-3,880$1,511
WISDOMTREE TR 53,500 +53,500 $1,343
     USFR53,500+53,500$1,343
ESSENTIAL PPTYS RLTY TR INC 91,994 -1,387 $1,201
     EPRT91,994-1,387$1,201
VISA INC 7,062 -331 $1,138
     V7,062-331$1,138
SILVERCORP METALS INC 327,544 -11,900 $1,071
     SVM327,544-11,900$1,071
COSTCO WHSL CORP NEW 3,241 +75 $924
     COST3,241+75$924
LAMAR ADVERTISING CO NEW 17,600 -1,809 $903
     LAMR17,600-1,809$903
WALKER & DUNLOP 21,773 -1,161 $877
     WD21,773-1,161$877
COMCAST CORP NEW 23,560 -2,769 $810
     CMCSA23,560-2,769$810
SHOCKWAVE MED INC 22,706 +22,606 $753
     SWAV22,706+22,606$753
SELECT SECTOR SPDR TR (XLI) 12,537 -1,913 $740
     XLI12,537-1,913$740
AT&T INC 24,247 -1,832 $707
     T24,247-1,832$707
PHILIP MORRIS INTL INC 9,600 UNCH $700
     PM9,600UNCH$700
UNITED STATES OIL FUND LP (USO) 166,084 -8,210 $699
     USO166,084-8,210$699
UNITED TECHNOLOGIES CORP 7,275 -200 $686
     UTX7,275-200$686
JOHNSON & JOHNSON 3,497 -500 $459
     JNJ3,497-500$459
DISNEY WALT CO 4,338 -4 $419
     DIS4,338-4$419
JPMORGAN CHASE & CO 4,405 -1,008 $397
     JPM4,405-1,008$397
KANSAS CITY SOUTHERN 3,076 -359 $391
     KSU3,076-359$391
LOCKHEED MARTIN CORP. 1,072 -190 $363
     LMT1,072-190$363
ISHARES SILVER TRUST (SLV) 27,249 -1,940 $356
     SLV27,249-1,940$356
BERKSHIRE HATHAWAY INC DEL      $333
     BRK.A1UNCH$272
     BRK.B332UNCH$61
INNOVATOR ETFS TR (FFTY) 11,307 -2,818 $316
     FFTY11,307-2,818$316
SELECT SECTOR SPDR TR (XLP) 5,207 -134 $284
     XLP5,207-134$284
EXXON MOBIL CORP 7,291 UNCH $277
     XOM7,291UNCH$277
ADOBE SYS INC 837 -9 $266
     ADBE837-9$266
BOEING CO 1,780 -6,670 $265
     BA1,780-6,670$265
HONEYWELL INTL INC 1,937 UNCH $259
     HON1,937UNCH$259
ENTERPRISE PRODS PARTNERS L 16,715 UNCH $239
     EPD16,715UNCH$239
SPDR GOLD TRUST (GLD) 1,519 UNCH $225
     GLD1,519UNCH$225
SELECT SECTOR SPDR TR (XLRE) 6,852 +6,392 $212
     XLRE6,852+6,392$212
WASTE MGMT INC DEL 2,156 -206 $200
     WM2,156-206$200
SALESFORCE COM INC 1,350 -200 $194
     CRM1,350-200$194
ISHARES TR (IWV) 1,253 +8 $186
     IWV1,253+8$186
PROCTER & GAMBLE CO 1,650 UNCH $182
     PG1,650UNCH$182
ILLINOIS TOOL WKS INC 1,195 UNCH $170
     ITW1,195UNCH$170
APOLLO COML REAL EST FIN INC 22,808 +1,466 $169
     ARI22,808+1,466$169
SELECT SECTOR SPDR TR (XLU) 2,957 -139 $164
     XLU2,957-139$164
HOME DEPOT INC 875 UNCH $163
     HD875UNCH$163
FERRARI N V 1,050 +300 $160
     RACE1,050+300$160
SPDR SERIES TRUST (XHB) 5,250 +5,250 $156
     XHB5,250+5,250$156
ALTRIA GROUP INC 3,900 UNCH $151
     MO3,900UNCH$151
COLGATE PALMOLIVE CO 1,960 UNCH $130
     CL1,960UNCH$130
PEPSICO INC 1,018 UNCH $122
     PEP1,018UNCH$122
MICROSOFT CORP 761 +95 $120
     MSFT761+95$120
ARES CAP CORP 10,400 +400 $112
     ARCC10,400+400$112
AMPIO PHARMACEUTICALS INC 259,825 -5,000 $108
     AMPE259,825-5,000$108
US BANCORP DEL 3,102 UNCH $107
     USB3,102UNCH$107
GENERAL MLS INC 2,000 UNCH $106
     GIS2,000UNCH$106
ABBOTT LABS 1,334 -650 $105
     ABT1,334-650$105
POWERSHARES QQQ TRUST (QQQ) 550 -50 $105
     QQQ550-50$105
KIMBERLY CLARK CORP 800 UNCH $102
     KMB800UNCH$102
VISTA GOLD CORP 215,196 -6,031 $100
     VGZ215,196-6,031$100
NETFLIX INC 250 UNCH $94
     NFLX250UNCH$94
SELECT SECTOR SPDR TR (XLB) 2,000 UNCH $90
     XLB2,000UNCH$90
MCCORMICK & CO INC 627 -330 $89
     MKC627-330$89
SYSCO CORP 1,950 -800 $89
     SYY1,950-800$89
SCHWAB STRATEGIC TR 1,945 -147 $87
     SCHD1,945-147$87
GLOBAL MED REIT INC 8,500 +8,500 $86
     GMRE8,500+8,500$86
REPUBLIC SVCS INC 1,091 UNCH $82
     RSG1,091UNCH$82
QUEST DIAGNOSTICS INC 1,000 UNCH $80
     DGX1,000UNCH$80
NORTHWEST NAT GAS CO 1,300 -200 $80
     NWN1,300-200$80
3M CO 560 -375 $76
     MMM560-375$76
ENERGY TRANSFER LP 16,000 -1,000 $74
     ET16,000-1,000$74
AMERICAN ELEC PWR INC 896 UNCH $72
     AEP896UNCH$72
NORTHROP GUNMAN CORP 230 UNCH $70
     NOC230UNCH$70
AMEREN CORP 894 -114 $65
     AEE894-114$65
EATON VANCE TX MGD DIV EQ IN 6,800 UNCH $63
     ETY6,800UNCH$63
ARES COML REAL ESTATE CORP 8,750 +8,750 $61
     ACRE8,750+8,750$61
MONDELEZ INTL INC 1,160 UNCH $58
     MDLZ1,160UNCH$58
ARBOR RLTY TR INC 10,812 +719 $53
     ABR10,812+719$53
BRITISH AMERN TOB PLC 1,500 UNCH $51
     BTI1,500UNCH$51
WELLS FARGO & CO NEW 1,722 -199 $49
     WFC1,722-199$49
EATON VANCE ENH EQTY INC FD 3,450 UNCH $48
     EOS3,450UNCH$48
PALO ALTO NETWORKS INC 250 UNCH $41
     PANW250UNCH$41
SPIRIT RLTY CAP INC NEW 1,500 +1,500 $39
     SRC1,500+1,500$39
EMERSON ELEC CO 780 UNCH $37
     EMR780UNCH$37
PROLOGIS INC 459 -11,952 $37
     PLD459-11,952$37
TJX COS INC NEW 746 -668 $36
     TJX746-668$36
PHILLIPS 66 650 UNCH $35
     PSX650UNCH$35
CME GROUP INC 188 -10 $33
     CME188-10$33
EATON VANCE TAX MNGD GBL DV 5,000 UNCH $32
     EXG5,000UNCH$32
SELECT SECTOR SPDR TR (XLF) 1,500 UNCH $31
     XLF1,500UNCH$31
PFIZER INC 849 -1,000 $28
     PFE849-1,000$28
CENTURYLINK INC 2,814 -4 $27
     CTL2,814-4$27
POWERSHARES ETF TRUST II (PGX) 2,000 UNCH $26
     PGX2,000UNCH$26
BLACKSTONE GROUP L P 553 UNCH $25
     BX553UNCH$25
OUTFRONT MEDIA INC 1,648 +1,500 $22
     OUT1,648+1,500$22
DIREXION SHS ETF TR (YINN) 1,700 UNCH $20
     YINN1,700UNCH$20
MERCK & CO INC NEW 250 UNCH $19
     MRK250UNCH$19
PUBLIC STORAGE 96 UNCH $19
     PSA96UNCH$19
ISHARES TR (IHF) 110 UNCH $18
     IHF110UNCH$18
CHEVRON CORP NEW 229 UNCH $17
     CVX229UNCH$17
ELLINGTON FINANCIAL INC 2,950 -48 $17
     EFC2,950-48$17
NVIDIA CORP 60 +60 $16
     NVDA60+60$16
WPX ENERGY INC 5,280 UNCH $16
     WPX5,280UNCH$16
ABBVIE INC 200 -500 $15
     ABBV200-500$15
AMERICAN TOWER CORP NEW 70 +70 $15
     AMT70+70$15
OKTA INC 125 +125 $15
     OKTA125+125$15
FIRST TR EXCHANGE TRADED FD (SKYY) 254 -8 $14
     SKYY254-8$14
UBIQUITI INC 100 UNCH $14
     UI100UNCH$14
CLOVIS ONCOLOGY INC 2,000 UNCH $13
     CLVS2,000UNCH$13
ISHARES TR (IJH) 91 UNCH $13
     IJH91UNCH$13
CHENIERE ENERGY INC 400 UNCH $13
     LNG400UNCH$13
ONEOK PARTNERS LP 591 UNCH $13
     OKE591UNCH$13
PAYPAL HLDGS INC 130 UNCH $12
     PYPL130UNCH$12
PROSHARES TR II (UVXY) 200 -700 $12
     UVXY200-700$12
AGNC INVT CORP 1,000 UNCH $11
     AGNC1,000UNCH$11
WENDYS CO 725 UNCH $11
     WEN725UNCH$11
BLACK HILLS CORP 150 UNCH $10
     BKH150UNCH$10
ALLIANT ENERGY CORP 200 UNCH $10
     LNT200UNCH$10
STURM RUGER & CO INC 200 UNCH $10
     RGR200UNCH$10
UNILEVER N V 200 UNCH $10
     UN200UNCH$10
SELECT SECTOR SPDR TR (XLE) 330 -10,501 $10
     XLE330-10,501$10
DU PONT E I DE NEMOURS & CO 276 UNCH $9
     DD276UNCH$9
LGI HOMES INC 200 +200 $9
     LGIH200+200$9
LEXINFINTECH HLDGS LTD 1,000 +1,000 $9
     LX1,000+1,000$9
QUALCOMM INC 130 +130 $9
     QCOM130+130$9
TWILIO INC 100 UNCH $9
     TWLO100UNCH$9
ZOOM VIDEO COMMUNICATIONS IN 64 +64 $9
     ZM64+64$9
GRANITESHARES GOLD TR (BAR) 485 UNCH $8
     BAR485UNCH$8
CO DIAGNOSTICS INC 1,000 +1,000 $8
     CODX1,000+1,000$8
GILEAD SCIENCES INC 110 +110 $8
     GILD110+110$8
ISHARES (IWY) 95 UNCH $8
     IWY95UNCH$8
ISHARES TR (JKE) 45 UNCH $8
     JKE45UNCH$8
UNIVERSAL DISPLAY CORP 60 UNCH $8
     OLED60UNCH$8
STARBUCKS CORP 115 UNCH $8
     SBUX115UNCH$8
SCHWAB STRATEGIC TR 150 -11,166 $8
     SCHZ150-11,166$8
KRATOS DEFENSE & SEC SOLUTIO 500 UNCH $7
     KTOS500UNCH$7
SIRIUS XM HLDGS INC 1,500 UNCH $7
     SIRI1,500UNCH$7
WILLIAMS COS INC DEL 500 UNCH $7
     WMB500UNCH$7
CANOPY GROWTH CORP 414 UNCH $6
     CGC414UNCH$6
CORTEVA INC 276 UNCH $6
     CTVA276UNCH$6
ISHARES TR (IHI) 25 UNCH $6
     IHI25UNCH$6
ALIBABA GROUP HLDG LTD 28 UNCH $5
     BABA28UNCH$5
BIO RAD LABS INC 13 UNCH $5
     BIO13UNCH$5
INVESCO EXCHANGE TRADED FD T (RSP) 65 +65 $5
     RSP65+65$5
SPDR S&P 500 ETF TR (SPY) 15 UNCH $4
     SPY15UNCH$4
CROWN CASTLE INTL CORP NEW 20 UNCH $3
     CCI20UNCH$3
CRONOS 500 +500 $3
     CRON500+500$3
8X8 INC NEW 250 UNCH $3
     EGHT250UNCH$3
FORTINET INC 30 UNCH $3
     FTNT30UNCH$3
ALPHABET INC 3 UNCH $3
     GOOG3UNCH$3
HARLEY DAVIDSON INC 150 UNCH $3
     HOG150UNCH$3
ITERUM THERAPEUTICS PLC 1,000 UNCH $3
     ITRM1,000UNCH$3
DIREXION SHS ETF TR (NUGT) 425 -31,240 $3
     NUGT425-31,240$3
SCHWAB STRATEGIC TR 100 UNCH $3
     SCHH100UNCH$3
WIX COM LTD 30 UNCH $3
     WIX30UNCH$3
DIODES INC 50 UNCH $2
     DIOD50UNCH$2
NEXTERA ENERGY PARTNERS LP 35 UNCH $2
     NEP35UNCH$2
SEACOAST BKG CORP FLA 100 UNCH $2
     SBCF100UNCH$2
SCHWAB STRATEGIC TR 25 UNCH $2
     SCHX25UNCH$2
AURORA CANNABIS INC 1,230 UNCH $1
     ACB1,230UNCH$1
CITIGROUP GLOBAL MKTS HLGDS 100 UNCH $1
     DWT100UNCH$1
SCHWAB STRATEGIC TR 25 -14 $1
     SCHA25-14$1
SCHWAB STRATEGIC TR 25 UNCH $1
     SCHV25UNCH$1
SPDR SERIES TRUST (SPYG) 20 UNCH $1
     SPYG20UNCH$1
UNIVERSAL LOGISTICS HLDGS IN 100 UNCH $1
     ULH100UNCH$1
CHESAPEAKE ENERGY CORP 2,000 UNCH <$1
     CHK2,000UNCH$0
DIREXION SHS ETF TR (GUSH) 4 -196 <$1
     GUSH4-196$0
SPDR SERIES TRUST (XOP) 13 -42 $0
     XOP13-42$0
AMEDISYS INC $0 (exited)
     AMED0-13,146$0
ALPS ETF TR $0 (exited)
     AMLP0-737$0
BROADCOM LTD $0 (exited)
     AVGO0-72$0
CAMTEK LTD $0 (exited)
     CAMT0-74,380$0
AMPLIFY ETF TR $0 (exited)
     CNBS0-200$0
CARVANA CO $0 (exited)
     CVNA0-307$0
EOG RES INC $0 (exited)
     EOG0-15$0
ESSENT GROUP LTD $0 (exited)
     ESNT0-12,237$0
ETF MANAGERS TR $0 (exited)
     HACK0-7,086$0
HEICO CORP NEW $0 (exited)
     HEI0-258$0
HILTON WORLDWIDE HLDGS INC $0 (exited)
     HLT0-339$0
INNOVATIVE INDL PPTYS INC $0 (exited)
     IIPR0-7,144$0
KINDER MORGAN INC DEL $0 (exited)
     KMI0-192$0
MASTERCARD INCORPORATED $0 (exited)
     MA0-300$0
PAYLOCITY HLDG CORP $0 (exited)
     PCTY0-21,886$0
PROGRESSIVE CORP OHIO $0 (exited)
     PGR0-8,494$0
BOSTON BEER INC $0 (exited)
     SAM0-50$0
SOUTHERN CO $0 (exited)
     SO0-19,781$0
TESLA MTRS INC $0 (exited)
     TSLA0-7$0
VEEVA SYS INC $0 (exited)
     VEEV0-1,165$0
WAL MART STORES INC $0 (exited)
     WMT0-188$0

See Summary: Cypress Capital Management LLC WY Top Holdings
See Details: Top 10 Stocks Held By Cypress Capital Management LLC WY

EntityShares/Amount
Change
Position Value
Change
SPXS +143,163+$2,282
USFR +53,500+$1,343
XHB +5,250+$156
GMRE +8,500+$86
ACRE +8,750+$61
SRC +1,500+$39
NVDA +60+$16
AMT +70+$15
OKTA +125+$15
LGIH +200+$9
EntityShares/Amount
Change
Position Value
Change
PCTY -21,886-$2,644
AMED -13,146-$2,194
SO -19,781-$1,260
CAMT -74,380-$806
ESNT -12,237-$636
PGR -8,494-$615
IIPR -7,144-$542
HACK -7,086-$295
VEEV -1,165-$164
MA -300-$90
EntityShares/Amount
Change
Position Value
Change
PFF +40,729+$920
SWAV +22,606+$749
XLRE +6,392+$194
OUT +1,500+$18
ARI +1,466-$221
ABR +719-$92
ARCC +400-$75
RACE +300+$36
AAPL +196-$1,055
MSFT +95+$15
EntityShares/Amount
Change
Position Value
Change
FIBK -196,044-$3,602
NUGT -31,240-$1,100
PLD -11,952-$1,069
SVM -11,900-$854
SCHZ -11,166-$597
GDX -10,661-$1,068
XLE -10,501-$660
USO -8,210-$1,534
BA -6,670-$2,488
Size ($ in 1000's)
At 03/31/2020: $71,029
At 12/31/2019: $105,971

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

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