HoldingsChannel.com
WESPAC Advisors SoCal LLC Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
Apple Inc 43,215 +4,974 $8,208
     AAPL43,215+4,974$8,208
Alphabet Inc A 6,772 +200 $7,969
     GOOGL6,772+200$7,969
UnitedHealth Group Inc 30,588 +693 $7,563
     UNH30,588+693$7,563
Microsoft Corp 61,991 +3,795 $7,311
     MSFT61,991+3,795$7,311
Johnson Johnson 51,620 +892 $7,216
     JNJ51,620+892$7,216
Walt Disney Co 61,722 +1,572 $6,853
     DIS61,722+1,572$6,853
Intel Corp 125,867 +1,650 $6,759
     INTC125,867+1,650$6,759
Honeywell Inc 41,565 -117 $6,605
     HON41,565-117$6,605
Waste Management Inc 62,327 -1,584 $6,476
     WM62,327-1,584$6,476
Cisco Systems Inc 119,772 +34,747 $6,466
     CSCO119,772+34,747$6,466
Home Depot Inc 30,427 +3,591 $5,838
     HD30,427+3,591$5,838
Royal Dutch Shell Plc ADR A      $5,794
     RDS.A92,583+1,508$5,794
Automatic Data Processing Inc 35,290 +34,795 $5,637
     ADP35,290+34,795$5,637
Comcast Corp A 137,732 +4,436 $5,506
     CMCSA137,732+4,436$5,506
JPMorgan Chase Co 52,579 +331 $5,322
     JPM52,579+331$5,322
United Parcel Service B 41,640 +215 $4,652
     UPS41,640+215$4,652
MDU Resources Group Inc 178,920 +58,470 $4,621
     MDU178,920+58,470$4,621
Bank of New York Mellon 90,255 +14,095 $4,551
     BK90,255+14,095$4,551
Kinder Morgan Inc 224,725 +224,725 $4,496
     KMI224,725+224,725$4,496
Intercontinental Exchange (ICE) 58,048 +1,923 $4,419
     ICE58,048+1,923$4,419
Verizon Communications 74,581 +73,350 $4,410
     VZ74,581+73,350$4,410
Amgen Inc 19,964 -4,867 $3,792
     AMGN19,964-4,867$3,792
Canadian Imperial Bank of Commerce 47,590 +20 $3,762
     CM47,590+20$3,762
Facebook Inc 13,907 -65 $2,318
     FB13,907-65$2,318
Amazon.com Inc 1,252 +20 $2,229
     AMZN1,252+20$2,229
Intuitive Surgical Inc 3,482 +322 $1,986
     ISRG3,482+322$1,986
Visa Inc 12,115 +1,311 $1,892
     V12,115+1,311$1,892
Booking Holdings Inc 698 +287 $1,217
     BKNG698+287$1,217
Alibaba Group Holding Ltd ADR 6,639 +325 $1,211
     BABA6,639+325$1,211
Lockheed Martin Corp 3,753 -115 $1,126
     LMT3,753-115$1,126
NASDAQ OMX Group Inc 12,865 +365 $1,125
     NDAQ12,865+365$1,125
NVIDIA Corp 6,248 -8,949 $1,121
     NVDA6,248-8,949$1,121
Adobe systems Inc 4,121 +3,845 $1,098
     ADBE4,121+3,845$1,098
Costco Wholesale Corp 4,510 -225 $1,092
     COST4,510-225$1,092
Danaher Corp 7,708 +3,023 $1,017
     DHR7,708+3,023$1,017
Devon Energy Corp 30,400 +14,950 $959
     DVN30,400+14,950$959
Cabot Microelectronics Corp 8,450 +6,850 $946
     CCMP8,450+6,850$946
Berkshire Hathaway B      $904
     BRK.B4,500+180$904
AbbVie Inc 10,296 -825 $829
     ABBV10,296-825$829
Centene Corp 15,105 +15,105 $802
     CNC15,105+15,105$802
Kansas City Southern 6,675 -400 $774
     KSU6,675-400$774
Bank of America Corp 27,030 +10,381 $745
     BAC27,030+10,381$745
ConocoPhillips 11,125 +11,125 $742
     COP11,125+11,125$742
Salesforce.com 4,461 +4,305 $706
     CRM4,461+4,305$706
Toro Co 10,000 -875 $688
     TTC10,000-875$688
Netflix Inc 1,910 +35 $681
     NFLX1,910+35$681
Amphenol Corp 7,125 -600 $672
     APH7,125-600$672
Invesco S P 500 Eql Wght 6,370 +2,420 $665
     RSP6,370+2,420$665
Kaiser Aluminum Corp 5,590 -225 $585
     KALU5,590-225$585
Church Dwight Co Inc 8,175 -600 $582
     CHD8,175-600$582

See Full List: All Stocks Held By WESPAC Advisors SoCal LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By WESPAC Advisors SoCal LLC

Size ($ in 1000's)
At 03/31/2019: $180,751
At 12/31/2018: $158,403

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

WESPAC Advisors SoCal LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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