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13F-HR filed by ELCO Management Co., LLC

ELCO Management Co., LLC filed this 13F-HR for the quarter ended 2023-06-30, filed 2023-08-11, with 129 holding rows worth $138,224,035.

Accession
0001398344-23-014615
Filed
2023-08-11
Accepted by EDGAR
acceptance time not in the bulk data set
Ingested
Source
SEC quarterly data set

Original filing

13F report for Q2 2023

A combination report, 137 entries on the cover page, a total value of $138,224,035 stated on the cover page (in dollars after the unit check, H1), rows summing to $138,224,035 with VALUE read as dollars as filed, 13F file number 028-17577. The quarter's positions are built on this report. The resolved quarter.

Other managers

  • reports for this filerMENDON CAPITAL ADVISORS CORP 028-10662
  • reports for this filerWater Asset Management LLC 028-14357

The information table after summing rows of one CUSIP and put or call (H4), with the CUSIP and issuer name as filed. Values in dollars after the unit check (method).

Issuer as filedCUSIPClassAmountValueValue read asType
WILLIAMS COS INC COM969457100Stock255,074$8,323,065dollars as filed
CHENIERE ENERGY INC COM NEW16411R208Stock51,844$7,898,952dollars as filed
ENERGY TRANSFER L P29273V100COM UT LTD PTN561,915$7,136,326dollars as filed
Apple Inc037833100COM34,795$6,749,186dollars as filed
HEXCEL CORP NEW428291108COM73,593$5,594,540dollars as filed
TARGA RES CORP COM87612G101Stock59,734$4,545,757dollars as filed
Microsoft Corp594918104COM12,398$4,222,015dollars as filed
Amazon.com, Inc023135106COM30,026$3,914,189dollars as filed
Alphabet Inc. Reg. Shares C02079K107COM30,255$3,659,947dollars as filed
SPY78462F103SHS7,715$3,419,905dollars as filed
MPLX LP55336V100COM UNIT REP LTD95,374$3,236,994dollars as filed
GLOBAL X FDS37954Y475S&P 500 COVERED64,300$2,639,515dollars as filed
Home Depot, Inc437076102COM8,405$2,610,929dollars as filed
AMERICAN WTR WKS CO INC NEW COM030420103Stock17,913$2,557,081dollars as filed
AbbVie,Inc.00287Y109COM18,121$2,441,442dollars as filed
PLAINS ALL AMERN PIPELINE L726503105UNIT LTD PARTN157,730$2,223,993dollars as filed
SUNOCO LP/SUNOCO FIN CORP86765K109COM UT REP LP50,980$2,220,689dollars as filed
WESTERN MIDSTREAM PARTNERS L958669103COM UNIT LP INT80,153$2,125,658dollars as filed
Abbott Laboratories002824100COM18,655$2,033,768dollars as filed
ILLUMINA INC452327109COM10,294$1,930,022dollars as filed
Honeywell Technologies438516106COM8,938$1,854,635dollars as filed
HUBBELL INC COM443510607Stock5,400$1,790,424dollars as filed
ENTERPRISE PRODS PARTNERS L293792107COM59,051$1,555,994dollars as filed
Procter & Gamble Co742718109COM9,390$1,424,839dollars as filed
Boeing Company097023105COM6,204$1,310,037dollars as filed
EQT CORP COM26884L109Stock31,600$1,299,708dollars as filed
GENESIS ENERGY L.P.371927104UNIT LTD PARTN136,040$1,299,182dollars as filed
JPMORGAN EQUITY PREMIUM INCOME ETF46641Q332ETF22,900$1,267,057dollars as filed
SEMPRA COM816851109Stock8,460$1,231,691dollars as filed
Walt Disney Co254687106COM13,269$1,184,656dollars as filed
JPMorgan Chase & Co46625H100COM8,032$1,168,174dollars as filed
Intercontinental Exchange,Inc.45866F104COM9,725$1,099,703dollars as filed
McDonalds Corporation580135101COM3,590$1,071,292dollars as filed
SELECT WATER SOLUTIONS INC81617J301CL A COM132,207$1,070,877dollars as filed
ESSENTIAL UTILS INC COM29670G102Stock26,598$1,061,526dollars as filed
COLGATE PALMOLIVE CO COM194162103Stock13,500$1,040,040dollars as filed
Raytheon Technologies Corporation75513E101COM9,788$958,832dollars as filed
CORNING INC219350105COM27,081$948,918dollars as filed
Medtronic PlcG5960L103COM10,615$935,181dollars as filed
EQUITRANS MIDSTREAM CORP NPV294600101COM91,925$878,803dollars as filed
CONSTELLATION BRANDS INC CL A21036P108Stock3,461$851,856dollars as filed
Johnson & Johnson478160104COM4,991$826,110dollars as filed
ONEOK INC NEW682680103COM13,065$806,372dollars as filed
PRIMERICA INC74164M108COM4,000$791,040dollars as filed
VERSABANK NEW92512J106COM103,354$783,423dollars as filed
PROVIDENT FINL SVCS INC COM74386T105Stock45,792$748,241dollars as filed
CARRIER GLOBAL CORPORATION COM14448C104Stock14,811$736,255dollars as filed
MARRIOTT INTL INC NEW CL A571903202Stock4,001$734,944dollars as filed
EATON VANCE TAX-MANAGED DIVE27828N102COM56,900$708,974dollars as filed
iShares Global Healthcare ETF464287325SHS8,258$701,847dollars as filed
NextEra Energy,Inc.65339F101COM8,829$655,112dollars as filed
NVIDIA Corp67066G104COM1,535$649,336dollars as filed
XYLEM INC COM98419M100Stock5,669$638,442dollars as filed
OTIS WORLDWIDE CORP COM68902V107Stock7,040$626,630dollars as filed
Technology Select Sector SPDR Fund81369Y803SHS3,543$615,986dollars as filed
ZIMMER BIOMET HOLDINGS INC COM98956P102Stock4,204$612,102dollars as filed
USCB FINANCIAL HOLDINGS INC90355N101COMMON STOCK59,935$611,337dollars as filed
CVS Health Corporation126650100COM8,408$581,245dollars as filed
BOOZ ALLEN HAMILTON HLDG CORP CL A099502106Stock5,000$558,000dollars as filed
YORK WATER CO987184108COMMON STOCK13,348$550,872dollars as filed
LINKBANCORP INC53578P105COM90,729$544,374dollars as filed
COMPANHIA DE SANEAMENTO BASICO SPONSORED ADR20441A102ADR45,512$538,862dollars as filed
GLOBAL X FDS37954Y483NASDAQ 100 COVER30,200$536,050dollars as filed
MAGELLAN MIDSTREAM PARTNERS, L559080106COM UNIT RP LP8,524$531,216dollars as filed
CLEARWAY ENERGY INC CL C18539C204Stock18,311$522,962dollars as filed
XPLR INFRASTRUCTURE LP65341B106COM UNIT PART IN8,275$485,246dollars as filed
CORE & MAIN INC CL A21874C102Stock15,263$478,342dollars as filed
CUMMINS INC COM231021106Stock1,932$473,649dollars as filed
INVESCO EXCHANGE TRADED FD T46137V100AEROSPACE DEFN5,548$468,640dollars as filed
EATON VANCE SHORT DURATION D27828V104COM46,000$451,260dollars as filed
Coca-Cola Company191216100COM7,467$449,663dollars as filed
UNIVERSAL DISPLAY CORP91347P105COM3,000$432,390dollars as filed
FRANKLIN ELEC INC COM353514102Stock4,165$428,578dollars as filed
GSK PLC SPONSORED ADR37733W204ADR12,018$428,322dollars as filed
GLOBAL WATER RESOURCES INC379463102COMMON STOCK33,620$426,302dollars as filed
ECOLAB INC COM278865100Stock2,273$424,346dollars as filed
MAINSTREET BANCSHARES INC56064Y100COMMON STOCK17,977$407,359dollars as filed
WELLS FARGO & CO949746804PERP PFD CNV A353$406,656dollars as filed
BLACKROCK ENHANCED EQUITY DI09251A104COM48,700$406,158dollars as filed
MASCO CORP574599106COM7,018$402,693dollars as filed
TETRA TECH INC NEW88162G103COM2,327$381,023dollars as filed
CSX Corporation126408103COM11,055$376,975dollars as filed
SOUTHWESTERN ENERGY CO845467109COM61,000$366,610dollars as filed
CALAMOS STRATEGIC TOTAL RETU128125101COM SH BEN INT24,300$358,425dollars as filed
Health Care Select Sector SPDR Fund81369Y209SHS2,450$325,188dollars as filed
SELECT SECTOR SPDR TR81369Y704INDL3,000$321,960dollars as filed
EATON VANCE RISK-MANAGED DIVSF27829G106COM38,625$317,497dollars as filed
Danaher Corporation235851102COM1,317$316,080dollars as filed
EQUITY BANCSHARES INC CL A29460X109COMMON STOCK13,406$305,389dollars as filed
Berkshire Hathaway Inc084670702COM895$305,195dollars as filed
BUSINESS FIRST BANCSHARES12326C105COMMON STOCK19,937$300,451dollars as filed
LINDSAY CORPORATION535555106COM2,508$299,305dollars as filed
CALIFORNIA BANCORP84252A106COMMON STOCK21,602$296,379dollars as filed
Qualcomm Incorporated747525103COM2,450$291,648dollars as filed
Financial Select Sector SPDR Fund81369Y605SHS8,505$286,704dollars as filed
KINDER MORGAN INC DEL COM49456B101Stock16,366$281,823dollars as filed
PLAINS GP HLDGS L P72651A207LTD PARTNR INT A18,812$278,982dollars as filed
ARTESIAN RES CORP043113208CL A5,876$277,465dollars as filed
SHORE BANCSHARES INC825107105COMMON STOCK23,749$274,538dollars as filed
POOL CORP COM73278L105Stock710$265,994dollars as filed
PRIMIS FINANCIAL CORP74167B109COMMON STOCK31,422$264,573dollars as filed
ZURN ELKAY WATER SOLNS CORP COM98983L108Stock9,601$258,171dollars as filed
BLACKROCK SCIENCE & TECHNOLO09258G104SHS7,400$254,856dollars as filed
ISHARES TR CORE S&P 500 ETF464287200SHS566$252,272dollars as filed
Verizon Communications Inc92343V104COM6,730$250,292dollars as filed
FIRST INTERSTATE BANCSYSTEM IN32055Y201COM CL A10,498$250,272dollars as filed
NGL ENERGY PARTNERS LP62913M107COM UNIT REPST63,045$245,245dollars as filed
United Parcel Service,Inc. Class B911312106COM1,355$242,884dollars as filed
Visa Inc92826C839COM1,022$242,705dollars as filed
CAPSTAR FINL HLDGS INC14070T102COM18,857$231,375dollars as filed
ARES CAPITAL CORP04010L103COM12,000$225,480dollars as filed
Walmart Inc.931142103COM1,334$209,678dollars as filed
NEW YORK COMMUNITY BANCORP649445103COM18,091$203,343dollars as filed
Deere & Company244199105COM500$202,595dollars as filed
STARWOOD PPTY TR INC COM85571B105REIT10,300$199,820dollars as filed
LIBERTY ALL-STAR EQUITY FUND530158104SH BEN INT30,600$197,982dollars as filed
KRATOS DEFENSE & SEC SOLUTIO50077B207COM NEW13,500$193,590dollars as filed
MERIDIAN CORP58958P104COMMON STOCK18,222$178,576dollars as filed
IMAX CORP45245E109COM10,500$178,395dollars as filed
MADISON COVERED CALL & EQUITY557437100COM23,300$172,420dollars as filed
FRANKLIN LTD DURATION INCOME35472T101COM25,000$154,500dollars as filed
JETBLUE AWYS CORP477143101COM15,000$132,900dollars as filed
BIOCRYST PHARMACEUTICALS INC COM09058V103Stock13,542$95,335dollars as filed
RIVERVIEW BANCORP INC769397100COM13,743$69,265dollars as filed
VIRTUS ALLIANZGI CONVERTIBLE &92838X102COM13,000$45,240dollars as filed
ADC THERAPEUTICS SAH0036K147COMMON STOCK11,799$25,368dollars as filed
KARYOPHARM THERAPEUTICS INC48576U106COM13,474$24,118dollars as filed
LINEAGE CELL THERAPEUTICS IN53566P109COMMON STOCK12,000$16,920dollars as filed
CHINA LIBERAL ED HLDGS LTDG2161Y109ORD10,000$11,500dollars as filed

Amendment chain

FilingRoleFiledAcceptedIngested
13F-HR 0001398344-23-014615this filing2023-08-11acceptance time not in the bulk data set