Opus Investment Management Inc (1097833) Portfolio


Number of Companies: 70
Inflow: $40,855 K
Outflow: $-10,317 K
Net Flow: $30,538 K
2016-06-30: Recent SEC Filing
2016-03-31: Previous SEC Filing


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Mffais Overall Rank Mffais Industry Rank Company Industry Shares Action Qty Chg Close Price Mffais Flow(K) Current Value (K)
176 9 Bbandt Corp (BBT) Banks 112,100 New Holding 112,100 $35.61 $3,991 $3,991
1 1 Nextera Energy Inc (NEE) Integrated Utilities 30,000 New Holding 30,000 $130.40 $3,912 $3,912
3050 14 Wells Fargo And Co (WFC) Diversified Banks 72,000 New Holding 72,000 $47.33 $3,407 $3,407
12 2 Alliant Energy Corp (LNT) Integrated Utilities 136,778 Added More 78,389 $39.70 $3,112 $5,430
2881 6 Waste Management Inc (WM) Waste Management 55,033 Added More 45,033 $66.27 $2,984 $3,647
3046 32 Air Products And Chemicals Inc (APD) Basic And Diversified Chemicals 40,800 Added More 20,000 $142.04 $2,840 $5,795
3012 21 Kimberly-Clark Corp (KMB) Household Products 35,000 Added More 20,000 $137.48 $2,749 $4,811
2829 19 Prudential Financial Inc (PRU) Life Insurance 32,300 New Holding 32,300 $71.34 $2,304 $2,304
2996 7 Target Corp (TGT) Mass Merchants 83,500 Added More 30,000 $69.82 $2,094 $5,829
2787 1 Genuine Parts Co (GPC) Automotive Wholesalers 20,300 New Holding 20,300 $101.25 $2,055 $2,055
3002 31 Dow Chemical Cothe (DOW) Basic And Diversified Chemicals 113,000 Added More 37,000 $49.71 $1,839 $5,617
2777 25 P G And E Corp (PCG) Integrated Utilities 45,400 Added More 18,500 $63.92 $1,182 $2,901
3049 6 General Electric Co (GE) Electrical Power Equipment 191,800 Added More 30,000 $31.48 $944 $6,037
2803 33 Kellogg Co (K) Packaged Food 61,000 Added More 11,000 $81.65 $898 $4,980
3023 7 Merck And Co Inc (MRK) Large Pharma 98,400 Added More 15,000 $57.61 $864 $5,668
2950 8 General Motors Co (GM) Automobiles 30,000 New Holding 30,000 $28.30 $849 $849
3030 69 Intel Corp (INTC) Semiconductor Devices 97,600 Added More 20,000 $32.80 $656 $3,201
542 13 Wgl Holdings Inc (WGL) Utility Networks 8,500 New Holding 8,500 $70.79 $601 $601
2555 57 Microchip Technology Inc (MCHP) Semiconductor Devices 77,400 Added More 10,000 $50.76 $507 $3,928
2956 32 Dominion Resources Incva (D) Integrated Utilities 77,900 Added More 5,000 $77.93 $389 $6,070
2659 21 Xcel Energy Inc (XEL) Integrated Utilities 129,209 Added More 8,500 $44.78 $380 $5,785
2541 17 Portland General Electric Co (POR) Integrated Utilities 142,000 Added More 8,400 $44.12 $370 $6,265
3059 25 Pepsico Inc (PEP) Beverages 58,000 Added More 3,000 $105.94 $317 $6,144
3040 9 Abbvie Inc (ABBV) Large Pharma 101,700 Added More 5,000 $61.91 $309 $6,296
2875 29 Public Service Enterprise Gp (PEG) Integrated Utilities 114,400 Added More 6,000 $46.61 $279 $5,332
2769 24 Ameren Corporation (AEE) Integrated Utilities 89,165 Added More 5,000 $53.58 $267 $4,777
2539 35 Vectren Corp (VVC) Utility Networks 70,600 Added More 5,000 $52.67 $263 $3,718
2927 6 Ford Motor Co (F) Automobiles 20,000 New Holding 20,000 $12.57 $251 $251
2652 20 Cms Energy Corp (CMS) Integrated Utilities 25,000 Added More 5,000 $45.86 $229 $1,146
3017 8 Wal-Mart Stores Inc (WMT) Mass Merchants 62,000 No Change 0 $73.02 $0 $4,527
2853 28 American Electric Power (AEP) Integrated Utilities 72,600 No Change 0 $70.09 $0 $5,088
3066 59 Amgen Inc (AMGN) Biotech 33,600 No Change 0 $152.15 $0 $5,112
3058 62 Verizon Communications Inc (VZ) Telecom Carriers 105,000 No Change 0 $55.84 $0 $5,863
2877 30 Dte Energy Company (DTE) Integrated Utilities 48,740 No Change 0 $99.12 $0 $4,831
3029 24 Coca-Cola Cothe (KO) Beverages 107,000 No Change 0 $45.33 $0 $4,850
2617 3 Csx Corp (CSX) Rail Freight 160,000 No Change 0 $26.08 $0 $4,172
2741 39 Ppl Corp (PPL) Utility Networks 141,142 No Change 0 $37.75 $0 $5,328
3076 10 Johnson And Johnson (JNJ) Large Pharma 54,800 No Change 0 $121.30 $0 $6,647
3019 8 Union Pacific Corp (UNP) Rail Freight 51,200 No Change 0 $87.25 $0 $4,467
3062 63 Atandt Inc (T) Telecom Carriers 149,000 No Change 0 $43.21 $0 $6,438
2902 23 Metlife Inc (MET) Life Insurance 10 No Change 0 $39.83 $0 $0
175 2 3m Co (MMM) Containers And Packaging 39,000 No Change 0 $175.12 $0 $6,829
2702 6 Paychex Inc (PAYX) Payment And Data Processors 89,700 No Change 0 $59.50 $0 $5,337
2826 41 Consolidated Edison Inc (ED) Utility Networks 41,401 No Change 0 $80.44 $0 $3,330
2907 20 Dr Pepper Snapple Group Inc (DPS) Beverages 5,000 No Change 0 $96.63 $0 $483
79 3 Firstenergy Corp (FE) Integrated Utilities 125,200 No Change 0 $34.91 $0 $4,370
3077 22 Procter And Gamble Cothe (PG) Household Products 62,900 No Change 0 $84.67 $0 $5,325
3022 6 Altria Group Inc (MO) Tobacco 15,000 No Change 0 $68.96 $0 $1,034
3031 8 Pfizer Inc (PFE) Large Pharma 180,000 No Change 0 $35.21 $0 $6,337
2686 22 Pinnacle West Capital (PNW) Integrated Utilities 41,900 No Change 0 $81.06 $0 $3,396
2709 23 Scana Corp (SCG) Integrated Utilities 49,400 No Change 0 $75.66 $0 $3,737
183 2 South Jersey Industries (SJI) Utility Networks 70,000 No Change 0 $31.62 $0 $2,213
3067 10 Lockheed Martin Corp (LMT) Defense Primes 2,000 No Change 0 $248.17 $0 $496
3068 39 Mcdonalds Corp (MCD) Restaurants 2,000 No Change 0 $120.34 $0 $240
3065 7 Philip Morris International (PM) Tobacco 42,500 No Change 0 $101.72 $0 $4,323
2850 27 Southern Cothe (SO) Integrated Utilities 91,000 No Change 0 $53.63 $0 $4,880
2588 18 Leggett And Platt Inc (LEG) Home And Office Furnishings 54,200 No Change 0 $51.11 $0 $2,770
333 1 Hasbro Inc (HAS) Toys And Games 5,000 No Change 0 $83.99 $0 $419
2914 19 Clorox Company (CLX) Household Products 5,000 No Change 0 $138.39 $0 $691
2418 32 Centerpoint Energy Inc (CNP) Utility Networks 136,600 No Change 0 $24.00 $0 $3,278
2959 33 Duke Energy Corp (DUK) Integrated Utilities 81,200 No Change 0 $85.79 $0 $6,966
2928 37 General Mills Inc (GIS) Packaged Food 88,700 No Change 0 $71.32 $0 $6,326
353 8 Avista Corp (AVA) Integrated Utilities 139,200 No Change 0 $44.80 $0 $6,236
2868 6 Sysco Corp (SYY) Food Products Wholesalers 97,800 Sold Some -10,000 $50.74 $-507 $4,962
230 7 Bandg Foods Inc (BGS) Packaged Food 116,700 Sold Some -12,000 $48.20 $-578 $5,624
359 9 Westar Energy Inc (WR) Integrated Utilities 10,000 Sold Some -22,800 $56.09 $-1,278 $560
2979 53 Cisco Systems Inc (CSCO) Communications Equipment 126,000 Sold Some -45,000 $28.69 $-1,291 $3,614
2944 1 Emerson Electric Co (EMR) Industrial Automation Controls 16,000 Sold Some -29,500 $52.16 $-1,538 $834
238 1 Eaton Corp Plc (ETN) Electrical Power Equipment 30,700 Sold Some -41,000 $59.73 $-2,448 $1,833
2692 18 Spectra Energy Corp (SE) Midstream Oil And Gas 18,000 Sold Some -73,000 $36.63 $-2,673 $659