American Investment Services Inc (1369913) Portfolio


Number of Companies: 58
Inflow: $14,121 K
Outflow: $-8,976 K
Net Flow: $5,145 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)
3079 54 Apple Inc (AAPL) Communications Equipment 38,464 New Holding 38,464 $95.60 $3,677 $3,677
2770 8 Caterpillar Inc (CAT) Construction And Mining Machinery 174,957 Added More 33,335 $75.81 $2,527 $13,263
2979 53 Cisco Systems Inc (CSCO) Communications Equipment 91,719 Added More 84,298 $28.69 $2,418 $2,631
2990 40 Mondelez International Inc-A (MDLZ) Packaged Food 45,897 New Holding 45,897 $45.51 $2,088 $2,088
3061 12 Chevron Corp (CVX) Integrated Oils 194,675 Added More 10,893 $104.83 $1,141 $20,407
3071 42 Intl Business Machines Corp (IBM) It Services 37,035 Added More 6,157 $151.78 $934 $5,621
12 2 Alliant Energy Corp (LNT) Integrated Utilities 27,087 Added More 12,031 $39.70 $477 $1,075
2522 17 Diageo Plc (DEO) Beverages 2,707 New Holding 2,707 $112.88 $305 $305
3058 62 Verizon Communications Inc (VZ) Telecom Carriers 405,394 Added More 5,319 $55.84 $297 $22,637
288 23 Alexandria Real Estate Equit (ARE) Reit 2,048 New Holding 2,048 $103.52 $212 $212
3008 5 Eli Lilly And Co (LLY) Large Pharma 3,375 Added More 375 $78.75 $29 $265
3075 13 Exxon Mobil Corp (XOM) Integrated Oils 56,862 Added More 130 $93.74 $12 $5,330
2890 124 Extra Space Storage Inc (EXR) Reit 3,706 No Change 0 $92.54 $0 $342
3064 14 Walt Disney Cothe (DIS) Entertainment Content 15,069 No Change 0 $97.82 $0 $1,474
2725 116 Digital Realty Trust Inc (DLR) Reit 4,083 No Change 0 $108.99 $0 $445
3070 18 Home Depot Inc (HD) Home Products Stores 1,675 Sold Some -10 $127.69 $-1 $213
3059 25 Pepsico Inc (PEP) Beverages 5,518 Sold Some -99 $105.94 $-10 $584
3023 7 Merck And Co Inc (MRK) Large Pharma 3,898 Sold Some -202 $57.61 $-11 $224
2464 16 Idacorp Inc (IDA) Integrated Utilities 10,866 Sold Some -180 $81.35 $-14 $883
88 4 Pnm Resources Inc (PNM) Integrated Utilities 25,438 Sold Some -416 $35.44 $-14 $901
447 12 El Paso Electric Co (EE) Integrated Utilities 18,994 Sold Some -331 $47.27 $-15 $897
423 7 New Jersey Resources Corp (NJR) Utility Networks 25,146 Sold Some -425 $38.55 $-16 $969
125 5 Great Plains Energy Inc (GXP) Integrated Utilities 33,821 Sold Some -564 $30.40 $-17 $1,028
65 5 Regency Centers Corp (REG) Reit 2,615 Sold Some -221 $83.73 $-18 $218
2769 24 Ameren Corporation (AEE) Integrated Utilities 21,415 Sold Some -365 $53.58 $-19 $1,147
2147 29 California Water Service Grp (CWT) Utility Networks 34,829 Sold Some -564 $34.93 $-19 $1,216
353 8 Avista Corp (AVA) Integrated Utilities 28,722 Sold Some -470 $44.80 $-21 $1,286
2796 120 Federal Realty Invs Trust (FRT) Reit 1,926 Sold Some -139 $165.55 $-23 $318
665 45 Kimco Realty Corp (KIM) Reit 11,587 Sold Some -823 $31.38 $-25 $363
2967 127 Essex Property Trust Inc (ESS) Reit 1,845 Sold Some -120 $228.09 $-27 $420
2997 129 Avalonbay Communities Inc (AVB) Reit 3,820 Sold Some -155 $180.39 $-27 $689
2733 117 Host Hotels And Resorts Inc (HST) Reit 21,055 Sold Some -1,726 $16.21 $-27 $341
2800 121 Vornado Realty Trust (VNO) Reit 4,924 Sold Some -341 $100.12 $-34 $492
3049 6 General Electric Co (GE) Electrical Power Equipment 221,245 Sold Some -1,250 $31.48 $-39 $6,964
2851 123 General Growth Properties (GGP) Reit 16,228 Sold Some -1,347 $29.82 $-40 $483
2814 122 Equity Residential (EQR) Reit 10,293 Sold Some -651 $68.88 $-44 $708
2949 126 Boston Properties Inc (BXP) Reit 4,268 Sold Some -344 $131.90 $-45 $562
2695 114 Macerich Cothe (MAC) Reit 3,670 Sold Some -565 $85.39 $-48 $313
2651 112 Realty Income Corp (O) Reit 6,962 Sold Some -865 $69.36 $-59 $482
2908 125 Prologis Inc (PLD) Reit 14,503 Sold Some -1,253 $49.04 $-61 $711
3055 131 Simon Property Group Inc (SPG) Reit 7,762 Sold Some -312 $216.90 $-67 $1,683
2777 25 P G And E Corp (PCG) Integrated Utilities 14,732 Sold Some -1,736 $63.92 $-110 $941
388 10 Hawaiian Electric Inds (HE) Integrated Utilities 32,827 Sold Some -3,512 $32.79 $-115 $1,076
2853 28 American Electric Power (AEP) Integrated Utilities 15,332 Sold Some -1,676 $70.09 $-117 $1,074
2686 22 Pinnacle West Capital (PNW) Integrated Utilities 13,481 Sold Some -1,504 $81.06 $-121 $1,092
359 9 Westar Energy Inc (WR) Integrated Utilities 20,139 Sold Some -2,191 $56.09 $-122 $1,129
2826 41 Consolidated Edison Inc (ED) Utility Networks 14,371 Sold Some -1,534 $80.44 $-123 $1,156
3041 130 Public Storage (PSA) Reit 3,881 Sold Some -486 $255.59 $-124 $991
591 14 Allete Inc (ALE) Integrated Utilities 17,471 Sold Some -1,949 $64.63 $-125 $1,129
2959 33 Duke Energy Corp (DUK) Integrated Utilities 15,251 Sold Some -1,501 $85.79 $-128 $1,308
3030 69 Intel Corp (INTC) Semiconductor Devices 15,530 Sold Some -4,002 $32.80 $-131 $509
2850 27 Southern Cothe (SO) Integrated Utilities 25,715 Sold Some -2,471 $53.63 $-132 $1,379
410 6 Northwest Natural Gas Co (NWN) Utility Networks 19,536 Sold Some -2,082 $64.82 $-134 $1,266
324 4 Empire District Electric Co (EDE) Utility Networks 46,564 Sold Some -4,384 $33.97 $-148 $1,581
2116 88 Camden Property Trust (CPT) Reit 0 Sold All -2,611 $88.42 $-230 $0
3031 8 Pfizer Inc (PFE) Large Pharma 65,124 Sold Some -11,375 $35.21 $-400 $2,293
3062 63 Atandt Inc (T) Telecom Carriers 134,581 Sold Some -67,532 $43.21 $-2,918 $5,815
3068 39 Mcdonalds Corp (MCD) Restaurants 41,370 Sold Some -25,214 $120.34 $-3,034 $4,978