HoldingsChannel.com
Torch Wealth Management LLC Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
Procter & Gamble 106,513 -601 $11,679
     PG106,513-601$11,679
Ishares Core S&P Mid Cap Etf (IJH) 43,535 +95 $8,457
     IJH43,535+95$8,457
Apple Inc 40,123 -463 $7,941
     AAPL40,123-463$7,941
Ishares Core S&P Small Cap Etf (IJR) 96,820 -695 $7,579
     IJR96,820-695$7,579
Sector Spdr Tech Select (XLK) 57,936 +170 $4,521
     XLK57,936+170$4,521
Disney Walt Co 29,778 -165 $4,158
     DIS29,778-165$4,158
Visa Inc Cl A 22,129 -774 $3,840
     V22,129-774$3,840
Oracle Corporation 65,010 -142 $3,704
     ORCL65,010-142$3,704
Berkshire Hathaway B New      $3,703
     BRK.B9,905-142$2,111
     BRK.A5UNCH$1,592
J.P. Morgan Chase & Co 28,530 -48 $3,190
     JPM28,530-48$3,190
Johnson & Johnson 22,419 -133 $3,122
     JNJ22,419-133$3,122
Ishares Gold Trust (IAU) 226,334 -100 $3,056
     IAU226,334-100$3,056
Nextera Energy Inc 14,166 -75 $2,902
     NEE14,166-75$2,902
Pepsico Incorporated 21,162 UNCH $2,775
     PEP21,162UNCH$2,775
Exxon Mobil Corporation 35,431 -849 $2,715
     XOM35,431-849$2,715
Vanguard FTSE Europe Index Fund ETF Shares (VGK) 48,395 UNCH $2,657
     VGK48,395UNCH$2,657
U S Bancorp Del New 50,675 -97 $2,655
     USB50,675-97$2,655
S P D R S&P 500 Etf Tr (SPY) 9,028 +58 $2,645
     SPY9,028+58$2,645
Wal Mart Stores Inc 22,551 +50 $2,492
     WMT22,551+50$2,492
Microsoft Corp 18,397 +76 $2,464
     MSFT18,397+76$2,464
Humana Inc 8,980 -80 $2,382
     HUM8,980-80$2,382
Chubb Limited 16,148 +75 $2,378
     CB16,148+75$2,378
EPR Properties 31,005 -100 $2,313
     EPR31,005-100$2,313
Ishares Msci Growth Etf (EFG) 28,495 -350 $2,302
     EFG28,495-350$2,302
Abbott Laboratories 27,225 -199 $2,290
     ABT27,225-199$2,290
Merck & Co Inc New 26,418 -146 $2,215
     MRK26,418-146$2,215
Mc Donalds Corp 10,305 -50 $2,140
     MCD10,305-50$2,140
iShares 1 3 Year Credit Bond ETF (IGSB) 38,224 -200 $2,043
     IGSB38,224-200$2,043
Edwards Lifesciences 10,948 UNCH $2,023
     EW10,948UNCH$2,023
Microchip Technology Inc 23,050 -400 $1,998
     MCHP23,050-400$1,998
Pfizer Incorporated 45,018 -286 $1,950
     PFE45,018-286$1,950
Northrop Grumman Co 5,852 -50 $1,891
     NOC5,852-50$1,891
United Technologies Corp 14,374 -150 $1,871
     UTX14,374-150$1,871
Duke Energy Corp New 20,970 -20 $1,850
     DUK20,970-20$1,850
Verizon Communications 31,483 -400 $1,799
     VZ31,483-400$1,799
Invesco Preferred ETF (PGX) 119,957 +20 $1,755
     PGX119,957+20$1,755
TJX Companies Inc 32,928 +100 $1,741
     TJX32,928+100$1,741
Travelers Companies Inc 10,975 -175 $1,641
     TRV10,975-175$1,641
Conocophillips 26,345 -1,515 $1,607
     COP26,345-1,515$1,607
Ishares Nasdaq Bio Etf (IBB) 14,613 -140 $1,594
     IBB14,613-140$1,594
Coresite Realty Corp 13,308 UNCH $1,533
     COR13,308UNCH$1,533
Eli Lilly & Co 13,413 +100 $1,486
     LLY13,413+100$1,486
Occidental Pete Corp 28,862 -3,550 $1,451
     OXY28,862-3,550$1,451
Ishares Tr Msci Eafe (EFA) 21,500 +25 $1,413
     EFA21,500+25$1,413
Fedex Corporation 8,425 -375 $1,383
     FDX8,425-375$1,383
Chevron Corporation 11,044 -50 $1,374
     CVX11,044-50$1,374
Amazon Com Inc 706 -5 $1,337
     AMZN706-5$1,337
Sector Spdr Util Select (XLU) 22,050 UNCH $1,315
     XLU22,050UNCH$1,315
A F L A C Inc 23,500 -100 $1,288
     AFL23,500-100$1,288
Invesco Senior Loan ETF (BKLN) 55,425 -700 $1,256
     BKLN55,425-700$1,256

See Full List: All Stocks Held By Torch Wealth Management LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Torch Wealth Management LLC

Size ($ in 1000's)
At 06/30/2019: $166,716
At 03/31/2019: $161,807

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

Torch Wealth Management LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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