HoldingsChannel.com
QUANTRES ASSET MANAGEMENT Ltd Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
MICRON TECHNOLOGY INC 166,400 +166,400 $6,877
     MU166,400+166,400$6,877
DOWDUPONT INC 118,600 +118,600 $6,323
     DWDP118,600+118,600$6,323
NETFLIX INC 15,800 +12,900 $5,634
     NFLX15,800+12,900$5,634
CARNIVAL CORP PLC USA 86,900 +39,500 $4,408
     CCL86,900+39,500$4,408
GAP INC 142,800 +142,800 $3,739
     GPS142,800+142,800$3,739
ADVANCED MICRO DEVICES 129,300 +60,900 $3,300
     AMD129,300+60,900$3,300
SALESFORCE.COM INC 18,700 +18,700 $2,962
     CRM18,700+18,700$2,962
CVS HEALTH CORP 53,400 +13,900 $2,880
     CVS53,400+13,900$2,880
APPLIED MATERIALS INC 60,100 +60,100 $2,384
     AMAT60,100+60,100$2,384
UNITEDHEALTH GROUP INC 9,500 +8,600 $2,349
     UNH9,500+8,600$2,349
ANTHEM INC 8,000 +6,200 $2,296
     ANTM8,000+6,200$2,296
HP INC 117,100 +91,800 $2,275
     HPQ117,100+91,800$2,275
KROGER CO 91,900 +75,400 $2,261
     KR91,900+75,400$2,261
GENERAL MOTORS CO 59,200 +59,200 $2,196
     GM59,200+59,200$2,196
CORNING INC 64,400 +64,400 $2,132
     GLW64,400+64,400$2,132
CME GROUP INC 12,400 +12,400 $2,041
     CME12,400+12,400$2,041
WESTERN DIGITAL CORP 40,600 +33,200 $1,951
     WDC40,600+33,200$1,951
AMERICAN EXPRESS CO 16,400 +16,400 $1,793
     AXP16,400+16,400$1,793
BANK OF AMERICA CORP 63,900 +63,900 $1,763
     BAC63,900+63,900$1,763
CIGNA CORP 10,600 +10,600 $1,705
     CI10,600+10,600$1,705
U S BANCORP 35,100 +27,500 $1,691
     USB35,100+27,500$1,691
AUTODESK INC 10,800 +10,800 $1,683
     ADSK10,800+10,800$1,683
ALPHABET INC 1,400 +800 $1,648
     GOOGL1,400+800$1,648
ALASKA AIR GROUP INC 29,300 -2,500 $1,644
     ALK29,300-2,500$1,644
ALPHABET INC 1,400 +900 $1,643
     GOOG1,400+900$1,643
TEXTRON INC 31,900 -7,500 $1,616
     TXT31,900-7,500$1,616
MICROCHIP TECHNOLOGY INC 19,300 +19,300 $1,601
     MCHP19,300+19,300$1,601
MACY S INC 60,600 +60,600 $1,456
     M60,600+60,600$1,456
VERISIGN INC 6,900 UNCH $1,253
     VRSN6,900UNCH$1,253
TEXAS INSTRUMENTS INC 11,800 +11,800 $1,252
     TXN11,800+11,800$1,252
WALMART INC 12,600 +12,600 $1,229
     WMT12,600+12,600$1,229
TRIPADVISOR INC 23,100 +15,500 $1,188
     TRIP23,100+15,500$1,188
BRISTOL MYERS SQUIBB CO 23,300 +23,300 $1,112
     BMY23,300+23,300$1,112
FIFTH THIRD BANCORP 43,700 +43,700 $1,102
     FITB43,700+43,700$1,102
WELLS FARGO & CO 20,800 -54,200 $1,005
     WFC20,800-54,200$1,005
WILLIS TOWERS WATSON PLC 5,700 +5,700 $1,001
     COM5,700+5,700$1,001
MOSAIC CO 34,600 +13,300 $945
     MOS34,600+13,300$945
HUMANA INC 3,500 +1,100 $931
     HUM3,500+1,100$931
COMERICA INC 12,400 +12,400 $909
     CMA12,400+12,400$909
MICROSOFT CORP 7,700 +3,800 $908
     MSFT7,700+3,800$908
WALGREENS BOOTS ALLIANCE INC 14,300 -58,700 $905
     WBA14,300-58,700$905
ANALOG DEVICES 8,500 +8,500 $895
     ADI8,500+8,500$895
VARIAN MEDICAL SYSTEMS INC 6,000 -200 $850
     VAR6,000-200$850
DUKE ENERGY CORP 9,400 +2,700 $846
     DUK9,400+2,700$846
GOLDMAN SACHS GROUP INC 4,400 +4,400 $845
     GS4,400+4,400$845
BANK OF NEW YORK MELLON CORP 16,600 +16,600 $837
     BK16,600+16,600$837
MORGAN STANLEY 19,600 +19,600 $827
     MS19,600+19,600$827
SKYWORKS SOLUTIONS INC 10,000 +10,000 $825
     SWKS10,000+10,000$825
BOSTON SCIENTIFIC CORP 20,900 +20,900 $802
     BSX20,900+20,900$802
DOVER CORP 8,400 +8,400 $788
     DOV8,400+8,400$788

See Full List: All Stocks Held By QUANTRES ASSET MANAGEMENT Ltd
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By QUANTRES ASSET MANAGEMENT Ltd

Size ($ in 1000's)
At 03/31/2019: $137,932
At 12/31/2018: $162,120

QUANTRES ASSET MANAGEMENT Ltd holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from QUANTRES ASSET MANAGEMENT Ltd 13F filings. Link to 13F filings: SEC filings

QUANTRES ASSET MANAGEMENT Ltd Top Holdings 13F Filings | www.HoldingsChannel.com

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