Terminal · Institutions

Every 13F-reported equity position this quarter, with its quarter-over-quarter change — each row traces back to the SEC filing.

MARQUE MILLENNIUM CAPITAL MANAGEMENT LCC 13F Holdings -- Portfolio & Top Positions (2015-09-30)

MARQUE MILLENNIUM CAPITAL MANAGEMENT LCC (CIK 1056519) reported $140.2M across 75 reported positions in its SEC 13F filing for 2015-09-30. Largest positions: STZ ($6.6M, 4.73%), BX ($5.4M, 3.86%), AAPL ($4.5M, 3.22%), ESRX ($4.5M, 3.21%), APH ($3.7M, 2.62%). Source: SEC Form 13F.

RankTickerCompanyValue% PortfolioSharesAction
1STZConstellation Brands$6.6M4.73%52,900Trimmed
2BXBlackstone Group$5.4M3.86%170,820Trimmed
3AAPLApple Computer$4.5M3.22%40,950Trimmed
4ESRXExpress Scripts$4.5M3.21%55,500Trimmed
5APHAmphenol Corporation$3.7M2.62%72,000Trimmed
6WDCWestern Digital$3.6M2.56%45,100Trimmed
7DOXAmdocs Ltd.$3.4M2.42%59,680Hold
8JBLJabil Circuit Inc.$3.3M2.34%146,400Trimmed
9AFLAFLAC$3.2M2.31%55,700New
10WFTIQWeatherford Int'l. PLC$3.2M2.26%374,020Added
11MCKMcKesson Corp.$3.1M2.23%16,870Trimmed
12CNICanadian Natl. Railway$3.1M2.21%54,600Hold
13GEGeneral Electric$3.1M2.19%121,800Trimmed
14TEVATEVA Pharmaceuticals Ltd.$3.0M2.17%53,820Hold
15HDHome Depot$2.9M2.10%25,520Trimmed
16PRUPrudential$2.9M2.04%37,450Trimmed
17JPMJPMorgan Chase & Co.$2.8M2.02%46,340Trimmed
18TXNTexas Instruments$2.6M1.85%52,270Hold
19LHLaboratory Corp. new$2.5M1.82%23,500Trimmed
20BRCDBrocade Comm. Systems$2.5M1.81%244,250Trimmed
21HWMAlcoa Inc.$2.2M1.60%231,699Trimmed
22PX1Praxair Inc.$2.2M1.60%21,950Trimmed
23TRVTravelers Companies Inc.$2.2M1.58%22,200Trimmed
24OKEOneok Inc. New$2.1M1.52%66,300Trimmed
25WBAWalgreens Boots Alliance$2.1M1.48%24,950Trimmed

Source: SEC Form 13F filings · as of 2015-09-30