Cypress Capital, LLC 13F Holdings

Holdings from the most recent 13F from Cypress Capital, LLC

Filed: 2020-08-20 (Q2 2020) | Holdings: 64 | Value: $225.9M | Filing Link

PREMIUM

Author Returns

Returns are calculated from when the filing is published and are weighted by the size of the holding.

Filing Returns

Returns are calculated from when the filing is published and are weighted by the size of the holding.

Holding Returns
StockPut/Call
Change
Holding Pct
Value
Current Return
3M Return
1Y Return
VTI - VANGUARD INDEX FDS
New Purchase
16.30%
$36.8M
+79.30%
+8.13%
+36.23%
SHY - ISHARES TR
New Purchase
13.74%
$31.0M
+5.22%
-0.04%
-0.02%
VGSH - VANGUARD SCOTTSDALE FDS
New Purchase
11.83%
$26.7M
+5.67%
-0.04%
+0.06%
SPY - SPDR S&P 500 ETF TR
New Purchase
9.08%
$20.5M
+84.70%
+6.21%
+34.33%
VTIP - VANGUARD MALVERN FDS
New Purchase
6.73%
$15.2M
+17.70%
+0.53%
+5.47%
SGOL - ABERDEEN STD GOLD ETF TR
New Purchase
4.03%
$9.1M
+69.67%
-5.36%
-7.23%
BIL - SPDR SER TR
New Purchase
3.93%
$8.9M
+13.57%
-0.01%
-0.09%
HEFA - ISHARES TR
New Purchase
2.89%
$6.5M
+87.30%
+9.03%
+29.37%
AAPL - APPLE INC
New Purchase
1.96%
$4.4M
+74.00%
-4.37%
+26.34%
VBR - VANGUARD INDEX FDS
New Purchase
1.52%
$3.4M
+81.92%
+19.04%
+52.62%
IEMG - ISHARES INC
New Purchase
1.42%
$3.2M
+23.84%
+12.21%
+19.19%
CSCO - CISCO SYS INC
New Purchase
1.19%
$2.7M
+73.69%
-0.06%
+43.65%
ABBV - ABBVIE INC
New Purchase
1.14%
$2.6M
+131.55%
+8.79%
+31.59%
QCOM - QUALCOMM INC
New Purchase
1.07%
$2.4M
+51.79%
+31.17%
+33.34%
RTX - RAYTHEON TECHNOLOGIES CORP
New Purchase
0.88%
$2.0M
+147.93%
+20.60%
+43.63%
GILD - GILEAD SCIENCES INC
New Purchase
0.77%
$1.7M
+98.63%
-8.00%
+15.18%
ORCL - ORACLE CORP
New Purchase
0.76%
$1.7M
+204.34%
+1.67%
+63.50%
VCSH - VANGUARD SCOTTSDALE FDS
New Purchase
0.75%
$1.7M
+8.06%
+0.50%
+1.32%
BBY - BEST BUY INC
New Purchase
0.74%
$1.7M
-24.68%
+9.53%
+2.47%
FLOT - ISHARES TR
New Purchase
0.68%
$1.5M
+17.61%
+0.24%
+0.69%
UNH - UNITEDHEALTH GROUP INC
New Purchase
0.59%
$1.3M
+4.30%
+8.08%
+38.70%
GOOG - ALPHABET INC
New Purchase
0.58%
$1.3M
+116.69%
+10.01%
+78.94%
LOW - LOWES COS INC
New Purchase
0.58%
$1.3M
+55.64%
-3.07%
+31.36%
T - AT&T INC
New Purchase
0.57%
$1.3M
+65.70%
-1.96%
-0.64%
VZ - VERIZON COMMUNICATIONS INC
New Purchase
0.56%
$1.3M
-2.18%
+3.17%
-1.93%
AVGO - BROADCOM INC
New Purchase
0.52%
$1.2M
+686.91%
+18.95%
+51.91%
VDC - VANGUARD WORLD FDS
New Purchase
0.52%
$1.2M
+51.60%
+4.95%
+17.71%
TXN - TEXAS INSTRS INC
New Purchase
0.51%
$1.2M
+53.36%
+14.79%
+39.35%
HD - HOME DEPOT INC
New Purchase
0.51%
$1.1M
+48.48%
-2.55%
+19.69%
CCI - CROWN CASTLE INTL CORP NEW
New Purchase
0.50%
$1.1M
-23.09%
+2.53%
+23.66%
MRK - MERCK & CO. INC
New Purchase
0.50%
$1.1M
+9.73%
-4.98%
-0.22%
PG - PROCTER AND GAMBLE CO
New Purchase
0.50%
$1.1M
+36.11%
+2.15%
+8.26%
INTC - INTEL CORP
New Purchase
0.50%
$1.1M
-52.97%
-5.35%
+11.44%
BMY - BRISTOL-MYERS SQUIBB CO
New Purchase
0.49%
$1.1M
-9.98%
+0.27%
+14.24%
GIS - GENERAL MLS INC
New Purchase
0.49%
$1.1M
-2.88%
-4.25%
-4.06%
AMT - AMERICAN TOWER CORP NEW
New Purchase
0.49%
$1.1M
-2.43%
-7.88%
+17.92%
USNA - USANA HEALTH SCIENCES INC
New Purchase
0.49%
$1.1M
-63.90%
-7.75%
+16.61%
PEP - PEPSICO INC
New Purchase
0.48%
$1.1M
+9.57%
+5.63%
+19.22%
ETN - EATON CORP PLC
New Purchase
0.48%
$1.1M
+252.67%
+21.61%
+73.36%
KMB - KIMBERLY CLARK CORP
New Purchase
0.48%
$1.1M
+5.86%
-10.93%
-9.79%
CVS - CVS HEALTH CORP
New Purchase
0.46%
$1.0M
+13.45%
+5.72%
+36.54%
LRCX - LAM RESEARCH CORP
New Purchase
0.46%
$1.0M
+145.74%
+26.57%
+65.96%
HPQ - HP INC
New Purchase
0.46%
$1.0M
+84.30%
+18.09%
+62.54%
JNJ - JOHNSON & JOHNSON
New Purchase
0.46%
$1.0M
+15.33%
-3.92%
+20.81%
CMCSA - COMCAST CORP NEW
New Purchase
0.45%
$1.0M
-7.59%
+16.31%
+41.53%
EMR - EMERSON ELEC CO
New Purchase
0.45%
$1.0M
+89.81%
+15.56%
+54.87%
PFE - PFIZER INC
New Purchase
0.44%
$998.0K
-22.14%
+0.10%
+40.97%
MCD - MCDONALDS CORP
New Purchase
0.44%
$992.0K
+68.01%
+3.96%
+16.85%
MBB - ISHARES TR
New Purchase
0.44%
$986.0K
-6.18%
+0.09%
-0.32%
DIS - DISNEY WALT CO
New Purchase
0.43%
$979.0K
-12.45%
+14.30%
+39.10%