| # | % | |||||
|---|---|---|---|---|---|---|
| 1 | UNITED TECHNOLOGIES CORP | 1,879 | 206,000 | 0.20% | ||
| 2 | SELECT SECTOR SPDR TR | 2,745 | 207,000 | 0.20% | ||
| 3 | ISHARES TR | 3,019 | 228,000 | 0.22% | ||
| 4 | ABBVIE INC | 3,660 | 229,000 | 0.22% | ||
| 5 | PFIZER INC | 7,416 | 241,000 | 0.24% | ||
| 6 | HONEYWELL INTL INC | 2,095 | 243,000 | 0.24% | ||
| 7 | DU PONT E I DE NEMOURS & CO | 3,445 | 253,000 | 0.25% | ||
| 8 | ISHARES TR | 4,500 | 260,000 | 0.26% | ||
| 9 | WAL-MART STORES INC | 3,845 | 266,000 | 0.26% | ||
| 10 | CVS HEALTH CORP | 3,500 | 276,000 | 0.27% | ||
| 11 | UNUM GROUP | 6,338 | 278,000 | 0.27% | ||
| 12 | ISHARES TR | 2,422 | 284,000 | 0.28% | ||
| 13 | ISHARES TR | 8,699 | 305,000 | 0.30% | ||
| 14 | RAYTHEON CO | 2,173 | 309,000 | 0.30% | ||
| 15 | SCHWAB U.S. BROAD MARKET ETF | 5,760 | 312,000 | 0.31% | ||
| 16 | LILLY ELI & CO | 4,360 | 321,000 | 0.32% | ||
| 17 | SOUTHERN CO | 6,568 | 323,000 | 0.32% | ||
| 18 | ORACLE CORP | 8,478 | 326,000 | 0.32% | ||
| 19 | DUKE ENERGY CORP NEW | 4,197 | 326,000 | 0.32% | ||
| 20 | ISHARES TR | 3,139 | 329,000 | 0.32% | ||
| 21 | VALERO ENERGY CORP NEW | 5,060 | 346,000 | 0.34% | ||
| 22 | ADOBE INC | 3,500 | 360,000 | 0.35% | ||
| 23 | VARIAN MED SYS INC | 4,300 | 386,000 | 0.38% | ||
| 24 | WISDOMTREE TR | 4,844 | 387,000 | 0.38% | ||
| 25 | UNITED PARCEL SERVICE INC | 3,373 | 387,000 | 0.38% | ||
| 26 | 3M CO | 2,190 | 391,000 | 0.38% | ||
| 27 | NORTHROP GRUMMAN CORP | 1,700 | 395,000 | 0.39% | ||
| 28 | AVALONBAY COMM | 2,259 | 400,000 | 0.39% | ||
| 29 | PHILLIPS 66 | 4,644 | 401,000 | 0.39% | ||
| 30 | WELLS FARGO & CO NEW | 7,344 | 405,000 | 0.40% | ||
| 31 | POWERSHARES QQQ TRUST | 3,500 | 415,000 | 0.41% | ||
| 32 | ISHARES TR | 10,182 | 423,000 | 0.42% | ||
| 33 | ISHARES TR | 4,336 | 455,000 | 0.45% | ||
| 34 | STRYKER CORP | 3,961 | 475,000 | 0.47% | ||
| 35 | STARBUCKS CORP | 8,818 | 490,000 | 0.48% | ||
| 36 | DISNEY WALT CO | 4,927 | 514,000 | 0.50% | ||
| 37 | EQUITY RESIDENTIAL | 8,037 | 517,000 | 0.51% | ||
| 38 | SSGA ACTIVE ETF TR | 11,216 | 533,000 | 0.52% | ||
| 39 | EXXON MOBIL CORP | 6,164 | 556,000 | 0.55% | ||
| 40 | ISHARES TR | 5,171 | 573,000 | 0.56% | ||
| 41 | SUNTRUST BKS INC | 10,987 | 603,000 | 0.59% | ||
| 42 | ISHARES TR | 5,054 | 609,000 | 0.60% | ||
| 43 | CHEVRON CORP NEW | 5,771 | 679,000 | 0.67% | ||
| 44 | ISHARES TR | 4,584 | 692,000 | 0.68% | ||
| 45 | POWERSHARES ETF TR II | 37,438 | 703,000 | 0.69% | ||
| 46 | ECOLAB INC | 6,000 | 703,000 | 0.69% | ||
| 47 | ISHARES TR | 8,708 | 771,000 | 0.76% | ||
| 48 | REGIONS FINANCIAL CORP NEW | 54,070 | 776,000 | 0.76% | ||
| 49 | SERVICE CORP INTL | 27,905 | 792,000 | 0.78% | ||
| 50 | NOVARTIS A G | 11,175 | 814,000 | 0.80% |
Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001398344-17-000519, filed 2017.01.13).
From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.