Retirement Design Management Inc Adv (927952) Portfolio


Number of Companies: 41
Inflow: $2,944 K
Outflow: $-458 K
Net Flow: $2,485 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)
2826 41 Consolidated Edison Inc (ED) Utility Networks 8,629 New Holding 8,629 $80.44 $694 $694
2634 3 Tiffany And Co (TIF) Jewelry And Watch Stores 10,142 New Holding 10,142 $60.64 $615 $615
3061 12 Chevron Corp (CVX) Integrated Oils 2,229 New Holding 2,229 $104.83 $233 $233
3057 15 Jpmorgan Chase And Co (JPM) Diversified Banks 15,480 Added More 3,277 $62.14 $203 $961
175 2 3m Co (MMM) Containers And Packaging 2,668 Added More 1,138 $175.12 $199 $467
3079 54 Apple Inc (AAPL) Communications Equipment 57,036 Added More 1,763 $95.60 $168 $5,452
3058 62 Verizon Communications Inc (VZ) Telecom Carriers 32,619 Added More 2,767 $55.84 $154 $1,821
3075 13 Exxon Mobil Corp (XOM) Integrated Oils 6,596 Added More 1,200 $93.74 $112 $618
3031 8 Pfizer Inc (PFE) Large Pharma 38,317 Added More 3,010 $35.21 $105 $1,349
2993 54 Schlumberger Ltd (SLB) Oil And Gas Services And Equip 30,001 Added More 994 $79.08 $78 $2,372
3074 26 Facebook Inc-A (FB) Internet Media 9,182 Added More 631 $114.28 $72 $1,049
3070 18 Home Depot Inc (HD) Home Products Stores 29,701 Added More 519 $127.69 $66 $3,792
3059 25 Pepsico Inc (PEP) Beverages 43,998 Added More 587 $105.94 $62 $4,661
3012 21 Kimberly-Clark Corp (KMB) Household Products 8,514 Added More 267 $137.48 $36 $1,170
3050 14 Wells Fargo And Co (WFC) Diversified Banks 5,932 Added More 765 $47.33 $36 $280
3028 34 Thermo Fisher Scientific Inc (TMO) Life Science Equipment 3,854 Added More 211 $147.76 $31 $569
3062 63 Atandt Inc (T) Telecom Carriers 11,947 Added More 629 $43.21 $27 $516
3030 69 Intel Corp (INTC) Semiconductor Devices 39,357 Added More 757 $32.80 $24 $1,290
3065 7 Philip Morris International (PM) Tobacco 4,098 Added More 215 $101.72 $21 $416
3018 33 Danaher Corp (DHR) Life Science Equipment 2,796 No Change 0 $101.00 $0 $282
3056 27 Boeing Cothe (BA) Aircraft And Parts 2,389 No Change 0 $129.87 $0 $310
3022 6 Altria Group Inc (MO) Tobacco 3,573 No Change 0 $68.96 $0 $246
3029 24 Coca-Cola Cothe (KO) Beverages 7,058 No Change 0 $45.33 $0 $319
2979 53 Cisco Systems Inc (CSCO) Communications Equipment 16,970 No Change 0 $28.69 $0 $486
2961 20 Stanley Black And Decker Inc (SWK) Home Improvement 2,027 No Change 0 $111.22 $0 $225
1706 15 Eastern Cothe (EML) Fabricated Metal And Hardware 11,796 No Change 0 $16.58 $0 $195
3032 17 Cvs Health Corp (CVS) Food And Drug Stores 9,132 Sold Some -4 $95.74 $-0 $874
2989 128 American Tower Corp (AMT) Reit 23,123 Sold Some -9 $113.61 $-1 $2,627
3014 6 Bristol-Myers Squibb Co (BMY) Large Pharma 19,810 Sold Some -30 $73.55 $-2 $1,457
2997 129 Avalonbay Communities Inc (AVB) Reit 1,355 Sold Some -16 $180.39 $-2 $244
3071 42 Intl Business Machines Corp (IBM) It Services 6,623 Sold Some -35 $151.78 $-5 $1,005
3021 55 Celgene Corp (CELG) Biotech 2,158 Sold Some -84 $98.63 $-8 $212
286 3 Annaly Capital Management In (NLY) Mortgage Finance 128,454 Sold Some -928 $11.07 $-10 $1,421
2425 16 Invesco Ltd (IVZ) Investment Management 26,472 Sold Some -597 $25.54 $-15 $676
3049 6 General Electric Co (GE) Electrical Power Equipment 54,593 Sold Some -489 $31.48 $-15 $1,718
3076 10 Johnson And Johnson (JNJ) Large Pharma 34,605 Sold Some -199 $121.30 $-24 $4,197
3072 34 Microsoft Corp (MSFT) Infrastructure Software 95,691 Sold Some -642 $51.17 $-32 $4,896
49 1 Novartis Ag (NVS) Large Pharma 9,870 Sold Some -431 $82.51 $-35 $814
3003 49 Travelers Cos Incthe (TRV) P And C Insurance 32,847 Sold Some -299 $119.04 $-35 $3,910
3016 38 Starbucks Corp (SBUX) Restaurants 73,282 Sold Some -748 $57.12 $-42 $4,185
3002 31 Dow Chemical Cothe (DOW) Basic And Diversified Chemicals 0 Sold All -4,563 $49.71 $-226 $0