KOONCE CALVIN SCOTT

ROCKVILLE, MD How do I update this listing?

Koonce Calvin Scott is based out of Rockville. Their last reported 13F filing for Q3 2021 included $89,834,000 in managed 13F securities and a top 10 holdings concentration of 100.0%. Koonce Calvin Scott's largest holding is VSE Corp. with shares held of 1,864,936. Whalewisdom has at least 28 13F filings, 5 13D filings, 4 13G filings, and 26 Form 4 filings

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09/30/2021

Top Buys

  • Name% Change

09/30/2021

Top Sells

  • Name% Change

09/30/2021

13F Activity

  • Market Value $89.834 Million
  • Prior Market Value $92.333 Million
  • New Purchases0 stocks
  • Additional Purchases0 stocks
  • Sold out of0 stocks
  • Reduced holdings in0 stocks
  • Top 10 Holdings % 100.00 %
  • Turnover % [1]:%
  • Turnover Alt % [2]: %
  • Time Held Top20:27.00 quarters
  • Time Held Top10:27.00 quarters
  • Time Held All:27.00 quarters

[1]: Turnover is calculated by taking the # of new holdings (initial purchases) + the # of positions sold out of (not just reduced) divided by the total # of holdings for the quarter.

[2]: Alt Turnover is calculated by taking either the total MV of new purchases or the MV of securities sold, whichever is less, divided by the total MV of the fund.

09/30/2021

13F Sector Allocation Over Time

Portfolio Performance

Top 20 equal-weighted holdings. Performance numbers calculated through 2021-11-15

Performance for Q3 2021: 31.59%
Performance Last 4 Quarters: 84.5%
Performance Metrics
Stdev (5-yrs): Subscription required BETA (5-yrs): Subscription required ALPHA (3-yrs): Subscription required
Max Drawdown (all-years): Subscription required Annualized Perf (3-yrs): Subscription required Batting Avg vs S&P. (3-yrs): Subscription required
Sortino (3-yrs): Subscription required Stutzer (3-yrs): Subscription required Treynor (3-yrs): Subscription required
Sterling (3-yrs): Subscription required Calmar (3-yrs): Subscription required Information Ratio (3-yrs): Subscription required
Tracking Error (3 yrs): Subscription required Stdev Down (3-yrs): Subscription required Winning Months %: Subscription required
Losing Months %: Subscription required Best 12 Months: Subscription required Worst 12 Months: Subscription required
Efficiency Ratio (3-yrs): Subscription required Sharpe: Subscription required Stdev Sectors: Subscription required
Skewness (3-yrs): Subscription required Kurtosis (3-yrs): Subscription required Upside Potential (3-yrs): Subscription required

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