HoldingsChannel.com
Retirement Network Top Holdings
As of  12/31/2019

   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
FEDEX CORP      $25,236
     FDX167+167$25,236
     Put50+50$0
ISHARES EDGE (USMV) 250,867 +250,867 $15,373
     USMV250,867+250,867$15,373
VANECK VECTORS 238,801 +238,801 $13,081
     MOAT238,801+238,801$13,081
ISHARES EDGE (SMMV) 299,837 +299,837 $10,635
     SMMV299,837+299,837$10,635
VANGUARD MEGA (MGK) 66,976 +66,976 $9,756
     MGK66,976+66,976$9,756
SCHWAB US 136,960 +136,960 $7,917
     SCHD136,960+136,960$7,917
VANGUARD HIGH (VYM) 44,122 +44,122 $4,135
     VYM44,122+44,122$4,135
INVESCO S&P 89,868 +89,868 $3,957
     SPHD89,868+89,868$3,957
FIRST TRUST (FDL) 101,251 +101,251 $3,299
     FDL101,251+101,251$3,299
LOCKHEED MARTIN 7,965 +7,965 $3,111
     LMT7,965+7,965$3,111
MCDONALDS CORP 13,565 +13,565 $2,687
     MCD13,565+13,565$2,687
MICROSOFT CORP 15,339 +15,339 $2,428
     MSFT15,339+15,339$2,428
3M COMPANY 12,575 +12,575 $2,219
     MMM12,575+12,575$2,219
BERKSHIRE HATHAWAY      $2,216
     BRK.B9,781+9,781$2,216
AMAZON COM 1,156 +1,156 $2,136
     AMZN1,156+1,156$2,136
APPLE INC 68,955 +68,955 $2,030
     AAPL68,955+68,955$2,030
APPLIED MATERIALS 32,913 +32,913 $2,009
     AMAT32,913+32,913$2,009
BRISTOL MYERS      $2,000
     BMY30,987+30,987$1,989
     Bearer Warrants3,514+3,514$11
INTEL CORP 32,719 +32,719 $1,956
     INTC32,719+32,719$1,956
ISHARES CORE (IVV) 5,815 +5,815 $1,880
     IVV5,815+5,815$1,880
JANUS HENDERSON 37,709 +37,709 $1,870
     VNLA37,709+37,709$1,870
DOMINION ENERGY 22,256 +22,256 $1,842
     D22,256+22,256$1,842
PROCTER & GAMBLE 14,693 +14,693 $1,834
     PG14,693+14,693$1,834
VISA INC 9,647 +9,647 $1,815
     V9,647+9,647$1,815
SYSCO CORP 20,551 +20,551 $1,758
     SYY20,551+20,551$1,758
ABBVIE INC 19,546 +19,546 $1,730
     ABBV19,546+19,546$1,730
MASTERCARD INC 5,513 +5,513 $1,658
     MA5,513+5,513$1,658
JOHNSON & JOHNSON 11,356 +11,356 $1,656
     JNJ11,356+11,356$1,656
CLOROX COMPANY 10,622 +10,622 $1,631
     CLX10,622+10,622$1,631
COCA COLA COMPANY 29,336 +29,336 $1,624
     KO29,336+29,336$1,624
AT&T INC 41,231 +41,231 $1,609
     T41,231+41,231$1,609
PIMCO EHNANCED 15,273 +15,273 $1,552
     MINT15,273+15,273$1,552
SPDR FUND CONSUMER (XLP) 18,200 +18,200 $1,527
     XLP18,200+18,200$1,527
WALT DISNEY 10,551 +10,551 $1,526
     DIS10,551+10,551$1,526
PEPSICO INC 11,118 +11,118 $1,505
     PEP11,118+11,118$1,505
AFLAC INC 28,104 +28,104 $1,487
     AFL28,104+28,104$1,487
PFIZER INC 37,813 +37,813 $1,482
     PFE37,813+37,813$1,482
SOUTHERN COMPANY 23,013 +23,013 $1,466
     SO23,013+23,013$1,466
INVESCO QQQ 6,795 +6,795 $1,445
     QQQ6,795+6,795$1,445
UNITEDHEALTH GROUP 4,858 +4,858 $1,429
     UNH4,858+4,858$1,429
WALMART INC 11,272 +11,272 $1,338
     WMT11,272+11,272$1,338
ISHARES EDGE (MTUM) 10,576 +10,576 $1,328
     MTUM10,576+10,576$1,328
CHEVRON CORP 11,012 +11,012 $1,323
     CVX11,012+11,012$1,323
ISHARES EDGE (QUAL) 12,508 +12,508 $1,263
     QUAL12,508+12,508$1,263
PPL CORP 34,852 +34,852 $1,250
     PPL34,852+34,852$1,250
PROSHARES SHORT (DOG) 25,201 +25,201 $1,243
     DOG25,201+25,201$1,243
STARBUCKS CORP 14,041 +14,041 $1,235
     SBUX14,041+14,041$1,235
ALTRIA GROUP 24,544 +24,544 $1,225
     MO24,544+24,544$1,225
NIKE INC 11,991 +11,991 $1,215
     NKE11,991+11,991$1,215
ANALOG DEVICES 10,204 +10,204 $1,213
     ADI10,204+10,204$1,213

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

See Details: Top 10 Stocks Held By Retirement Network

Size ($ in 1000's)
At 12/31/2019: $207,714
At 09/30/2019: $0

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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