Greenwich Wealth Management as of March 31, 2013
Portfolio Holdings for Greenwich Wealth Management
Greenwich Wealth Management holds 58 positions in its portfolio as reported in the March 2013 quarterly 13F filing
Company (Ticker) | Portfolio Weight | Valued At | Change in Shares | Share Count | Share Price |
---|---|---|---|---|---|
Amphenol Corp New Cl A 032095101 | 3.2 | $95k | 24k | 4.03 | |
Apple Inc Com 037833100 | 3.2 | $95k | 18k | 5.26 | |
Devon Energy Corp Com 25179m103 | 3.2 | $94k | 60k | 1.56 | |
Fifth Third Bancorp | 3.1 | $92k | 6.7k | 13.83 | |
Cheung Kong | 3.1 | $91k | 71k | 1.29 | |
Fifth Third Bancorp | 3.0 | $89k | 9.1k | 9.80 | |
Gilead Sciences Inc Com 375558103 | 3.0 | $89k | 19k | 4.78 | |
CLP Holdings | 2.9 | $87k | 3.5k | 24.75 | |
CLP Holdings | 2.9 | $87k | 72k | 1.21 | |
Wharf | 2.8 | $84k | 27k | 3.07 | |
Jp Morgan Chase & Co Com 46625h100 | 2.7 | $81k | 35k | 2.29 | |
Sasol Ltd Sponsored A dr 803866300 | 2.7 | $81k | 99k | 0.82 | |
CLP Holdings | 2.7 | $79k | 1.3k | 60.31 | |
HSBC Holdings | 2.7 | $79k | 53k | 1.48 | |
Qualcomm Inc Com 747525103 | 2.6 | $78k | 36k | 2.15 | |
CLP Holdings | 2.6 | $78k | 6.5k | 12.01 | |
HSBC Holdings | 2.6 | $77k | 43k | 1.79 | |
Wharf | 2.6 | $76k | 8.1k | 9.38 | |
CLP Holdings | 2.5 | $75k | 25k | 3.04 | |
CLP Holdings | 2.4 | $72k | 6.6k | 10.91 | |
Wharf | 2.4 | $72k | 12k | 6.15 | |
CLP Holdings | 2.3 | $69k | 23k | 3.01 | |
CLP Holdings | 2.3 | $68k | 2.7k | 25.19 | |
Jp Morgan Chase & Co Com 46625h100 | 2.3 | $67k | 21k | 3.15 | |
Fifth Third Bancorp | 2.2 | $66k | 73k | 0.91 | |
China Mandarin Holdings | 2.2 | $66k | 24k | 2.77 | |
Fifth Third Bancorp | 2.1 | $61k | 5.1k | 12.06 | |
HSBC Holdings | 1.8 | $52k | 22k | 2.34 | |
Franklin Res Inc Com 354613101 | 1.7 | $49k | 60k | 0.82 | |
Google Inc Cl A 38259p508 | 1.6 | $46k | 59k | 0.78 | |
Fifth Third Bancorp | 1.4 | $43k | 29k | 1.49 | |
Cheung Kong | 1.4 | $43k | 22k | 1.96 | |
Spdr Dow Jones Indl Avrut Ser 1 78467x109 | 1.4 | $43k | 15k | 2.79 | |
Gilead Sciences Inc Com 375558103 | 1.3 | $38k | 13k | 3.00 | |
CLP Holdings | 1.2 | $37k | 13k | 2.81 | |
CLP Holdings | 1.2 | $37k | 4.3k | 8.60 | |
Iac Interactivecorp Com New 44919p300 | 1.2 | $36k | 59k | 0.61 | |
Fifth Third Bancorp | 1.2 | $35k | 7.1k | 4.90 | |
Cheung Kong | 1.1 | $32k | 11k | 2.87 | |
Pentair Ltd Shs h6169q108 | 1.1 | $31k | 48k | 0.65 | |
CLP Holdings | 1.0 | $30k | 2.0k | 15.00 | |
Quanta Svcs Inc Com 74762e102 | 1.0 | $29k | 54k | 0.54 | |
CLP Holdings | 0.9 | $28k | 6.4k | 4.41 | |
CLP Holdings | 0.9 | $26k | 4.6k | 5.65 | |
CLP Holdings | 0.9 | $26k | 2.9k | 9.12 | |
American Tower Corp Cl A 029912201 | 0.8 | $25k | 26k | 0.95 | |
Fifth Third Bancorp | 0.7 | $22k | 25k | 0.90 | |
Fifth Third Bancorp | 0.7 | $22k | 4.0k | 5.53 | |
China Mandarin Holdings | 0.6 | $17k | 9.7k | 1.75 | |
Hongkong Electric Holdings | 0.4 | $13k | 23k | 0.57 | |
CLP Holdings | 0.4 | $13k | 2.1k | 6.15 | |
HSBC Holdings | 0.4 | $13k | 24k | 0.55 | |
Google Inc Cl A 38259p508 | 0.3 | $10k | 5.2k | 1.93 | |
HSBC Holdings | 0.3 | $9.0k | 9.7k | 0.93 | |
CLP Holdings | 0.2 | $6.0k | 2.0k | 3.03 | |
American Tower Corp Cl A 029912201 | 0.0 | $896.610000 | 30k | 0.03 | |
Internap Network Services Corp 45885a300 | 0.0 | $177.000000 | 18k | 0.01 | |
D Pfizer | 0.0 | $0 | 8.3k | 0.00 |