HoldingsChannel.com
Retirement Network Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
JANUS HENDERSON 412,768 +375,059 $20,329
     VNLA412,768+375,059$20,329
ISHARES EDGE (USMV) 294,005 +43,138 $15,880
     USMV294,005+43,138$15,880
VanEck Vectors 270,550 +31,749 $11,834
     MOAT270,550+31,749$11,834
VANGUARD MEGA (MGK) 76,374 +9,398 $9,706
     MGK76,374+9,398$9,706
ISHARES EDGE (SMMV) 266,983 -32,854 $6,904
     SMMV266,983-32,854$6,904
SCHWAB US 151,556 +14,596 $6,817
     SCHD151,556+14,596$6,817
VANGUARD HIGH (VYM) 46,959 +2,837 $3,322
     VYM46,959+2,837$3,322
INVESCO S&P 105,025 +15,157 $3,151
     SPHD105,025+15,157$3,151
Amazon 1,609 +453 $3,137
     AMZN1,609+453$3,137
LOCKHEED MARTIN 9,013 +1,048 $3,055
     LMT9,013+1,048$3,055
MICROSOFT CORP 18,461 +3,122 $2,912
     MSFT18,461+3,122$2,912
McDonalds Corp 16,474 +2,909 $2,724
     MCD16,474+2,909$2,724
FIRST TRUST (FDL) 118,753 +17,502 $2,652
     FDL118,753+17,502$2,652
APPLE INC 9,876 -59,079 $2,511
     AAPL9,876-59,079$2,511
BERKSHIRE HATHAWAY      $2,336
     BRK.B12,778+2,997$2,336
3M Company 16,384 +3,809 $2,237
     MMM16,384+3,809$2,237
PIMCO EHNANCED 22,527 +7,254 $2,230
     MINT22,527+7,254$2,230
CLOROX COMPANY 11,558 +936 $2,002
     CLX11,558+936$2,002
VISA INC 11,860 +2,213 $1,911
     V11,860+2,213$1,911
INTEL CORP 35,059 +2,340 $1,897
     INTC35,059+2,340$1,897
BRISTOL MYERS      $1,854
     BMY33,138+2,151$1,847
     Rights and Bearer Warrants Warrants except Bearer 1,766+1,766$7
Applied Materials 39,209 +6,296 $1,797
     AMAT39,209+6,296$1,797
PROCTER & GAMBLE 15,995 +1,302 $1,759
     PG15,995+1,302$1,759
Wal Mart Stores Inc. 15,184 +3,912 $1,725
     WMT15,184+3,912$1,725
DOMINION ENERGY 23,517 +1,261 $1,698
     D23,517+1,261$1,698
Johnson & Johnson 12,596 +1,240 $1,652
     JNJ12,596+1,240$1,652
Biogen 5,173 +1,168 $1,637
     BIIB5,173+1,168$1,637
MASTERCARD INC 6,686 +1,173 $1,615
     MA6,686+1,173$1,615
ABBVIE INC 21,899 +2,353 $1,599
     ABBV21,899+2,353$1,599
UNITEDHEALTH GROUP 6,407 +1,549 $1,598
     UNH6,407+1,549$1,598
AT&T INC 54,131 +12,900 $1,578
     T54,131+12,900$1,578
PEPSICO INC 12,511 +1,393 $1,503
     PEP12,511+1,393$1,503
COCA COLA COMPANY 33,000 +3,664 $1,460
     KO33,000+3,664$1,460
PFIZER INC 43,709 +5,896 $1,427
     PFE43,709+5,896$1,427
Southern Company 25,680 +2,667 $1,390
     SO25,680+2,667$1,390
WALT DISNEY 14,106 +3,555 $1,363
     DIS14,106+3,555$1,363
General Mills 25,479 +3,397 $1,345
     GIS25,479+3,397$1,345
Nike 16,088 +4,097 $1,331
     NKE16,088+4,097$1,331
Blackrock Inc 2,947 +568 $1,296
     BLK2,947+568$1,296
INVESCO QQQ 6,788 -7 $1,292
     QQQ6,788-7$1,292
Starbucks 19,648 +5,607 $1,292
     SBUX19,648+5,607$1,292
COMCAST CORP 37,225 +14,198 $1,280
     CMCSA37,225+14,198$1,280
Honeywell International Inc. 9,221 +8,399 $1,234
     HON9,221+8,399$1,234
ALTRIA GROUP 31,346 +6,802 $1,212
     MO31,346+6,802$1,212
Analog Devices 13,469 +3,265 $1,207
     ADI13,469+3,265$1,207
ISHARES EDGE (MTUM) 11,264 +688 $1,199
     MTUM11,264+688$1,199
IBM 10,474 +1,637 $1,162
     IBM10,474+1,637$1,162
Kellogg 19,332 +2,867 $1,160
     K19,332+2,867$1,160
Aflac 33,240 +5,136 $1,138
     AFL33,240+5,136$1,138
Lowes 13,135 +3,369 $1,130
     LOW13,135+3,369$1,130

See Full List: All Stocks Held By Retirement Network
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Retirement Network

Size ($ in 1000's)
At 03/31/2020: $187,449
At 12/31/2019: $207,714

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

Retirement Network Top Holdings 13F Filings | www.HoldingsChannel.com

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