Capstone 13F annual report

Capstone is an investment fund managing more than $129 million ran by Michael Dunham. There are currently 156 companies in Mr. Dunham’s portfolio. The largest investments include Ishares Agency Bond Etf and Apple, together worth $24.7 million.

Limited to 30 biggest holdings

$129 million Assets Under Management (AUM)

As of 7th October 2020, Capstone’s top holding is 109,906 shares of Ishares Agency Bond Etf currently worth over $13.3 million and making up 10.3% of the portfolio value. In addition, the fund holds 100,712 shares of Apple worth $11.4 million, whose value grew 68.8% in the past six months. The third-largest holding is Shopify Inc Cls A worth $7.8 million and the next is Amazon.com worth $6.45 million, with 2,079 shares owned.

Currently, Capstone's portfolio is worth at least $129 million. 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 Capstone

The Capstone office and employees reside in Oklahoma City, Oklahoma. According to the last 13-F report filed with the SEC, Michael Dunham serves as the President and Chief Compliance Officer at Capstone.

Recent trades

In the most recent 13F filing, Capstone revealed that it had opened a new position in Zillow Group Inc Cl C Cap Stk and bought 21,308 shares worth $2.24 million.

The investment fund also strengthened its position in Ishares Agency Bond Etf by buying 1,055 additional shares. This makes their stake in Ishares Agency Bond Etf total 109,906 shares worth $13.3 million.

On the other hand, there are companies that Capstone is getting rid of from its portfolio. Capstone closed its position in Abb Ltd Sponsored Adr on 9th October 2020. It sold the previously owned 15,309 shares for $367 thousand. Michael Dunham also disclosed a decreased stake in Shopify Inc Cls A by 0.2%. This leaves the value of the investment at $7.8 million and 7,495 shares.

One of the smallest hedge funds

The two most similar investment funds to Capstone are Castine Capital Management and Detalus Advisors. They manage $129 million and $129 million respectively.


Michael Dunham investment strategy

Capstone’s portfolio is diversified across 11 sectors. Currently, their heaviest sector is Consumer Discretionary — making up 14.4% of the total portfolio value. The fund focuses on investments in the United States as 21.8% 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 19% of the total holdings value. On the other hand, small-cap stocks make up only 1.9% of the portfolio. The average market cap of the portfolio companies is close to $228 billion.

The complete list of Capstone trades based on 13F SEC filings

These positions were updated on October 9th 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
Ishares Agency Bond Etf
0.97%
109,906
$13,283,000 10.27%
Apple, Inc.
284.56%
100,712
$11,397,000 8.81%
Shopify Inc Cls A
16.42%
7,495
$7,804,000 6.03%
Amazon.com, Inc.
1.33%
2,079
$6,445,000 4.98%
Pimco Enhanced Short Maturity Active Exchange-traded Fund
0.60%
37,294
$3,801,000 2.94%
Microsoft Corp Com
8.41%
18,397
$3,788,000 2.93%
MongoDB, Inc.
3.16%
15,229
$3,753,000 2.90%
VanEck Vectors Fallen Angel High Yield Bond ETF
130.57%
113,986
$3,408,000 2.63%
Abbott Labs Com
0.50%
27,004
$2,869,000 2.22%
Paypal Hldgs Inc Com
0.01%
14,612
$2,801,000 2.16%
Walmart, Inc.
25.66%
18,968
$2,667,000 2.06%
Verizon Communications, Inc.
3.65%
44,381
$2,639,000 2.04%
Vanguard Mega Cap Growth Etf
8.51%
13,441
$2,474,000 1.91%
Intel Corp Com
2.01%
45,194
$2,322,000 1.79%
Zillow Group Inc Cl C Cap Stk
Opened
21,308
$2,237,000 1.73%
Alphabet Inc Cap Stk Cl C
5.87%
1,514
$2,201,000 1.70%
Cisco Sys Inc Com
4.43%
52,615
$2,029,000 1.57%
Bancfirst Corp Com
5.37%
45,416
$1,978,000 1.53%
Southwest Airls Co Com
0.33%
50,371
$1,893,000 1.46%
Disney Walt Co Com Disney
3.53%
13,241
$1,601,000 1.24%
Applied Matls Inc Com
1.39%
26,329
$1,590,000 1.23%
Rio Tinto Plc Sponsored Adr
3.57%
26,130
$1,558,000 1.20%
Berkshire Hathaway Inc Del Cl B New
3.96%
7,298
$1,534,000 1.19%
Coca Cola Co Com
9.97%
30,691
$1,502,000 1.16%
Check Point Software Tech Ltd Ord
2.21%
12,389
$1,500,000 1.16%
American Tower Corp New Com
0.72%
6,209
$1,496,000 1.16%
Vanguard High Dividend Yield Etf
8.04%
17,927
$1,465,000 1.13%
Expedia Group Inc Com New
1.57%
15,705
$1,443,000 1.12%
Glaxosmithkline Plc Sponsored Adr
6.16%
38,995
$1,435,000 1.11%
Merck Co. Inc Com
4.09%
17,960
$1,430,000 1.11%
Conagra Brands, Inc.
2.03%
36,470
$1,344,000 1.04%
Diageo Plc Spon Adr New
6.17%
9,538
$1,319,000 1.02%
Vanguard Short-term Corporate Bond Index Fund
4.39%
15,883
$1,315,000 1.02%
Wisdomtree U.s. Smallcap Dividend Fund
8.39%
56,876
$1,254,000 0.97%
International Business Machs Com
1.14%
9,952
$1,214,000 0.94%
Pfizer Inc.
1.96%
32,203
$1,165,000 0.90%
Iq 50 Percent Hedged Ftse International Etf
9.05%
57,829
$1,156,000 0.89%
SPDR Portfolio Short Term Treasury ETF
27.31%
36,185
$1,110,000 0.86%
Iq Merger Arbitrage Etf
0.67%
31,848
$1,072,000 0.83%
Aberdeen Standard Physical Gold Shares Etf
2.69%
50,379
$915,000 0.71%
Canopy Growth Corp Com
23.48%
59,192
$848,000 0.66%
Vanguard Utilities Index Fund
0.98%
6,192
$833,000 0.64%
Pimco Enhanced Low Duration Active Exchange-traded Fund
4.50%
7,333
$748,000 0.58%
Vanguard Small-cap Growth Index Fund
2.94%
3,225
$716,000 0.55%
Vanguard Intermediate-term Bond Index Fund
3.70%
7,683
$715,000 0.55%
Nvidia Corporation Com
11.66%
1,053
$579,000 0.45%
Ishares Core Sp 500 Etf
1.08%
1,495
$502,000 0.39%
Visa, Inc.
No change
2,487
$499,000 0.39%
Iq Mackay Municipal Insured Etf
Opened
18,242
$495,000 0.38%
Wisdomtree Emerging Markets Ex-state-owned Enterprises Fund
1.81%
13,926
$476,000 0.37%
Mccormick Co Inc Com Non Vtg
2.00%
2,005
$384,000 0.30%
Albemarle Corp Com
1.15%
4,039
$379,000 0.29%
Att Inc Com
6.61%
13,037
$374,000 0.29%
Abb Ltd Sponsored Adr
Closed
15,309
$367,000
Church Dwight Inc Com
2.09%
4,075
$366,000 0.28%
Mcdonalds Corp Com
29.47%
1,630
$365,000 0.28%
Clorox Co Del Com
1.02%
1,690
$357,000 0.28%
Sherwin Williams Co Com
0.39%
514
$351,000 0.27%
Sysco Corp Com
8.20%
5,278
$341,000 0.26%
Cincinnati Finl Corp Com
7.87%
4,237
$339,000 0.26%
Dover Corp Com
1.68%
3,028
$333,000 0.26%
Hasbro, Inc.
9.46%
3,969
$330,000 0.26%
Ecolab, Inc.
3.52%
1,645
$323,000 0.25%
Agnc Invt Corp Com
Opened
22,872
$319,000 0.25%
Berkshire Hathaway Inc.
No change
1
$315,000 0.24%
Medtronic Plc Shs
76.35%
3,040
$314,000 0.24%
Republic Svcs Inc Com
4.78%
3,400
$314,000 0.24%
Conocophillips Com
No change
9,276
$309,000 0.24%
L3Harris Technologies, Inc.
4.26%
1,736
$302,000 0.23%
Pepsico Inc Com
Opened
2,052
$278,000 0.21%
AbbVie, Inc.
1,170.52%
3,189
$274,000 0.21%
Emerson Elec Co Com
2.71%
4,022
$271,000 0.21%
Paycom Software, Inc.
No change
780
$265,000 0.20%
Chubb Limited Com
Closed
2,014
$256,000
Schwab U.s. Broad Market Etf
5.54%
3,188
$255,000 0.20%
Aflac, Inc.
11.63%
6,651
$249,000 0.19%
Phillips 66 Com
No change
4,794
$245,000 0.19%
Vanguard Small-cap Value Index Fund
14.91%
2,089
$242,000 0.19%
Schwab Short-term U.s. Treasury Etf
No change
4,416
$227,000 0.18%
Viacomcbs Inc Cl B
No change
7,328
$208,000 0.16%
Vaneck Vectors Gold Miners Etf
70.39%
5,444
$207,000 0.16%
The Home Depot, Inc.
No change
700
$194,000 0.15%
Pimco Investment Grade Corporate Bond Index Exchange-traded Fund
No change
1,623
$186,000 0.14%
Healthpeak Properties Inc Com
Closed
6,852
$185,000
Moderna, Inc.
12.14%
2,568
$182,000 0.14%
Travelers Companies Inc Com
No change
1,634
$182,000 0.14%
Digital Rlty Tr Inc Com
2.18%
1,172
$179,000 0.14%
Alphabet Inc Cap Stk Cl A
1.68%
121
$176,000 0.14%
Southern Co Com
No change
3,000
$173,000 0.13%
Ishares Sp 500 Value Etf
2.77%
1,520
$172,000 0.13%
SmileDirectClub, Inc.
Opened
14,563
$170,000 0.13%
Jpmorgan Chase Co Com
42.74%
1,463
$143,000 0.11%
Continental Res Inc Com
289.67%
11,203
$142,000 0.11%
Thermo Fisher Scientific, Inc.
No change
300
$134,000 0.10%
NIKE, Inc.
No change
1,000
$128,000 0.10%
Spdr Bloomberg Barclays Investment Grade Floating Rate Etf
No change
4,008
$123,000 0.10%
United Parcel Service, Inc.
84.87%
721
$122,000 0.09%
Bunge Limited Com
23.84%
2,552
$121,000 0.09%
Ishares 1-5 Year Investment Grade Corporate Bond Etf
No change
2,160
$118,000 0.09%
Eaton Corp Plc Shs
No change
1,128
$118,000 0.09%
Ishares Treasury Floating Rate Bond Etf
No change
2,307
$116,000 0.09%
Boyd Gaming Corp Com
Closed
6,103
$112,000
Netflix, Inc.
Opened
195
$99,000 0.08%
Live Oak Bancshares, Inc.
Opened
3,406
$97,000 0.07%
Energy Transfer Lp Com Ut Ltd Ptn
Closed
15,150
$96,000
Procter And Gamble Co Com
140.85%
684
$95,000 0.07%
Costco Whsl Corp New Com
31.66%
262
$94,000 0.07%
Johnson Johnson Com
5.17%
631
$92,000 0.07%
Guess Inc Com
Opened
6,565
$87,000 0.07%
Spdr Gold Shares
147.47%
490
$87,000 0.07%
Firstenergy Corp Com
No change
2,836
$86,000 0.07%
Madden Steven Ltd Com
184.64%
4,207
$84,000 0.06%
Raytheon Technologies Corp Com
8.05%
1,437
$84,000 0.06%
Roper Technologies, Inc.
No change
204
$82,000 0.06%
Facebook, Inc.
No change
315
$81,000 0.06%
UnitedHealth Group, Inc.
No change
256
$80,000 0.06%
American Wtr Wks Co Inc New Com
No change
517
$79,000 0.06%
Wheaton Precious Metals Corp Com
Opened
1,672
$79,000 0.06%
Kinder Morgan Inc Del Com
No change
6,158
$76,000 0.06%
Ishares Sp 500 Growth Etf
No change
297
$68,000 0.05%
Otis Worldwide Corp Com
No change
1,053
$67,000 0.05%
Lockheed Martin Corp Com
No change
175
$66,000 0.05%
Carrier Global Corporation Com
No change
2,106
$66,000 0.05%
The Williams Cos., Inc.
No change
3,318
$64,000 0.05%
Mercury Genl Corp New Com
53.83%
1,523
$63,000 0.05%
Liberty Media Corp Del Com Ser A Frmla
53.96%
1,784
$62,000 0.05%
Tesla, Inc.
733.33%
150
$62,000 0.05%
Cheniere Energy Inc Com New
Closed
1,220
$62,000
RingCentral, Inc.
Closed
200
$57,000
Oracle Corp Com
Closed
1,000
$56,000
Union Pac Corp Com
64.53%
277
$55,000 0.04%
Astrazeneca Plc Sponsored Adr
No change
1,000
$54,000 0.04%
Main Str Cap Corp Com
Closed
1,723
$52,000
Fedex Corp Com
Opened
200
$52,000 0.04%
Prosperity Bancshares, Inc.
53.93%
925
$51,000 0.04%
salesforce.com, inc.
Opened
200
$50,000 0.04%
Cvs Health Corp Com
No change
848
$49,000 0.04%
Boeing Co Com
7.49%
309
$49,000 0.04%
Spdr Portfolio High Yield Bond Etf
Closed
1,941
$48,000
Bce Inc Com New
32.25%
1,128
$47,000 0.04%
Square, Inc.
35.00%
260
$46,000 0.04%
Canadian Natl Ry Co Com
No change
428
$46,000 0.04%
Red Rock Resorts, Inc.
Opened
2,528
$44,000 0.03%
Exxon Mobil Corp Com
6.99%
1,194
$40,000 0.03%
Ishares Sp Midcap Fund
No change
204
$39,000 0.03%
Bank New York Mellon Corp Com
No change
1,053
$37,000 0.03%
Activision Blizzard, Inc.
No change
464
$36,000 0.03%
Materials Select Sector Spdr Fund
Opened
500
$32,000 0.02%
Spdr Sp 600 Small Cap Value Etf
Closed
661
$32,000
Infosys Ltd Sponsored Adr
Closed
3,000
$31,000
Wells Fargo Co New Com
15.46%
1,181
$29,000 0.02%
Ark Genomic Revolution Etf
Closed
500
$28,000
Devon Energy Corp New Com
1.86%
2,906
$28,000 0.02%
Chevron Corp New Com
17.96%
394
$28,000 0.02%
Oge Energy Corp Com
5.75%
846
$27,000 0.02%
Barrick Gold Corp Com
No change
1,000
$27,000 0.02%
Johnson Ctls Intl Plc Shs
Opened
622
$26,000 0.02%
Ishares Sp Small-cap Fund
No change
342
$25,000 0.02%
Pretium Res Inc Com
Opened
2,000
$25,000 0.02%
3m Co Com
No change
154
$25,000 0.02%
Hecla Mng Co Com
Opened
5,000
$25,000 0.02%
Eog Res Inc Com
Closed
491
$24,000
iShares Core 1-5 Year USD Bond ETF
No change
452
$23,000 0.02%
Ishares Floating Rate Bond Etf
No change
445
$23,000 0.02%
Ark Innovation Etf
Opened
226
$22,000 0.02%
Sixth Street Specialty Lendnin 4.5 08/01/2022
No change
20,000
$21,000 0.02%
Ark Next Generation Internet Etf
Opened
192
$21,000 0.02%
Commercial Metals Co Com
Opened
1,000
$21,000 0.02%
Freeport-McMoRan, Inc.
Opened
1,335
$21,000 0.02%
Bristol-myers Squibb Co Com
Closed
332
$20,000
Biogen, Inc.
Closed
75
$20,000
Prospect Cap Corp 6.375 03/01/2025
No change
15,000
$15,000 0.01%
Whiting Pete Corp New 125 04012020
Closed
15,000
$2,000
No transactions found
Showing first 500 out of 173 holdings