Cypress Capital, LLC 13F Holdings

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

Filed: 2021-08-16 (Q2 2021) | Holdings: 91 | Value: $102.3M | 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
SPY - SPDR S and P 500 ETF TRUST
25.01%
$25.6M
+38.43%
+5.72%
-2.59%
AAPL - Apple Inc
Add 6% ($262.1K)
4.38%
$4.5M
+37.25%
+2.32%
+16.84%
CSCO - Cisco Systems Inc
Add 6% ($185.0K)
3.18%
$3.3M
+26.69%
+2.28%
-14.08%
ABBV - Abbvie Inc
Add 8% ($213.5K)
2.86%
$2.9M
+77.87%
+0.59%
+24.69%
MTCH - Match Group INC
Reduce 1% $(20.5K)
2.69%
$2.7M
-77.83%
+10.22%
-51.54%
ORCL - Oracle Corporation
Reduce 1% $(16.9K)
2.14%
$2.2M
+82.32%
+5.13%
-11.54%
GOOG - ALPHABET INC CLASS C
Add 1% ($15.0K)
2.10%
$2.1M
+23.64%
+7.87%
-12.93%
BBY - Best Buy
Reduce 1% $(14.7K)
1.97%
$2.0M
-27.59%
+17.45%
-25.23%
UPS - Ups
Add 10% ($187.8K)
1.96%
$2.0M
-42.56%
+6.78%
+8.31%
AVGO - BROADCOM ORD SHS
Add 10% ($182.6K)
1.92%
$2.0M
+414.68%
+18.17%
+14.14%
ETN - Eaton Corp Com
Add 9% ($162.7K)
1.86%
$1.9M
+104.92%
+3.72%
-7.40%
CCI - Crown Castle International Cor
Add 3% ($50.9K)
1.79%
$1.8M
-37.41%
-4.48%
-3.79%
LOW - Lowes Companies Inc
Add 10% ($171.9K)
1.78%
$1.8M
+30.26%
+31.58%
+16.83%
EMR - Emerson Elec Co Com
Add 10% ($167.3K)
1.76%
$1.8M
+22.12%
-7.92%
-11.73%
MMM - 3M Co Com
Add 12% ($190.7K)
1.73%
$1.8M
+3.29%
-8.54%
-24.39%
TXN - Texas Instrs Inc Com
Add 12% ($186.9K)
1.69%
$1.7M
+9.65%
+1.16%
-3.80%
RTX - RAYTHEON TECHNOLOGIES ORD SHS
Add 12% ($179.4K)
1.69%
$1.7M
+70.76%
+1.82%
+12.54%
HD - Home Depot Inc Com
Add 12% ($184.0K)
1.68%
$1.7M
+26.66%
+23.63%
+3.69%
AMT - American Tower Corp
Add 5% ($77.3K)
1.68%
$1.7M
-15.09%
-7.97%
+0.77%
CMCSA - Comcast Corp Cl A
Add 12% ($186.8K)
1.68%
$1.7M
-33.96%
-8.72%
-32.14%
DIS - Disney Walt Company
Add 12% ($179.9K)
1.68%
$1.7M
-36.88%
-11.19%
-30.67%
HPQ - Hewlett Packard Co
Reduce 1% $(11.8K)
1.61%
$1.6M
+10.59%
+6.33%
+20.35%
UNH - Unitedhealth Group Incorporate
Reduce 1% $(11.2K)
1.59%
$1.6M
-23.31%
+8.01%
+32.41%
BMY - Bristol Myers Squibb Co Com
Add 16% ($219.6K)
1.53%
$1.6M
-20.90%
-12.75%
+11.99%
PG - Procter and Gamble Co Com
Add 16% ($210.4K)
1.53%
$1.6M
+25.68%
+2.50%
+5.82%
IBM - Intl Business Machines Corp
Add 15% ($203.5K)
1.52%
$1.6M
+123.89%
-12.41%
+6.03%
MCD - Mcdonalds Corp Com
Add 15% ($200.5K)
1.50%
$1.5M
+43.37%
+5.71%
+13.49%
PEP - PEPSICO INC COM
Add 17% ($221.2K)
1.49%
$1.5M
-8.12%
+4.17%
+17.26%
JNJ - Johnson and Johnson Com
Add 16% ($211.7K)
1.49%
$1.5M
-3.81%
-7.37%
-3.07%
QCOM - Qualcomm Inc
New Purchase
1.48%
$1.5M
+11.67%
+25.48%
+2.89%
KFY - KornFerry Int
Reduce 1% $(9.7K)
1.47%
$1.5M
+7.30%
+20.11%
-0.80%
VZ - Verizon Communications Com
Add 19% ($239.1K)
1.44%
$1.5M
-1.06%
-6.31%
-14.82%
PFE - Pfizer Inc Com
New Purchase
1.41%
$1.4M
-43.47%
+5.20%
+4.31%
GIS - GENERAL MLS INCORPORATED
Add 18% ($215.2K)
1.40%
$1.4M
+0.24%
+5.74%
+32.09%
TGT - Target Corp
New Purchase
1.39%
$1.4M
-60.32%
-2.22%
-31.45%
USNA - USANA Health Sciences Inc
Reduce 1% $(10.2K)
1.39%
$1.4M
-68.49%
+8.85%
-23.58%
MRK - Merck and Co Inc Com
New Purchase
1.38%
$1.4M
+10.66%
+6.98%
+21.08%
INTC - Intel Corp Com
Add 18% ($211.8K)
1.36%
$1.4M
-57.75%
-4.87%
-30.49%
KMB - Kimberly Clark Corp Com
Add 20% ($236.7K)
1.36%
$1.4M
+16.62%
-2.05%
+2.36%
TGNA - TEGNA
Reduce 1% $(9.1K)
1.20%
$1.2M
+6.55%
+22.32%
+28.67%
AES - Aes Corp
New Purchase
0.93%
$949.0K
-51.83%
+2.97%
+6.35%
MSFT - Microsoft Corp
New Purchase
0.86%
$878.0K
+60.01%
+16.42%
+0.66%
OMC - Omnicom Group Inc Com
New Purchase
0.79%
$808.0K
+11.13%
-7.24%
+0.82%
DLX - Deluxe Corp
New Purchase
0.75%
$767.0K
-56.40%
-7.07%
-41.28%
MSGN - MSG Networks Inc
New Purchase
0.55%
$562.0K
ALSN - Transmission Holdings Inc
New Purchase
0.54%
$548.0K
+190.20%
-3.37%
+3.66%
LAND - GLADSTONE LAND REIT ORD SHS
New Purchase
0.22%
$225.0K
-54.12%
+20.83%
+6.84%
F - Ford Motor Co
New Purchase
0.06%
$57.0K
+1.15%
+49.85%
+23.60%
RUN - Sunrun Ord Shrs
New Purchase
0.05%
$56.0K
-75.51%
+26.67%
-22.24%
BIIB - Biogen Idec Inc Com
New Purchase
0.05%
$55.0K
-62.80%
-24.21%
-36.17%
XLRE - Real Estate Select Sector Spdr
Reduce 100%
0.00%
$0.00
VTI - Vanguard Total Stock Market ET
Reduce 100%
0.00%
$0.00
VCSH - Vangrd ShrtTrm Corp Bond ETF
Reduce 100%
0.00%
$0.00
HEFA - iShares Currency Hedge MSCI EA
Reduce 100%
0.00%
$0.00
T - ATT INCORPORATED
Reduce 100%
0.00%
$0.00
FLOT - ISHARES TR FLTG RATE NT ETF
Reduce 100%
0.00%
$0.00
VBR - Vanguard Index Fds Sm Cp Val E
Reduce 100%
0.00%
$0.00
SHY - iShares 1to3 Year Treasury Bond
Reduce 100%
0.00%
$0.00
VTIP - Vangrd ShrtTrm TIPS ETF
Reduce 100%
0.00%
$0.00
SGOL - Stdrd Phys Gold ETF Abrdn
Reduce 100%
0.00%
$0.00
IEFA - ISHARES Core MSCI Eafe
Reduce 100%
0.00%
$0.00
VDC - Vanguard Consumer Staples ETF
Reduce 100%
0.00%
$0.00
IEMG - iShares Core MSCI Emerging Mkt
Reduce 100%
0.00%
$0.00
VGSH - Vngrd ShrtTrm Govt Bond
Reduce 100%
0.00%
$0.00