Washington Capital Management Inc Buys FedEx Corp, Vanguard FTSE All World Ex US, Mylan NV, Sells JPMorgan Chase, Norfolk Southern Corp, PNC Financial Services Group Inc

Seattle, WA, based Investment company Washington Capital Management Inc buys FedEx Corp, Vanguard FTSE All World Ex US, Mylan NV, Proofpoint Inc, BJ's Wholesale Club Holdings Inc, WellCare Health Plans Inc, Rockwell Automation Inc, A.O. Smith Corp, Skechers USA Inc, Littelfuse Inc, Globus Medical Inc, NXP Semiconductors NV, O'Reilly Automotive Inc, Grand Canyon Education Inc, KLX Energy Services Holdings Inc, Tyler Technologies Inc, Pivotal Software Inc, Cloudera Inc, sells JPMorgan Chase, Norfolk Southern Corp, PNC Financial Services Group Inc, Apache Corp, Lockheed Martin Corp, Westinghouse Air Brake Technologies Corp, Henry Schein Inc, Citigroup Inc, Fortinet Inc, Fifth Third Bancorp, Microchip Technology Inc, Ciena Corp, TiVo Corp, Knight-Swift Transportation Holdings Inc, Bank of New York Mellon Corp, Ulta Beauty Inc, Washington Federal Inc, Splunk Inc, The Cooper Inc, Marvell Technology Group, Palo Alto Networks Inc, Arista Networks Inc during the 3-months ended 2019Q1, according to the most recent filings of the investment company, Washington Capital Management Inc. As of 2019Q1, Washington Capital Management Inc owns 97 stocks with a total value of $88 million. These are the details of the buys and sells.

For the details of WASHINGTON CAPITAL MANAGEMENT INC's stock buys and sells, go to https://www.gurufocus.com/guru/washington+capital+management+inc/current-portfolio/portfolio

These are the top 5 holdings of WASHINGTON CAPITAL MANAGEMENT INC
  1. Vanguard Total Stock Market (VTI) - 48,498 shares, 7.95% of the total portfolio. Shares added by 0.36%
  2. SPDR S&P 500 (SPY) - 8,306 shares, 2.66% of the total portfolio. Shares added by 0.91%
  3. iShares Nasdaq Biotechnology Index Fund (IBB) - 20,793 shares, 2.63% of the total portfolio. Shares reduced by 14.76%
  4. Merck & Co Inc (MRK) - 27,794 shares, 2.62% of the total portfolio. Shares reduced by 15.76%
  5. Alphabet Inc (GOOG) - 1,968 shares, 2.61% of the total portfolio. Shares reduced by 16.04%
New Purchase: FedEx Corp (FDX)

Washington Capital Management Inc initiated holding in FedEx Corp. The purchase prices were between $157.19 and $185.62, with an estimated average price of $176.54. The stock is now traded at around $183.97. The impact to a portfolio due to this purchase was 2.09%. The holding were 10,175 shares as of .

New Purchase: Proofpoint Inc (PFPT)

Washington Capital Management Inc initiated holding in Proofpoint Inc. The purchase prices were between $81.81 and $124.98, with an estimated average price of $109.22. The stock is now traded at around $123.64. The impact to a portfolio due to this purchase was 0.6%. The holding were 4,350 shares as of .

New Purchase: WellCare Health Plans Inc (WCG)

Washington Capital Management Inc initiated holding in WellCare Health Plans Inc. The purchase prices were between $230.61 and $282.5, with an estimated average price of $258.4. The stock is now traded at around $258.50. The impact to a portfolio due to this purchase was 0.49%. The holding were 1,600 shares as of .

New Purchase: BJ's Wholesale Club Holdings Inc (BJ)

Washington Capital Management Inc initiated holding in BJ's Wholesale Club Holdings Inc. The purchase prices were between $22.16 and $27.4, with an estimated average price of $25.45. The stock is now traded at around $28.13. The impact to a portfolio due to this purchase was 0.49%. The holding were 15,900 shares as of .

New Purchase: Rockwell Automation Inc (ROK)

Washington Capital Management Inc initiated holding in Rockwell Automation Inc. The purchase prices were between $145.54 and $181.4, with an estimated average price of $169.78. The stock is now traded at around $178.77. The impact to a portfolio due to this purchase was 0.42%. The holding were 2,100 shares as of .

New Purchase: A.O. Smith Corp (AOS)

Washington Capital Management Inc initiated holding in A.O. Smith Corp. The purchase prices were between $42.42 and $53.34, with an estimated average price of $49.6. The stock is now traded at around $52.44. The impact to a portfolio due to this purchase was 0.4%. The holding were 6,700 shares as of .

Added: Vanguard FTSE All World Ex US (VEU)

Washington Capital Management Inc added to a holding in Vanguard FTSE All World Ex US by 63.03%. The purchase prices were between $45.08 and $50.94, with an estimated average price of $48.91. The stock is now traded at around $50.74. The impact to a portfolio due to this purchase was 0.77%. The holding were 34,865 shares as of .

Added: Mylan NV (MYL)

Washington Capital Management Inc added to a holding in Mylan NV by 44.40%. The purchase prices were between $26.01 and $32.1, with an estimated average price of $29.18. The stock is now traded at around $27.57. The impact to a portfolio due to this purchase was 0.7%. The holding were 71,440 shares as of .

Added: Grand Canyon Education Inc (LOPE)

Washington Capital Management Inc added to a holding in Grand Canyon Education Inc by 46.03%. The purchase prices were between $90.83 and $118.83, with an estimated average price of $102.76. The stock is now traded at around $118.42. The impact to a portfolio due to this purchase was 0.19%. The holding were 4,600 shares as of .

Added: KLX Energy Services Holdings Inc (KLXE)

Washington Capital Management Inc added to a holding in KLX Energy Services Holdings Inc by 51.96%. The purchase prices were between $22.98 and $30, with an estimated average price of $26.52. The stock is now traded at around $26.97. The impact to a portfolio due to this purchase was 0.15%. The holding were 15,500 shares as of .

Added: Tyler Technologies Inc (TYL)

Washington Capital Management Inc added to a holding in Tyler Technologies Inc by 31.58%. The purchase prices were between $176.63 and $216.04, with an estimated average price of $198.02. The stock is now traded at around $214.98. The impact to a portfolio due to this purchase was 0.14%. The holding were 2,500 shares as of .

Added: Pivotal Software Inc (PVTL)

Washington Capital Management Inc added to a holding in Pivotal Software Inc by 25.95%. The purchase prices were between $16.32 and $23.65, with an estimated average price of $19.48. The stock is now traded at around $20.78. The impact to a portfolio due to this purchase was 0.11%. The holding were 23,300 shares as of .

Sold Out: Apache Corp (APA)

Washington Capital Management Inc sold out a holding in Apache Corp. The sale prices were between $26.25 and $36.08, with an estimated average price of $32.49.

Sold Out: Henry Schein Inc (HSIC)

Washington Capital Management Inc sold out a holding in Henry Schein Inc. The sale prices were between $57.4 and $63.61, with an estimated average price of $60.39.

Sold Out: Westinghouse Air Brake Technologies Corp (WAB)

Washington Capital Management Inc sold out a holding in Westinghouse Air Brake Technologies Corp. The sale prices were between $67.3 and $78.06, with an estimated average price of $72.15.

Sold Out: Fortinet Inc (FTNT)

Washington Capital Management Inc sold out a holding in Fortinet Inc. The sale prices were between $66.91 and $88.3, with an estimated average price of $79.46.

Sold Out: Fifth Third Bancorp (FITB)

Washington Capital Management Inc sold out a holding in Fifth Third Bancorp. The sale prices were between $23.53 and $28.76, with an estimated average price of $26.6.

Sold Out: Microchip Technology Inc (MCHP)

Washington Capital Management Inc sold out a holding in Microchip Technology Inc. The sale prices were between $66.32 and $91.51, with an estimated average price of $82.75.

Reduced: JPMorgan Chase & Co (JPM)

Washington Capital Management Inc reduced to a holding in JPMorgan Chase & Co by 47.94%. The sale prices were between $97.11 and $107.19, with an estimated average price of $103. The stock is now traded at around $114.42. The impact to a portfolio due to this sale was -1.96%. Washington Capital Management Inc still held 18,830 shares as of .

Reduced: Norfolk Southern Corp (NSC)

Washington Capital Management Inc reduced to a holding in Norfolk Southern Corp by 52.38%. The sale prices were between $144.02 and $186.89, with an estimated average price of $172.68. The stock is now traded at around $202.78. The impact to a portfolio due to this sale was -1.72%. Washington Capital Management Inc still held 9,035 shares as of .

Reduced: PNC Financial Services Group Inc (PNC)

Washington Capital Management Inc reduced to a holding in PNC Financial Services Group Inc by 44.26%. The sale prices were between $116.91 and $131.88, with an estimated average price of $123.74. The stock is now traded at around $134.45. The impact to a portfolio due to this sale was -1.12%. Washington Capital Management Inc still held 10,424 shares as of .

Reduced: Lockheed Martin Corp (LMT)

Washington Capital Management Inc reduced to a holding in Lockheed Martin Corp by 30.94%. The sale prices were between $258.08 and $309.47, with an estimated average price of $292.83. The stock is now traded at around $332.62. The impact to a portfolio due to this sale was -0.76%. Washington Capital Management Inc still held 5,580 shares as of .

Reduced: Citigroup Inc (C)

Washington Capital Management Inc reduced to a holding in Citigroup Inc by 25.25%. The sale prices were between $52.06 and $65.93, with an estimated average price of $61.99. The stock is now traded at around $69.35. The impact to a portfolio due to this sale was -0.51%. Washington Capital Management Inc still held 25,055 shares as of .



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