Elco Management Co 13F annual report

Elco Management Co is an investment fund managing more than $166 billion ran by James Elliot. There are currently 145 companies in Mr. Elliot’s portfolio. The largest investments include Cheniere and Williams Cos Inc, together worth $18.8 billion.

$166 billion Assets Under Management (AUM)

As of 7th August 2024, Elco Management Co’s top holding is 55,875 shares of Cheniere currently worth over $9.77 billion and making up 5.9% of the portfolio value. Relative to the number of outstanding shares of Cheniere, Elco Management Co owns more than approximately 0.1% of the company. In addition, the fund holds 212,072 shares of Williams Cos Inc worth $9.01 billion, whose value grew 30.5% in the past six months. The third-largest holding is Energy Transfer L P worth $8.98 billion and the next is Targa Res Corp worth $7.9 billion, with 61,315 shares owned.

Currently, Elco Management Co's portfolio is worth at least $166 billion. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Elco Management Co

The Elco Management Co office and employees reside in New York, New York. According to the last 13-F report filed with the SEC, James Elliot serves as the MEMBER at Elco Management Co.

Recent trades

In the most recent 13F filing, Elco Management Co revealed that it had opened a new position in Schwab Strategic Tr and bought 19,600 shares worth $1.23 billion.

The investment fund also strengthened its position in Cheniere by buying 4,031 additional shares. This makes their stake in Cheniere total 55,875 shares worth $9.77 billion. Cheniere soared 10.5% in the past year.

On the other hand, there are companies that Elco Management Co is getting rid of from its portfolio. Elco Management Co closed its position in Companhia De Saneamento Basi on 14th August 2024. It sold the previously owned 45,512 shares for $539 million. James Elliot also disclosed a decreased stake in Williams Cos Inc by 0.2%. This leaves the value of the investment at $9.01 billion and 212,072 shares.

One of the smallest hedge funds

The two most similar investment funds to Elco Management Co are Security National Bank Of So Dak and Mader & Shannon Wealth Management. They manage $166 billion and $166 billion respectively.


James Elliot investment strategy

Elco Management Co’s portfolio is diversified across 11 sectors. Currently, their heaviest sector is Energy — making up 17.4% of the total portfolio value. The fund focuses on investments in the United States as 49.7% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 34% of the total holdings value. On the other hand, small-cap stocks make up only 0.7% of the portfolio. The average market cap of the portfolio companies is close to $161 billion.

The complete list of Elco Management Co trades based on 13F SEC filings

These positions were updated on August 14th based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Cheniere Energy Inc.
7.78%
55,875
$9,768,626,000 5.88%
Williams Cos Inc
16.86%
212,072
$9,013,060,000 5.42%
Energy Transfer L P
1.49%
553,523
$8,978,140,000 5.40%
Targa Res Corp
2.65%
61,315
$7,896,146,000 4.75%
Apple Inc
4.21%
33,331
$7,020,175,000 4.22%
Amazon.com Inc.
5.23%
31,595
$6,105,734,000 3.67%
Microsoft Corporation
6.40%
13,192
$5,896,164,000 3.55%
Alphabet Inc
2.79%
29,411
$5,394,566,000 3.25%
Hexcel Corp.
4.43%
70,330
$4,392,108,000 2.64%
Spdr S&p 500 Etf Tr
0.96%
7,789
$4,238,867,000 2.55%
MPLX LP
4.77%
90,827
$3,868,322,000 2.33%
Abbvie Inc
0.36%
18,056
$3,096,965,000 1.86%
Home Depot, Inc.
0.35%
8,434
$2,903,320,000 1.75%
Global X Fds
2.54%
96,900
$3,125,619,000 1.88%
Western Midstream Partners L
29.61%
56,421
$2,241,606,000 1.35%
NVIDIA Corp
1,023.78%
17,250
$2,131,065,000 1.28%
NextEra Energy Inc
217.49%
28,031
$1,984,875,000 1.19%
American Wtr Wks Co Inc New
14.83%
15,257
$1,970,594,000 1.19%
Honeywell International Inc
2.39%
9,152
$1,954,318,000 1.18%
Abbott Labs
0.28%
18,603
$1,933,038,000 1.16%
Oneok Inc.
79.56%
23,459
$1,913,081,000 1.15%
Hubbell Inc.
4.52%
5,156
$1,884,415,000 1.13%
J P Morgan Exchange Traded F
30.57%
29,900
$1,694,732,000 1.02%
Enterprise Prods Partners L
1.50%
58,163
$1,685,564,000 1.01%
JPMorgan Chase & Co.
1.83%
7,885
$1,594,816,000 0.96%
Procter And Gamble Co
4.58%
8,960
$1,477,683,000 0.89%
Sunoco Lp/sunoco Fin Corp
52.73%
24,096
$1,362,388,000 0.82%
RTX Corp
35.33%
13,246
$1,329,766,000 0.80%
Colgate-Palmolive Co.
No change
13,500
$1,310,040,000 0.79%
Intercontinental Exchange In
1.85%
9,545
$1,306,615,000 0.79%
Boeing Co.
11.44%
6,914
$1,258,417,000 0.76%
Schwab Strategic Tr
Opened
19,600
$1,232,252,000 0.74%
Illumina Inc
8.61%
11,180
$1,166,968,000 0.70%
Pfizer Inc.
Opened
40,198
$1,124,740,000 0.68%
NextDecade Corporation
Opened
137,257
$1,089,821,000 0.66%
Disney Walt Co
21.69%
10,391
$1,031,722,000 0.62%
Marriott Intl Inc New
0.87%
3,966
$958,860,000 0.58%
Primerica Inc
No change
4,000
$946,320,000 0.57%
EQT Corp
19.30%
25,500
$942,990,000 0.57%
Carrier Global Corporation
1.76%
14,551
$917,877,000 0.55%
Select Sector Spdr Tr
62.26%
28,393
$2,532,032,000 1.52%
Versabank New
19.75%
82,942
$892,456,000 0.54%
Select Water Solutions Inc
38.00%
81,972
$877,100,000 0.53%
Constellation Brands, Inc.
2.05%
3,390
$872,179,000 0.52%
Core & Main, Inc.
13.68%
17,351
$849,158,000 0.51%
Provident Finl Svcs Inc
26.22%
57,797
$829,387,000 0.50%
CSX Corp.
123.56%
24,715
$826,717,000 0.50%
Xylem Inc
1.29%
5,742
$778,788,000 0.47%
Booz Allen Hamilton Hldg Cor
No change
5,000
$769,500,000 0.46%
Ishares Tr
3.03%
8,557
$975,734,000 0.59%
Mcdonalds Corp
17.41%
2,965
$755,601,000 0.45%
Uscb Financial Holdings Inc
2.88%
58,209
$746,821,000 0.45%
Alliance Resource Partners L
Opened
29,630
$724,750,000 0.44%
Eaton Vance Tax-managed Dive
10.72%
50,800
$713,740,000 0.43%
Essential Utils Inc
31.00%
18,352
$685,080,000 0.41%
Hess Midstream LP
Opened
18,579
$677,019,000 0.41%
Otis Worldwide Corporation
1.46%
6,937
$667,756,000 0.40%
Chart Inds Inc
Opened
4,625
$667,572,000 0.40%
Corning, Inc.
39.81%
16,301
$633,294,000 0.38%
Universal Display Corp.
No change
3,000
$630,750,000 0.38%
Plains Gp Hldgs L P
74.17%
32,765
$616,637,000 0.37%
Johnson & Johnson
16.49%
4,168
$609,195,000 0.37%
Invesco Exchange Traded Fd T
2.70%
5,698
$585,299,000 0.35%
Primis Financial Corp
75.60%
55,178
$578,265,000 0.35%
NGL Energy Partners LP
72.37%
108,670
$549,870,000 0.33%
Companhia De Saneamento Basi
Closed
45,512
$538,862,000
Magellan Midstream Prtnrs Lp
Closed
8,524
$531,216,000
Amer States Wtr Co
Opened
7,318
$531,067,000 0.32%
Clearway Energy, Inc.
Closed
18,311
$522,962,000
Ishares Tr
Opened
7,765
$1,270,201,000 0.76%
Sempra
20.09%
6,760
$514,166,000 0.31%
Pool Corporation
124.08%
1,591
$488,962,000 0.29%
NextEra Energy Partners LP
Closed
8,275
$485,246,000
Equity Bancshares Inc
1.99%
13,673
$481,290,000 0.29%
Veralto Corp
Opened
5,033
$480,501,000 0.29%
NEOS ETF Trust
Opened
9,450
$473,917,000 0.29%
York Wtr Co
4.92%
12,691
$470,709,000 0.28%
Linkbancorp Inc
15.23%
76,913
$470,708,000 0.28%
Ssga Active Etf Tr
Opened
11,200
$468,160,000 0.28%
Qualcomm, Inc.
4.08%
2,350
$468,073,000 0.28%
Equitrans Midstream Corporation
61.21%
35,657
$462,828,000 0.28%
Eaton Vance Short Duration D
8.53%
42,075
$454,410,000 0.27%
Coca-Cola Co
4.83%
7,106
$452,297,000 0.27%
Kenvue Inc
Opened
24,825
$451,318,000 0.27%
Uber Technologies Inc
Opened
6,160
$447,709,000 0.27%
Business First Bancshares In
1.86%
20,307
$441,880,000 0.27%
Cummins Inc.
18.74%
1,570
$434,780,000 0.26%
Franklin Elec Inc
Closed
4,165
$428,578,000
Ecolab, Inc.
Closed
2,273
$424,346,000
Valmont Inds Inc
Opened
1,501
$411,949,000 0.25%
Danaher Corp.
23.69%
1,629
$407,006,000 0.24%
Invesco Exchange Traded Fd T
Opened
8,800
$402,600,000 0.24%
Masco Corp.
14.75%
5,983
$398,887,000 0.24%
Select Sector Spdr Tr
Opened
10,970
$1,061,255,000 0.64%
Artesian Res Corp
88.43%
11,072
$389,292,000 0.23%
Global Wtr Res Inc
5.07%
31,914
$386,159,000 0.23%
Calamos Strategic Total Retu
5.67%
22,923
$386,023,000 0.23%
Southwestern Energy Company
Closed
61,000
$366,610,000
Berkshire Hathaway Inc.
No change
895
$364,086,000 0.22%
California Wtr Svc Group
Opened
7,504
$363,869,000 0.22%
Southern Calif Bancorp
23.82%
26,748
$360,296,000 0.22%
Kinder Morgan Inc
8.41%
17,742
$352,534,000 0.21%
AES Corp.
Opened
20,000
$351,400,000 0.21%
Dimensional Etf Trust
Opened
9,330
$349,782,000 0.21%
Shore Bancshares Inc.
27.84%
30,360
$347,622,000 0.21%
Medtronic Plc
60.97%
4,143
$326,096,000 0.20%
MainStreet Bancshares Inc
2.16%
18,365
$325,611,000 0.20%
CVS Health Corp
34.79%
5,483
$323,826,000 0.19%
Pentair plc
Opened
4,220
$323,547,000 0.19%
Blackrock Enhanced Equity Di
18.71%
39,588
$323,435,000 0.19%
Eaton Vance Risk-managed Div
4.66%
36,827
$323,345,000 0.19%
First Fndtn Inc
Opened
48,344
$316,653,000 0.19%
Wells Fargo Co New
25.50%
263
$312,699,000 0.19%
Blackstone Secd Lending Fd
Opened
10,200
$312,324,000 0.19%
Zimmer Biomet Holdings Inc
31.97%
2,860
$310,396,000 0.19%
Walmart Inc
242.35%
4,567
$309,232,000 0.19%
Lindsay Corporation
Closed
2,508
$299,305,000
Latham Group Inc
Opened
97,762
$296,219,000 0.18%
Zurn Elkay Water Solns Corp
3.27%
9,287
$273,038,000 0.16%
Tetra Tech, Inc.
43.58%
1,313
$268,482,000 0.16%
J P Morgan Exchange Traded F
Opened
4,800
$266,400,000 0.16%
Great Lakes Dredge & Dock Corporation
Opened
30,336
$266,350,000 0.16%
Alphabet Inc
Opened
1,455
$265,028,000 0.16%
Kratos Defense & Sec Solutio
2.22%
13,200
$264,132,000 0.16%
Visa Inc
5.09%
970
$254,596,000 0.15%
Verizon Communications Inc
Closed
6,730
$250,292,000
First Intst Bancsystem Inc
Closed
10,498
$250,272,000
Citigroup Inc
Opened
3,840
$243,686,000 0.15%
United Parcel Service, Inc.
Closed
1,355
$242,884,000
Blackrock Science & Technolo
13.51%
6,400
$241,024,000 0.15%
GSK Plc
49.18%
6,108
$235,158,000 0.14%
Amplify Etf Tr
Opened
3,600
$233,028,000 0.14%
United Therapeutics Corp
Opened
730
$232,542,000 0.14%
Capstar Finl Hldgs Inc
Closed
18,857
$231,375,000
Southern First Bancshares Inc
Opened
7,842
$229,300,000 0.14%
Consolidated Water Co. Ltd.
Opened
8,527
$226,307,000 0.14%
Ares Capital Corp
10.00%
10,800
$225,072,000 0.14%
California BanCorp
Opened
10,363
$222,804,000 0.13%
Mastercard Incorporated
Opened
495
$218,374,000 0.13%
Reaves Util Income Fd
Opened
7,900
$215,828,000 0.13%
Net Power Inc
Opened
20,924
$205,683,000 0.12%
Chesapeake Energy Corp.
Opened
2,500
$205,475,000 0.12%
New York Cmnty Bancorp Inc
Closed
18,091
$203,343,000
Deere & Co.
Closed
500
$202,595,000
Liberty All Star Equity Fd
2.67%
29,784
$202,531,000 0.12%
Meridian Corp
2.00%
18,587
$195,535,000 0.12%
First Westn Finl Inc
Opened
11,414
$194,038,000 0.12%
Biocryst Pharmaceuticals Inc.
127.38%
30,792
$190,294,000 0.11%
Starwood Ppty Tr Inc
2.91%
10,000
$189,400,000 0.11%
Madison Covered Call & Equit
0.33%
23,223
$176,495,000 0.11%
Imax Corp
No change
10,500
$176,085,000 0.11%
Cadiz Inc.
Opened
43,844
$135,478,000 0.08%
Jetblue Awys Corp
Closed
15,000
$132,900,000
Doubleline Income Solutions
Opened
10,300
$128,956,000 0.08%
Franklin Ltd Duration Income
29.20%
17,700
$112,218,000 0.07%
Riverview Bancorp, Inc.
2.31%
14,061
$56,103,000 0.03%
Virtus Convertible & Income
19.23%
10,500
$34,335,000 0.02%
ADC Therapeutics SA
Closed
11,799
$25,368,000
Coherus Biosciences Inc
Opened
12,716
$21,998,000 0.01%
Karyopharm Therapeutics Inc
45.93%
19,662
$17,059,000 0.01%
Lineage Cell Therapeutics In
No change
12,000
$11,968,000 0.01%
China Liberal Ed Hldgs Ltd
Closed
10,000
$11,500,000
No transactions found
Showing first 500 out of 162 holdings