HoldingsChannel.com
Torch Wealth Management LLC Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
Procter & Gamble 107,114 -329 $11,145
     PG107,114-329$11,145
Ishares Core S&P Mid Cap Etf (IJH) 43,440 +617 $8,228
     IJH43,440+617$8,228
Apple Inc 40,586 -535 $7,709
     AAPL40,586-535$7,709
Ishares Core S&P Small Cap Etf (IJR) 97,515 -491 $7,523
     IJR97,515-491$7,523
Sector Spdr Tech Select (XLK) 57,766 +1,468 $4,275
     XLK57,766+1,468$4,275
Visa Inc Cl A 22,903 -1,100 $3,577
     V22,903-1,100$3,577
Berkshire Hathaway B New      $3,524
     BRK.B10,047+225$2,018
     BRK.A5UNCH$1,506
Oracle Corporation 65,152 +220 $3,499
     ORCL65,152+220$3,499
Disney Walt Co 29,943 -412 $3,325
     DIS29,943-412$3,325
Johnson & Johnson 22,552 -107 $3,153
     JNJ22,552-107$3,153
Exxon Mobil Corporation 36,280 +419 $2,931
     XOM36,280+419$2,931
J.P. Morgan Chase & Co 28,578 +751 $2,893
     JPM28,578+751$2,893
Ishares Gold Trust (IAU) 226,434 -5,276 $2,803
     IAU226,434-5,276$2,803
Nextera Energy Inc 14,241 -74 $2,753
     NEE14,241-74$2,753
Vanguard FTSE Europe Index Fund ETF Shares (VGK) 48,395 -125 $2,594
     VGK48,395-125$2,594
Pepsico Incorporated 21,162 +437 $2,593
     PEP21,162+437$2,593
S P D R S&P 500 Etf Tr (SPY) 8,970 +100 $2,534
     SPY8,970+100$2,534
U S Bancorp Del New 50,772 +816 $2,447
     USB50,772+816$2,447
Humana Inc 9,060 -203 $2,410
     HUM9,060-203$2,410
EPR Properties 31,105 -17 $2,392
     EPR31,105-17$2,392
Chubb Limited 16,073 -40 $2,252
     CB16,073-40$2,252
Ishares Msci Growth Etf (EFG) 28,845 -558 $2,234
     EFG28,845-558$2,234
Merck & Co Inc New 26,564 +1,304 $2,209
     MRK26,564+1,304$2,209
Wal Mart Stores Inc 22,501 +326 $2,195
     WMT22,501+326$2,195
Abbott Laboratories 27,424 -412 $2,192
     ABT27,424-412$2,192
Microsoft Corp 18,321 +911 $2,161
     MSFT18,321+911$2,161
Occidental Pete Corp 32,412 +495 $2,146
     OXY32,412+495$2,146
Edwards Lifesciences 10,948 +88 $2,095
     EW10,948+88$2,095
iShares 1 3 Year Credit Bond ETF (IGSB) 38,424 +38,424 $2,030
     IGSB38,424+38,424$2,030
Mc Donalds Corp 10,355 +100 $1,966
     MCD10,355+100$1,966
Microchip Technology Inc 23,450 +250 $1,945
     MCHP23,450+250$1,945
Pfizer Incorporated 45,304 -412 $1,924
     PFE45,304-412$1,924
Duke Energy Corp New 20,990 -508 $1,889
     DUK20,990-508$1,889
Verizon Communications 31,883 +76 $1,885
     VZ31,883+76$1,885
United Technologies Corp 14,524 -55 $1,872
     UTX14,524-55$1,872
Conocophillips 27,860 +925 $1,859
     COP27,860+925$1,859
TJX Companies Inc 32,828 -912 $1,747
     TJX32,828-912$1,747
Invesco Preferred ETF (PGX) 119,937 -981 $1,739
     PGX119,937-981$1,739
Eli Lilly & Co 13,313 +113 $1,727
     LLY13,313+113$1,727
Ishares Nasdaq Bio Etf (IBB) 14,753 +575 $1,649
     IBB14,753+575$1,649
Fedex Corporation 8,800 -80 $1,596
     FDX8,800-80$1,596
Northrop Grumman Co 5,902 -50 $1,591
     NOC5,902-50$1,591
Travelers Companies Inc 11,150 -75 $1,529
     TRV11,150-75$1,529
Coresite Realty Corp 13,308 +138 $1,424
     COR13,308+138$1,424
Ishares Tr Msci Eafe (EFA) 21,475 +100 $1,393
     EFA21,475+100$1,393
Weyerhaeuser Co 52,890 -940 $1,393
     WY52,890-940$1,393
Chevron Corporation 11,094 +100 $1,367
     CVX11,094+100$1,367
Sector Spdr Util Select (XLU) 22,050 UNCH $1,283
     XLU22,050UNCH$1,283
Invesco Senior Loan ETF (BKLN) 56,125 -500 $1,271
     BKLN56,125-500$1,271
Amazon Com Inc 711 +10 $1,266
     AMZN711+10$1,266

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 03/31/2019: $161,807
At 12/31/2018: $139,563

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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