Portfolio Solutions adds Bankwell Financial Group Inc (BWFG) to its portfolio

Bankwell Financial Group Inc (BWFG) : Portfolio Solutions added new position in Bankwell Financial Group Inc during the most recent quarter end. The investment management firm now holds 14,441 shares of Bankwell Financial Group Inc which is valued at $324,923 , the company said in a statement filed on Jul 25, 2016 with the SEC.Bankwell Financial Group Inc makes up approximately 0.05% of Portfolio Solutions’s portfolio.

Other Hedge Funds, Including , Bnp Paribas Arbitrage Sa added BWFG to its portfolio by purchasing 226 company shares during the most recent quarter which is valued at $5,146.

Bankwell Financial Group Inc closed down -0.04 points or -0.18% at $22.01 with 9,017 shares getting traded on Friday. Post opening the session at $22.05, the shares hit an intraday low of $21.8301 and an intraday high of $22.07 and the price fluctuated in this range throughout the day.Shares ended Friday session in Red.

Bankwell Financial Group Inc. is a bank holding company. The Company offers a range of financial services through the banking subsidiary Bankwell Bank (the Bank) a Connecticut state non-member bank. The Bank’s primary market is the greater Fairfield County Connecticut area which its serves from the main banking office located in New Canaan Connecticut and six other branch offices located throughout the Fairfield County area. As of December 31 2014 the Bank had net loans of approximately $916.0 million and total deposits of approximately $835.4 million. It operates Bankwell Investment Services which provides a range of services including 401k rollover planning retirement planning asset allocation planning financial planning business planning estate planning mutual funds fixed and variable annuities exchange traded funds separate managed accounts stocks and bonds traditional and Roth IRAs (Individual Retirement Arrangements) and brokerage certificates of deposits.

Comments (0)

Leave a Reply

Your email address will not be published. Required fields are marked *