- New Purchases: EFAV, AON, DXCM, RLJ, CARR, DEA, BIPC, COLD, WTRG, QDEL, UNVR, BLD, INN, STRA, QLYS, PCTY, MIDD, LHCG, HXL, GO, GBCI, ENPH, ENB, X9P,
- Added Positions: MAA, AMT, TCO, SUI, PK, RTX, ELS, O, EW, FR, TMUS, MAR, ETR, BRX, ABBV, HIW, PSA, ETRN, BXP, BLK, WMB, REG, LSI, SPY, PAA, NRG, DEI, CMS, HPP, WRI, UDR, USIG, MPLX, REGN, NI, LNT, OFC, NNN, KMI, ET, MMP, LM, PENN, OLLI, WERN, ANGL, X, UAL, UBSI, RYN, SHOPE.PFD, STAGPC.PFD, RGA, SRE, SEDG, LUV, SPSM, FFIN, ADS, AAL, AAXN, BDX, BKH, SAM, BEP, CABO, CZR, CCL, CTLT, CNP, CIT, EPRT, NCLH, FE, GNRC, HASI, HOG, HTA, IRT, TLT, IAGG, TIP, MAC, MPWR, NFG, JWN,
- Reduced Positions: USMV, HDV, AAPL, ARE, MSFT, VTR, NEAR, HLT, KRC, SRC, AMZN, AIV, QTS, RHP, VICI, WELL, FCPT, GOOG, EEMV, EWG, T, BRK.B, EQIX, EQR, FB, INVH, JPM, GOOGL, CCI, DLR, INTC, JNJ, SPG, V, BAC, CONE, IVW, PG, AVB, CUBE, HD, HST, MA, MRK, UNH, VZ, ADBE, ACC, BIIB, BMY, CVX, CSCO, C, KO, CMCSA, DUK, DRE, XOM, MCD, NFLX, NVDA, OKE, ORCL, PEP, PFE, DIS, WMT, WFC, ABT, AMGN, BKNG, CPT, CHTR, COR, COST, DHR, D, LLY, ESS, EXC, GILD, PEAK, HON, ILPT, IBM, LMT, MDT, NEE, NKE, OHI, PYPL, PM, DOC, QCOM, CRM, SVC, SBUX, STOR, TXN, TMO, UNP, VOO, VER, WY, MMM, ATVI, AMD, AFL, ADC, APD, AMLP, ALL, MO, AEP, AXP, AMH, ADI, ANTM, AMAT, ADSK, ADP, AZO, BK, BAX, BA, AVGO, COF, CAT, CNC, CERN, SCHW, CB, CI, CME, CL, COP, CSX, CMI, CVS, DE, DG, ETN, EBAY, ECL, EA, EMR, EPRPG.PFD, EL, EVRG, EXR, FIS, FISV, GD, GE, GIS, GPN, GS, HPQ, HUM, ITW, ILMN, ICE, INTU, ISRG, DBC, JCI, KMB, KLAC, KR, LHX, LRCX, LOW, MMC, MET, MU, MDLZ, MCO, MSI, NEM, NEP, NSC, NOC, ORLY, OUT, PSX, PNC, PPL, PGR, ROIC, ROP, ROST, SPGI, SBRA, SBAC, NOW, SHW, SJI, SO, STWD, STT, SYK, TROW, TGT, TJX, TRV, TFC, UPS, USB, USAC, VRSK, VRTX, VNOM, WBA, WM, XEL, XLNX, ZTS, AAN, ABMD, ACHC, ACIW, AYI, ATGE, AAP, AES, AMG, AGCO, A, AKAM, ALK, ALB, ALXN, ALGN, ALLE, ALE, AMCX, AMCR, AMED, AEE, AEO, AFG, AMHPF.PFD, AIG, AWK, AMP, ABC, AME, APH, ANSS, AM, AOS, APA, ATR, ADM, ANET, ARW, AJG, ASGN, ASH, ASB, AIZ, ATO, AN, AVNS, AVY, AVNT, CAR, AVT, BKR, BLL, BXS, BOH, OZK, BDC, BBY, BIO, TECH, FRA, BXMT, BWA, BSX, BYD, BHF, BR, BF.B, BC, CBT, CCMP, COG, CDNS, CPB, CMD, CAH, CSL, KMX, CRS, CRI, CASY, CTT, CATY, CBOE, CBRE, CDK, CDW, CE, CTL, CF, CHRW, CQP, CMG, CHH, CHD, CIEN, XEC, CINF, CTAS, CRUS, CFG, CTXS, CLH, CLX, CNO, CNX, CTSH, CFX, CLNYPH.PFD, CXP, COLM, CMA, CBSH, CVLT, CAG, CXO, ED, STZ, COO, CPRT, CLGX, GLW, CTVA, COTY, CBRL, CR, CFR, CW, DAR, DVA, DLPH, DAL, DLX, XRAY, DVN, FANG, DFS, DISCA, DISCK, DISH, DLTR, DPZ, UFS, DCI, DOV, DOW, DHI, DTE, DNKN, DD, DXC, EXP, EWBC, EGP, EMN, EPC, EIX, EME, ENR, ETPPD.PFD, ENS, EOG, EPR, EQT, EFX, ETFC, ETSY, ES, EXPE, EXPD, FFIV, FDS, FAST, FRT, FHI, FDX, FITB, FAF, FHN, FRC, FSLR, FCFS, FIVE, FLT, FLIR, FLO, FLS, FLR, FMC, FNB, FL, F, FTNT, FTV, FBHS, FOXA, FOX, BEN, FCX, FCN, FULT, GLPI, GPS, IT, GATX, GM, GNTX, GPC, GNW, GEO, GL, GMED, GT, GGG, LOPE, GRUB, HRB, HAE, HAIN, HAL, HWC, HBI, THG, HIG, HAS, HE, HCA, HCSG, HSIC, MLHR, HSY, HES, HPE, HRC, HNI, HFC, HOLX, HOMB, HRL, HWM, HUBB, HBAN, HII, IDA, IEX, IDXX, INFO, IIVI, INCY, IR, NGVT, INGR, NSP, IART, IBKR, IDCC, IBOC, IFF, IP, IPG, IRETPC.PFD, IPGP, IQV, IRM, ITT, SJM, JCOM, JBL, JKHY, JACK, J, JHG, JBHT, JBGS, JEF, JCAP, JBLU, JW.A, JLL, JNPR, KSU, KAR, K, KMPR, KMT, KEY, KEYS, KIM, KEX, KNX, KSS, KHC, LB, LH, LAMR, LW, LSTR, LVS, LEA, LEG, LDOS, LEN, LII, LGND, LECO, LNC, LFUS, LYV, RAMP, LKQ, L, LOGM, LPX, LITE, MTB, CLI, MANH, MAN, MRO, MPC, MKTX, VAC, MLM, MAS, MTZ, MAT, MXIM, MMS, MKC, MCK, MDU, MRCY, MTD, MGM, MCHP, MTX, MHK, MOH, TAP, MNST, MS, MOS, MSA, MSCI, MUR, MUSA, MYL, NDAQ, NHI, NATI, NOV, NAVI, NCR, NTAP, NTCT, NJR, NYCB, NWL, NEU, NWSA, NWS, NBL, NDSN, NTRS, NWE, NLOK, NUS, NUE, NUVA, NVR, OXY, OGE, ODFL, ORI, OLN, OMC, OGS, OSK, OTIS, OC, PCAR, PKG, PACW, PH, PDCO, PAYX, PAYC, PBF, PEBPD.PFD, PEB, PNR, PBCT, PKI, PRGO, PRSP, PPC, PNFP, PNW, PXD, PNM, PII, POOL, POST, PCH, PPG, PRAH, PBH, PRI, PFG, PB, PRU, PSB, PTC, PEG, PHM, PVH, QRVO, PWR, DGX, RL, RJF, RBC, RF, RS, RGEN, RSG, RMD, RLI, RHI, ROK, ROL, RCL, RGLD, RPM, SBH, BFSPD.PFD, SLB, SMG, SEE, SEIC, SIGI, SMTC, SXT, SCI, SBNY, SLGN, SLAB, SIX, SWKS, SLG, SLM, SNA, SON, SFM, STAG, SWK, STLD, SRCL, STE, STL, SF, INNPD.PFD, SIVB, SYF, SYNH, SNX, SNPS, SYY, TTWO, TPR, TMHC, TCF, TECD, FTI, TDY, TFX, TDS, TPX, TDC, TER, TEX, TTEK, TCBI, TXRH, TXT, TIF, TKR, TOL, TSCO, TT, TDG, THS, TREX, TPH, TRMB, TRN, TRIP, TRMK, TWTR, TYL, TSN, UGI, ULTA, UMBF, UMPQ, UAA, UA, URI, OLED, UHS, UNM, UE, URBN, VLO, VLY, VMI, VVV, VAR, VRSN, VFC, VIAC, VSH, VC, VNO, VMC, WRB, WAFD, WAT, WSO, WBS, WEC, WEN, WST, WDC, WU, WAB, WEX, WHR, WSM, WLTW, WWD, INT, WWE, WOR, WPX, WRK, GWW, WYND, WH, WYNN, XRX, XPO, XYL, YUM, ZBRA, ZBH, ZION,
- Sold Out: RTN, A2A, CY, BPY, TRGP, HTPE.PFD, GTY, IRET, SRLP, MTDR, REZI, LADR, DNOW, DLRPI.PFD, PEIPD.PFD, MDRX, CPRI, DHC, PTEN, MDP, HP, M, DDS, CAKE, EAT, BBBY,
For the details of Advantus Capital Management Inc's stock buys and sells, go to https://www.gurufocus.com/guru/advantus+capital+management+inc/current-portfolio/portfolio
These are the top 5 holdings of Advantus Capital Management Inc- Microsoft Corp (MSFT) - 713,932 shares, 3.79% of the total portfolio. Shares reduced by 6.44%
- Apple Inc (AAPL) - 383,567 shares, 3.65% of the total portfolio. Shares reduced by 8.18%
- iShares Edge MSCI Min Vol USA (USMV) - 2,014,946 shares, 3.19% of the total portfolio. Shares reduced by 12.01%
- Amazon.com Inc (AMZN) - 39,453 shares, 2.84% of the total portfolio. Shares reduced by 5.29%
- ISHARES TRUST (HDV) - 1,229,714 shares, 2.61% of the total portfolio. Shares reduced by 10.48%
Advantus Capital Management Inc initiated holding in iShares Edge MSCI Min Vol EAFE. The purchase prices were between $58.66 and $67.92, with an estimated average price of $64.09. The stock is now traded at around $67.20. The impact to a portfolio due to this purchase was 2.6%. The holding were 1,506,792 shares as of .
New Purchase: Aon PLC (AON)Advantus Capital Management Inc initiated holding in Aon PLC. The purchase prices were between $153.68 and $200.2, with an estimated average price of $186.19. The stock is now traded at around $196.73. The impact to a portfolio due to this purchase was 0.11%. The holding were 21,605 shares as of .
New Purchase: DexCom Inc (DXCM)Advantus Capital Management Inc initiated holding in DexCom Inc. The purchase prices were between $250.71 and $421.36, with an estimated average price of $355.93. The stock is now traded at around $436.19. The impact to a portfolio due to this purchase was 0.09%. The holding were 8,730 shares as of .
New Purchase: RLJ Lodging Trust (RLJ)Advantus Capital Management Inc initiated holding in RLJ Lodging Trust. The purchase prices were between $6.76 and $14.97, with an estimated average price of $9.33. The stock is now traded at around $8.49. The impact to a portfolio due to this purchase was 0.08%. The holding were 320,000 shares as of .
New Purchase: Carrier Global Corp (CARR)Advantus Capital Management Inc initiated holding in Carrier Global Corp. The purchase prices were between $12.89 and $24.37, with an estimated average price of $18.38. The stock is now traded at around $28.19. The impact to a portfolio due to this purchase was 0.04%. The holding were 75,575 shares as of .
New Purchase: Easterly Government Properties Inc (DEA)Advantus Capital Management Inc initiated holding in Easterly Government Properties Inc. The purchase prices were between $22.77 and $29.32, with an estimated average price of $25.43. The stock is now traded at around $25.30. The impact to a portfolio due to this purchase was 0.03%. The holding were 52,700 shares as of .
Added: Mid-America Apartment Communities Inc (MAA)Advantus Capital Management Inc added to a holding in Mid-America Apartment Communities Inc by 230.13%. The purchase prices were between $94.25 and $126.53, with an estimated average price of $112.56. The stock is now traded at around $116.09. The impact to a portfolio due to this purchase was 0.22%. The holding were 105,672 shares as of .
Added: American Tower Corp (AMT)Advantus Capital Management Inc added to a holding in American Tower Corp by 46.42%. The purchase prices were between $206.97 and $267.39, with an estimated average price of $247.05. The stock is now traded at around $254.17. The impact to a portfolio due to this purchase was 0.14%. The holding were 64,805 shares as of .
Added: Taubman Centers Inc (TCO)Advantus Capital Management Inc added to a holding in Taubman Centers Inc by 1872.00%. The purchase prices were between $36.17 and $46.8, with an estimated average price of $40.95. The stock is now traded at around $38.30. The impact to a portfolio due to this purchase was 0.11%. The holding were 123,250 shares as of .
Added: Sun Communities Inc (SUI)Advantus Capital Management Inc added to a holding in Sun Communities Inc by 37.00%. The purchase prices were between $106.75 and $147.74, with an estimated average price of $132.62. The stock is now traded at around $145.53. The impact to a portfolio due to this purchase was 0.1%. The holding were 105,612 shares as of .
Added: Raytheon Technologies Corp (RTX)Advantus Capital Management Inc added to a holding in Raytheon Technologies Corp by 70.40%. The purchase prices were between $49.93 and $74.16, with an estimated average price of $62.35. The stock is now traded at around $60.35. The impact to a portfolio due to this purchase was 0.09%. The holding were 136,862 shares as of .
Added: Park Hotels & Resorts Inc (PK)Advantus Capital Management Inc added to a holding in Park Hotels & Resorts Inc by 1411.94%. The purchase prices were between $6.04 and $14.88, with an estimated average price of $9.28. The stock is now traded at around $8.31. The impact to a portfolio due to this purchase was 0.09%. The holding were 371,560 shares as of .
Sold Out: Raytheon Co (RTN)Advantus Capital Management Inc sold out a holding in Raytheon Co. The sale prices were between $116.96 and $131.15, with an estimated average price of $123.51.
Sold Out: Cypress Semiconductor Corp (CY)Advantus Capital Management Inc sold out a holding in Cypress Semiconductor Corp. The sale prices were between $23.31 and $23.82, with an estimated average price of $23.64.
Sold Out: Essential Utilities Inc (A2A)Advantus Capital Management Inc sold out a holding in Essential Utilities Inc. The sale prices were between $34.55 and $40.8, with an estimated average price of $38.13.
Sold Out: Brookfield Property Partners LP (BPY)Advantus Capital Management Inc sold out a holding in Brookfield Property Partners LP. The sale prices were between $7.32 and $13.9, with an estimated average price of $9.8.
Sold Out: Getty Realty Corp (GTY)Advantus Capital Management Inc sold out a holding in Getty Realty Corp. The sale prices were between $19.52 and $31.68, with an estimated average price of $26.44.
Sold Out: Investors Real Estate Trust (IRET)Advantus Capital Management Inc sold out a holding in Investors Real Estate Trust. The sale prices were between $44.36 and $76.82, with an estimated average price of $63.78.
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