HoldingsChannel.com
All Stocks Held By Miles Capital Inc.
As of  12/31/2019
   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
ISHARES IBOXX HIGH YLD CORP (HYG) 116,666 +1,096 $10,260
     HYG116,666+1,096$10,260
VANGUARD TOTAL BOND MARKET (BND) 114,375 -2,847 $9,592
     BND114,375-2,847$9,592
VANGUARD FTSE DEVELOPED ETF (VEA) 65,667 -11,002 $2,893
     VEA65,667-11,002$2,893
MICROSOFT CORP 18,022 -1,619 $2,842
     MSFT18,022-1,619$2,842
NEXTERA ENERGY INC 10,052 -611 $2,434
     NEE10,052-611$2,434
APPLE INC 7,982 -1,040 $2,344
     AAPL7,982-1,040$2,344
ISHARES CORE S&P 500 ETF (IVV) 6,540 +43 $2,114
     IVV6,540+43$2,114
VANGUARD HIGH DVD YIELD ETF (VYM) 22,278 +79 $2,088
     VYM22,278+79$2,088
MONDELEZ INTERNATIONAL INC A 35,933 -2,593 $1,979
     MDLZ35,933-2,593$1,979
INTERCONTINENTAL EXCHANGE IN (ICE) 20,474 -1,621 $1,895
     ICE20,474-1,621$1,895
VANGUARD REAL ESTATE ETF (VNQ) 19,881 +597 $1,845
     VNQ19,881+597$1,845
PROLOGIS INC 20,546 -260 $1,831
     PLD20,546-260$1,831
BLACKROCK INC 3,184 -281 $1,601
     BLK3,184-281$1,601
CAPITAL ONE FINANCIAL CORP 15,560 -947 $1,601
     COF15,560-947$1,601
AIR PRODUCTS & CHEMICALS INC 5,932 -686 $1,394
     APD5,932-686$1,394
WALT DISNEY CO THE 9,598 -145 $1,388
     DIS9,598-145$1,388
CHEVRON CORP 11,436 -489 $1,378
     CVX11,436-489$1,378
COMCAST CORP CLASS A 30,409 -1,290 $1,367
     CMCSA30,409-1,290$1,367
HONEYWELL INTERNATIONAL INC 7,233 -228 $1,280
     HON7,233-228$1,280
SPDR BBG BARC HIGH YIELD BND (JNK) 11,608 -808 $1,272
     JNK11,608-808$1,272
MORGAN STANLEY 24,382 -2,261 $1,246
     MS24,382-2,261$1,246
THERMO FISHER SCIENTIFIC INC 3,451 +275 $1,121
     TMO3,451+275$1,121
HCA HEALTHCARE INC 7,491 -343 $1,107
     HCA7,491-343$1,107
AMAZON.COM INC 593 -170 $1,096
     AMZN593-170$1,096
BROADCOM INC 3,291 -467 $1,040
     AVGO3,291-467$1,040
CITIGROUP INC 13,024 +130 $1,040
     C13,024+130$1,040
ISHARES RUSSELL 2000 ETF (IWM) 6,277 +36 $1,040
     IWM6,277+36$1,040
MEDICAL PROPERTIES TRUST INC 48,776 -1,635 $1,030
     MPW48,776-1,635$1,030
PHILIP MORRIS INTERNATIONAL 12,020 +560 $1,023
     PM12,020+560$1,023
DELTA AIR LINES INC 16,850 -220 $985
     DAL16,850-220$985
FACEBOOK INC CLASS A 4,760 -1,069 $977
     FB4,760-1,069$977
CERNER CORP 13,130 -1,430 $964
     CERN13,130-1,430$964
PUBLIC SERVICE ENTERPRISE GP 15,669 -673 $925
     PEG15,669-673$925
MCDONALD S CORP 4,670 -432 $923
     MCD4,670-432$923
BANK OF AMERICA CORP 25,671 -706 $904
     BAC25,671-706$904
SYNCHRONY FINANCIAL 24,940 -2,258 $898
     SYF24,940-2,258$898
STARWOOD PROPERTY TRUST INC 33,501 -1,456 $833
     STWD33,501-1,456$833
GILEAD SCIENCES INC 12,712 -390 $826
     GILD12,712-390$826
PEPSICO INC 5,984 -301 $818
     PEP5,984-301$818
ALPHABET INC CL A 607 -131 $813
     GOOGL607-131$813
TARGA RESOURCES CORP 19,771 -748 $807
     TRGP19,771-748$807
FIDELITY NATIONAL FINANCIAL 16,684 -467 $757
     FNF16,684-467$757
INVITATION HOMES INC 25,179 -292 $755
     INVH25,179-292$755
VALERO ENERGY CORP 8,020 -167 $751
     VLO8,020-167$751
MERCK & CO. INC. 8,202 +80 $746
     MRK8,202+80$746
CITIZENS FINANCIAL GROUP 17,306 -474 $703
     CFG17,306-474$703
EQUINIX INC 1,198 -32 $699
     EQIX1,198-32$699
EMERSON ELECTRIC CO 9,112 -471 $695
     EMR9,112-471$695
VANGUARD FTSE EMERGING MARKE (VWO) 15,545 +4 $692
     VWO15,545+4$692
WILLIAMS COS INC 29,028 -1,147 $689
     WMB29,028-1,147$689
UNITEDHEALTH GROUP INC 2,329 -906 $685
     UNH2,329-906$685
LAM RESEARCH CORP 2,294 -373 $671
     LRCX2,294-373$671
TIMKEN CO 11,592 -369 $653
     TKR11,592-369$653
PFIZER INC 16,446 -1,836 $644
     PFE16,446-1,836$644
SPDR S&P BIOTECH ETF (XBI) 6,750 -419 $642
     XBI6,750-419$642
RAYTHEON COMPANY 2,879 -58 $633
     RTN2,879-58$633
AMERIPRISE FINANCIAL INC 3,782 -103 $630
     AMP3,782-103$630
TAKE TWO INTERACTIVE SOFTWRE 5,141 -138 $629
     TTWO5,141-138$629
HUNTSMAN CORP 24,587 -1,038 $594
     HUN24,587-1,038$594
ALLY FINANCIAL INC 18,879 -358 $577
     ALLY18,879-358$577
ABBOTT LABORATORIES 6,616 -99 $575
     ABT6,616-99$575
ANTHEM INC 1,897 -30 $573
     ANTM1,897-30$573
L3HARRIS TECHNOLOGIES INC 2,822 +733 $558
     LHX2,822+733$558
VISA INC CLASS A SHARES (V) 2,952 -130 $555
     V2,952-130$555
SALESFORCE.COM INC 3,358 -456 $546
     CRM3,358-456$546
DARLING INGREDIENTS INC 19,053 -142 $535
     DAR19,053-142$535
MASTERCARD INC A 1,791 -1 $535
     MA1,791-1$535
GENERAL MOTORS CO 14,545 +1,444 $532
     GM14,545+1,444$532
PRUDENTIAL FINANCIAL INC 5,661 -2,490 $531
     PRU5,661-2,490$531
ENCOMPASS HEALTH CORP 7,646 -176 $530
     EHC7,646-176$530
VERIZON COMMUNICATIONS INC 8,432 -220 $518
     VZ8,432-220$518
AGREE REALTY CORP 7,248 -46 $509
     ADC7,248-46$509
FIRST AMERICAN FINANCIAL 8,714 -219 $508
     FAF8,714-219$508
COSTCO WHOLESALE CORP 1,689 -310 $496
     COST1,689-310$496
ISHARES INTERMEDIATE GOVERNM (GVI) 4,391 +142 $495
     GVI4,391+142$495
FNB CORP 36,589 +4,953 $465
     FNB36,589+4,953$465
TWO HARBORS INVESTMENT CORP 31,775 +3,134 $465
     TWO31,775+3,134$465
CISCO SYSTEMS INC 9,676 +318 $464
     CSCO9,676+318$464
MARATHON PETROLEUM CORP 7,657 +55 $461
     MPC7,657+55$461
VISTRA ENERGY CORP 19,084 -343 $439
     VST19,084-343$439
AMERICAN INTERNATIONAL GROUP 8,360 -1,371 $429
     AIG8,360-1,371$429
ALPHABET INC CL C 297 -80 $397
     GOOG297-80$397
HASBRO INC 3,530 -190 $373
     HAS3,530-190$373
VANGUARD S T CORP BOND ETF (VCSH) 4,562 +130 $370
     VCSH4,562+130$370
AMETEK INC 3,588 -708 $358
     AME3,588-708$358
EXTENDED STAY AMERICA INC 23,591 -1,121 $351
     STAY23,591-1,121$351
EASTERLY GOVERNMENT PROPERTI 14,586 -83 $346
     DEA14,586-83$346
ARMADA HOFFLER PROPERTIES IN 18,641 -224 $342
     AHH18,641-224$342
ENSIGN GROUP INC THE 7,459 -90 $338
     ENSG7,459-90$338
GAMING AND LEISURE PROPERTIE 7,825 +7,825 $337
     GLPI7,825+7,825$337
TAIWAN SEMICONDUCTOR SP ADR 5,797 -1,251 $337
     TSM5,797-1,251$337
CUBIC CORP 5,205 -33 $331
     CUB5,205-33$331
JPMORGAN CHASE & CO 2,351 -506 $328
     JPM2,351-506$328
VICI PROPERTIES INC 12,797 +145 $327
     VICI12,797+145$327
AMERICAN TOWER CORP 1,418 UNCH $326
     AMT1,418UNCH$326
ISHARES TIPS BOND ETF (TIP) 2,796 UNCH $326
     TIP2,796UNCH$326
SEMPRA ENERGY 2,144 -328 $325
     SRE2,144-328$325
CONSTELLATION BRANDS INC A 1,694 -191 $321
     STZ1,694-191$321
FLEETCOR TECHNOLOGIES INC 1,113 -385 $320
     FLT1,113-385$320
ASGN INC 4,468 -41 $317
     ASGN4,468-41$317
NOVARTIS AG SPONSORED ADR 3,296 -39 $312
     NVS3,296-39$312
BOSTON SCIENTIFIC CORP 6,871 +17 $311
     BSX6,871+17$311
KEYSIGHT TECHNOLOGIES IN 2,961 +560 $304
     KEYS2,961+560$304
QTS REALTY TRUST INC CL A 5,562 +5,562 $302
     QTS5,562+5,562$302
FABRINET 4,631 -75 $300
     FN4,631-75$300
DANAHER CORP 1,950 -370 $299
     DHR1,950-370$299
INGEVITY CORP 3,427 -80 $299
     NGVT3,427-80$299
TACTILE SYSTEMS TECHNOLOGY I 4,352 +4,352 $294
     TCMD4,352+4,352$294
NVIDIA CORP 1,231 -551 $290
     NVDA1,231-551$290
VERTEX PHARMACEUTICALS INC 1,323 -68 $290
     VRTX1,323-68$290
APPLIED MATERIALS INC 4,714 -18 $288
     AMAT4,714-18$288
NORWEGIAN CRUISE LINE HOLDIN 4,908 +793 $287
     NCLH4,908+793$287
TOTAL SA SPON ADR 5,165 -110 $286
     TOT5,165-110$286
QUANTA SERVICES INC 6,964 -1,651 $284
     PWR6,964-1,651$284
LHC GROUP INC 2,042 -33 $281
     LHCG2,042-33$281
SKYWEST INC 4,352 -70 $281
     SKYW4,352-70$281
T MOBILE US INC 3,556 -233 $279
     TMUS3,556-233$279
MEDTRONIC PLC 2,442 -183 $277
     MDT2,442-183$277
NEOGENOMICS INC 9,484 +9,484 $277
     NEO9,484+9,484$277
LCI INDUSTRIES 2,572 -30 $276
     LCII2,572-30$276
LKQ CORP 7,694 -51 $275
     LKQ7,694-51$275
BOOT BARN HOLDINGS INC 6,162 -55 $274
     BOOT6,162-55$274
CARETRUST REIT INC 13,208 -81 $272
     CTRE13,208-81$272
JACOBS ENGINEERING GROUP INC 3,001 -423 $270
     JEC3,001-423$270
VIRTUSA CORP 5,907 -33 $268
     VRTU5,907-33$268
DIAMONDBACK ENERGY INC 2,879 -548 $267
     FANG2,879-548$267
SEMTECH CORP 5,018 -28 $265
     SMTC5,018-28$265
SONY CORP SPONSORED ADR 3,904 -45 $265
     SNE3,904-45$265
FIRSTENERGY CORP 5,439 -1,901 $264
     FE5,439-1,901$264
AXON ENTERPRISE INC 3,577 UNCH $262
     AAXN3,577UNCH$262
VANGUARD SHORT TERM TREASURY (VGSH) 4,287 UNCH $261
     VGSH4,287UNCH$261
ARCOSA INC 5,847 -80 $260
     ACA5,847-80$260
FMC CORP 2,600 -683 $260
     FMC2,600-683$260
HOME DEPOT INC 1,185 +3 $259
     HD1,185+3$259
OFG BANCORP 10,912 -142 $258
     OFG10,912-142$258
UNIVERSAL FOREST PRODUCTS 5,415 -93 $258
     UFPI5,415-93$258
HUBBELL INC 1,718 +27 $254
     HUBB1,718+27$254
ISHARES PREFERRED & INCOME S (PFF) 6,724 UNCH $253
     PFF6,724UNCH$253
SOUTH JERSEY INDUSTRIES 7,657 -95 $253
     SJI7,657-95$253
SIMON PROPERTY GROUP INC 1,675 +16 $250
     SPG1,675+16$250
VERITEX HOLDINGS INC 8,558 +8,558 $249
     VBTX8,558+8,558$249
PERFICIENT INC 5,381 -70 $248
     PRFT5,381-70$248
BOYD GAMING CORP 8,245 +8,245 $247
     BYD8,245+8,245$247
SANOFI ADR 4,867 +1 $244
     SNY4,867+1$244
ITRON INC 2,882 -50 $242
     ITRI2,882-50$242
ULTRA CLEAN HOLDINGS INC 10,310 -80 $242
     UCTT10,310-80$242
ARCHER DANIELS MIDLAND CO 5,109 +123 $237
     ADM5,109+123$237
LOCKHEED MARTIN CORP 608 +7 $237
     LMT608+7$237
DOW INC 4,232 +4,232 $232
     DOW4,232+4,232$232
ENPRO INDUSTRIES INC 3,467 +3,467 $232
     NPO3,467+3,467$232
CARGURUS INC 6,497 +6,497 $229
     CARG6,497+6,497$229
HUMANA INC 624 +624 $229
     HUM624+624$229
ROYAL DUTCH SHELL SPON ADR A      $228
     RDS.A3,865-70$228
LITHIA MOTORS INC CL A 1,541 -20 $227
     LAD1,541-20$227
SAP SE SPONSORED ADR 1,682 +1,682 $225
     SAP1,682+1,682$225
ESSENT GROUP LTD 4,305 -58 $224
     ESNT4,305-58$224
NMI HOLDINGS INC CLASS A 6,751 +6,751 $224
     NMIH6,751+6,751$224
TORONTO DOMINION BANK 3,983 -72 $224
     TD3,983-72$224
BP PLC SPONS ADR 5,905 -129 $223
     BP5,905-129$223
AAR CORP 4,917 +4,917 $222
     AIR4,917+4,917$222
GIBRALTAR INDUSTRIES INC 4,406 -47 $222
     ROCK4,406-47$222
SIMPLY GOOD FOODS CO THE 7,722 -63 $220
     SMPL7,722-63$220
ALEXANDRIA REAL ESTATE EQUIT 1,356 -865 $219
     ARE1,356-865$219
ALEXION PHARMACEUTICALS INC 2,020 -37 $218
     ALXN2,020-37$218
RIO TINTO PLC SPON ADR 3,659 +3,659 $217
     RIO3,659+3,659$217
ADDUS HOMECARE CORP 2,224 +2,224 $216
     ADUS2,224+2,224$216
EOG RESOURCES INC 2,582 -275 $216
     EOG2,582-275$216
MONOLITHIC POWER SYSTEMS INC 1,216 +1,216 $216
     MPWR1,216+1,216$216
TYSON FOODS INC CL A 2,368 +2,368 $216
     TSN2,368+2,368$216
BECTON DICKINSON AND CO 791 +791 $215
     BDX791+791$215
WALKER & DUNLOP INC 3,293 +3,293 $213
     WD3,293+3,293$213
EHEALTH INC 2,202 +2,202 $212
     EHTH2,202+2,202$212
HARTFORD FINANCIAL SVCS GRP 3,483 +3,483 $212
     HIG3,483+3,483$212
LIVEPERSON INC 5,694 -3,183 $211
     LPSN5,694-3,183$211
LAS VEGAS SANDS CORP 2,994 -1,464 $207
     LVS2,994-1,464$207
AMERIS BANCORP 4,830 +4,830 $205
     ABCB4,830+4,830$205
ASML HOLDING NV NY REG SHS 683 +683 $202
     ASML683+683$202
KOPPERS HOLDINGS INC 5,295 +5,295 $202
     KOP5,295+5,295$202
SPS COMMERCE INC 3,648 +3,648 $202
     SPSC3,648+3,648$202
GMS INC 7,435 +7,435 $201
     GMS7,435+7,435$201
QUINSTREET INC 10,848 +10,848 $166
     QNST10,848+10,848$166
MITSUBISHI UFJ FINL SPON ADR 26,352 -437 $143
     MUFG26,352-437$143
ARCHROCK INC 14,097 -227 $142
     AROC14,097-227$142
SUMITOMO MITSUI SPONS ADR 19,105 -316 $142
     SMFG19,105-316$142
NEWPARK RESOURCES INC 16,370 -151 $103
     NR16,370-151$103
ITAU UNIBANCO H SPON PRF ADR 10,641 -175 $97
     ITUB10,641-175$97
AKAMAI TECHNOLOGIES INC $0 (exited)
     AKAM0-2,594$0
CYRUSONE INC $0 (exited)
     CONE0-4,781$0
HMS HOLDINGS CORP $0 (exited)
     HMSY0-5,930$0
MARINEMAX INC $0 (exited)
     HZO0-10,749$0
II VI INC $0 (exited)
     IIVI0-6,209$0
SUMMIT HOTEL PROPERTIES INC $0 (exited)
     INN0-15,898$0
KEYCORP $0 (exited)
     KEY0-19,315$0
COCA COLA CO THE $0 (exited)
     KO0-4,391$0
MICROCHIP TECHNOLOGY INC $0 (exited)
     MCHP0-2,486$0
MERCURY SYSTEMS INC $0 (exited)
     MRCY0-2,927$0
NETFLIX INC $0 (exited)
     NFLX0-971$0
NORTHROP GRUMMAN CORP $0 (exited)
     NOC0-596$0
PREFERRED BANK LOS ANGELES $0 (exited)
     PFBC0-4,558$0
RINGCENTRAL INC CLASS A $0 (exited)
     RNG0-1,608$0
SYNOPSYS INC $0 (exited)
     SNPS0-1,501$0
UNIVERSAL HEALTH SERVICES B $0 (exited)
     UHS0-1,541$0
VEEVA SYSTEMS INC CLASS A $0 (exited)
     VEEV0-1,405$0
VONAGE HOLDINGS CORP 0 -15,081 $0 (exited)
     VG0-15,081$0

See Summary: Miles Capital Inc. Top Holdings
See Details: Top 10 Stocks Held By Miles Capital Inc.

EntityShares/Amount
Change
Position Value
Change
GLPI +7,825+$337
QTS +5,562+$302
TCMD +4,352+$294
NEO +9,484+$277
VBTX +8,558+$249
BYD +8,245+$247
DOW +4,232+$232
NPO +3,467+$232
CARG +6,497+$229
HUM +624+$229
EntityShares/Amount
Change
Position Value
Change
CONE -4,781-$378
KEY -19,315-$345
NFLX -971-$260
PFBC -4,558-$239
KO -4,391-$239
MRCY -2,927-$238
AKAM -2,594-$237
MCHP -2,486-$231
UHS -1,541-$229
NOC -596-$223
EntityShares/Amount
Change
Position Value
Change
FNB +4,953+$100
TWO +3,134+$89
GM +1,444+$41
HYG +1,096+$186
NCLH +793+$74
LHX +733+$122
VNQ +597+$47
PM +560+$153
KEYS +560+$71
CSCO +318+$2
EntityShares/Amount
Change
Position Value
Change
VEA -11,002-$257
LPSN -3,183-$106
BND -2,847-$305
MDLZ -2,593-$152
PRU -2,490-$202
MS -2,261+$109
SYF -2,258-$29
FE -1,901-$90
PFE -1,836-$13
Size ($ in 1000's)
At 12/31/2019: $124,613
At 09/30/2019: $121,290

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

All Stocks Held By Miles Capital Inc. | www.HoldingsChannel.com

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