HoldingsChannel.com
All Stocks Held By Moody Lynn & Lieberson LLC
As of  12/31/2019
   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
MICROSOFT CORP 310,955 +7,194 $49,038
     MSFT310,955+7,194$49,038
MASTERCARD INC CL A 143,481 -2,798 $42,842
     MA143,481-2,798$42,842
J.P. MORGAN CHASE & CO 252,551 +14,891 $35,206
     JPM252,551+14,891$35,206
ALPHABET CLASS A 21,004 +1,576 $28,133
     GOOGL21,004+1,576$28,133
SPDR GOLD TRUST GOLD SHS (IAU) 187,221 -35,874 $27,894
     IAU187,221-35,874$27,894
ABBOTT LABS 319,415 +976 $27,744
     ABT319,415+976$27,744
BROADCOM INC COM 83,682 +3,774 $26,445
     AVGO83,682+3,774$26,445
THERMO ELECTRON CORP 77,312 +1,900 $25,116
     TMO77,312+1,900$25,116
BRISTOL MYERS SQUIBB CO 338,817 +150,379 $21,749
     BMY338,817+150,379$21,749
RAYTHEON CO 94,130 -165 $20,684
     RTN94,130-165$20,684
ALIBABA GROUP HLDG LTD SPONSOR 90,121 +47,645 $19,115
     BABA90,121+47,645$19,115
BERKSHIRE HATHAWAY INC DEL CL      $18,985
     BRK.B82,317+627$18,645
     BRK.A1UNCH$340
SPDR TR UNIT SER 1 (SPY) 56,589 +3,663 $18,214
     SPY56,589+3,663$18,214
COCA COLA CO 321,517 +3,257 $17,796
     KO321,517+3,257$17,796
VISA INC COM CL A 91,572 -2,208 $17,206
     V91,572-2,208$17,206
APPLE INC. 58,434 +3,904 $17,159
     AAPL58,434+3,904$17,159
BANK OF AMERICA 471,988 +201,572 $16,623
     BAC471,988+201,572$16,623
LAUDER ESTEE COS INC CL A 80,241 -5,687 $16,573
     EL80,241-5,687$16,573
WASTE MANAGEMENT INC 143,722 -1,513 $16,379
     WM143,722-1,513$16,379
UNITED TECHNOLOGIES CORP 109,230 +24,918 $16,358
     UTX109,230+24,918$16,358
SYSCO CORPORATION 189,225 -1,703 $16,186
     SYY189,225-1,703$16,186
AMAZON COM INC COM 8,593 +759 $15,878
     AMZN8,593+759$15,878
STRYKER CORP 74,775 -16,589 $15,698
     SYK74,775-16,589$15,698
PAYCOM SOFTWARE INC 57,640 -4,685 $15,261
     PAYC57,640-4,685$15,261
BLACKSTONE GROUP INC COM CL A 261,656 +163,163 $14,637
     BX261,656+163,163$14,637
PROCTER & GAMBLE COMPANY 116,332 +16,816 $14,530
     PG116,332+16,816$14,530
HOME DEPOT INC 65,529 +10,105 $14,310
     HD65,529+10,105$14,310
LOCKHEED MARTIN CORP 35,514 -1,225 $13,828
     LMT35,514-1,225$13,828
INGERSOLL RAND PLC 103,839 +96,196 $13,802
     IR103,839+96,196$13,802
CHEVRONTEXACO CORPORATION 112,541 -9,449 $13,562
     CVX112,541-9,449$13,562
PAYPAL HLDGS INC COM 111,674 -129 $12,080
     PYPL111,674-129$12,080
TEXAS INSTRUMENTS INC 93,791 -55,595 $12,032
     TXN93,791-55,595$12,032
LINDE PLC COM 54,906 +41,033 $11,689
     LIN54,906+41,033$11,689
JOHNSON & JOHNSON 72,039 -8,873 $10,508
     JNJ72,039-8,873$10,508
CHUBB LIMITED COM 63,068 -2,358 $9,817
     CB63,068-2,358$9,817
V F CORP 98,470 +5,751 $9,814
     VFC98,470+5,751$9,814
DIAGEO PLC 51,674 -22,910 $8,703
     DEO51,674-22,910$8,703
HEALTHEQUITY INC COM 113,748 -58,585 $8,425
     HQY113,748-58,585$8,425
EXTRA SPACE STORAGE INC COM 79,508 -18,684 $8,398
     EXR79,508-18,684$8,398
UNION PAC CORP 45,509 +1,114 $8,228
     UNP45,509+1,114$8,228
ADOBE SYS INC 24,384 +1,211 $8,042
     ADBE24,384+1,211$8,042
TRAVELERS COMPANIES INC 55,794 -1,376 $7,641
     TRV55,794-1,376$7,641
BLACKSTONE MTG TR INC COM CL A 200,527 -6,207 $7,464
     BXMT200,527-6,207$7,464
ILLINOIS TOOL WORKS INC 40,280 +32,035 $7,235
     ITW40,280+32,035$7,235
MCDONALDS CORP 35,700 +18 $7,055
     MCD35,700+18$7,055
MATTHEWS ASIAN FDS EMRASIA INS      $7,010
     MUTUAL FUNDS577,868+13,298$7,010
ISHARES TR RUSSELL 2000 VA (IWN) 54,252 -5,412 $6,976
     IWN54,252-5,412$6,976
NVIDIA CORP 29,278 +29,278 $6,889
     NVDA29,278+29,278$6,889
MERCK & COMPANY 73,449 +5,224 $6,680
     MRK73,449+5,224$6,680
PPG INDS INC 45,367 +45,367 $6,056
     PPG45,367+45,367$6,056
EMERSON ELEC CO 78,552 +70,202 $5,990
     EMR78,552+70,202$5,990
ISHARES TR RSSLL 2000 INDX (IWM) 35,724 -44,714 $5,918
     IWM35,724-44,714$5,918
FACEBOOK INC CL A 28,827 +1,656 $5,917
     FB28,827+1,656$5,917
VERTEX PHARMACEUTICALS INC 26,165 +26,165 $5,729
     VRTX26,165+26,165$5,729
MEDTRONIC PLC 49,266 +47,022 $5,589
     MDT49,266+47,022$5,589
AMGEN INC 23,099 +23,099 $5,568
     AMGN23,099+23,099$5,568
INTUIT INC 21,011 -2,385 $5,503
     INTU21,011-2,385$5,503
ARROWHEAD PHARMACEUTICALS INCO 80,450 +14,200 $5,103
     ARWR80,450+14,200$5,103
FREEPORT MCMORAN COPPER&GOLDCL 373,170 +373,170 $4,896
     FCX373,170+373,170$4,896
PERFORMANCE FOOD GROUP CO COM 94,260 +20,272 $4,853
     PFGC94,260+20,272$4,853
FISERV INC 41,277 -3,850 $4,773
     FISV41,277-3,850$4,773
SALESFORCE.COM INC 29,277 -12,404 $4,762
     CRM29,277-12,404$4,762
DISNEY WALT PRODUCTIONS 32,495 -14,444 $4,700
     DIS32,495-14,444$4,700
GLOBAL PMTS INC COM 25,374 -7,066 $4,632
     GPN25,374-7,066$4,632
VANGUARD EMERGING MKTS ETF (VWO) 102,433 +102,433 $4,555
     VWO102,433+102,433$4,555
CISCO SYS INC 93,718 -107,564 $4,495
     CSCO93,718-107,564$4,495
REGENERON PHARMACEUTICALS COM 11,944 +11,944 $4,485
     REGN11,944+11,944$4,485
EDWARDS LIFESCIENCES CORP 17,526 -11,349 $4,089
     EW17,526-11,349$4,089
FIDELITY NATIONAL INFORMATION 27,537 -5,387 $3,830
     FIS27,537-5,387$3,830
ISHARES TR MSCI EAFE INDEX (EFA) 53,639 +53,639 $3,725
     EFA53,639+53,639$3,725
VERIZON COMMUNICATIONS 60,022 +7,679 $3,685
     VZ60,022+7,679$3,685
INTUITIVE SURGICAL INC COM NEW 6,217 +18 $3,675
     ISRG6,217+18$3,675
PHILLIPS 66 COM 32,829 -6,794 $3,657
     PSX32,829-6,794$3,657
ALPHABET CLASS C 2,706 +276 $3,618
     GOOG2,706+276$3,618
ROYAL DUTCH SHELL PLC SPON ADR      $3,570
     RDS.B55,601+55,601$3,334
     RDS.A4,000UNCH$236
ALNYLAM PHARMACEUTICALS INC CO 29,663 +29,663 $3,416
     ALNY29,663+29,663$3,416
HONEYWELL INTERNATIONAL INC. 17,922 +16,685 $3,172
     HON17,922+16,685$3,172
PALO ALTO NETWORKS INC COM 13,296 +9,565 $3,075
     PANW13,296+9,565$3,075
AUTOMATIC DATA PROCESSING 18,027 +1,758 $3,074
     ADP18,027+1,758$3,074
WISDOMTREE TRUST INDIA ERNGS F 122,974 -127 $3,061
     EPI122,974-127$3,061
ADVANCED MICRO DEVICES 65,864 +65,864 $3,021
     AMD65,864+65,864$3,021
VANECK VECTORS GOLD MINERS ETF (GDX) 98,485 -95,685 $2,884
     GDX98,485-95,685$2,884
SPDR FD FINANCIAL (XLF) 87,546 -257,093 $2,695
     XLF87,546-257,093$2,695
CABOT OIL & GAS CORP 153,315 -6,000 $2,669
     COG153,315-6,000$2,669
IDEXX LABORATORIES CORP 9,934 -20,950 $2,594
     IDXX9,934-20,950$2,594
ISHARES TR RUSSELL 2000 GR (IWO) 12,039 UNCH $2,579
     IWO12,039UNCH$2,579
UNITEDHEALTH GROUP INC 8,735 +74 $2,568
     UNH8,735+74$2,568
CHURCH & DWIGHT CO 34,433 +4,984 $2,422
     CHD34,433+4,984$2,422
ACCENTURE PLC 10,175 +1,312 $2,143
     ACN10,175+1,312$2,143
PEPSICO INC 15,682 +164 $2,143
     PEP15,682+164$2,143
EXXON MOBIL CORP 29,231 -74 $2,040
     XOM29,231-74$2,040
IOVANCE BIOTHERAPEUTICS INC CO 71,735 +58,140 $1,986
     IOVA71,735+58,140$1,986
CUMMINS ENGINE INC 10,474 -95 $1,874
     CMI10,474-95$1,874
PFIZER INC 47,287 -368 $1,853
     PFE47,287-368$1,853
L3 HARRIS TECHNOLOGIES INC COM 8,429 -16,070 $1,668
     LHX8,429-16,070$1,668
NIKE INC CLASS B 15,627 +98 $1,583
     NKE15,627+98$1,583
INTEL CORP 26,422 +763 $1,581
     INTC26,422+763$1,581
MODERNA INC COM 80,820 +80,820 $1,581
     MRNA80,820+80,820$1,581
RYMAN HOSPITALITY PPTYS INC CO 18,138 -666 $1,572
     RHP18,138-666$1,572
DICERNA PHARMACEUTICALS INC CO 65,515 +65,515 $1,443
     DRNA65,515+65,515$1,443
AMERICAN TOWER REIT COM 6,167 -16,878 $1,417
     AMT6,167-16,878$1,417
SPDR S&P MIDCAP 400 ETF TR (MDY) 3,652 -90 $1,371
     MDY3,652-90$1,371
SPDR SERIES TRST METALS & MINI (XME) 46,395 +46,395 $1,359
     XME46,395+46,395$1,359
SPDR DOW JONES INDL AVRG ETF (DIA) 4,731 UNCH $1,349
     DIA4,731UNCH$1,349
ISHARES TR NASDAQ BIOTECH (IBB) 10,825 UNCH $1,305
     IBB10,825UNCH$1,305
U S BANCORP 20,641 +331 $1,224
     USB20,641+331$1,224
VANGUARD INDEX FDS 500INDEX AD      $1,220
     MUTUAL FUNDS4,093+4,093$1,220
CITIGROUP INC 15,105 +15,105 $1,207
     C15,105+15,105$1,207
NESTLE S A ADR 11,077 +1,242 $1,199
     NSRGY11,077+1,242$1,199
ALTRIA GROUP INC 23,474 +815 $1,172
     MO23,474+815$1,172
NORTHROP GRUMMAN CORP 3,351 +16 $1,153
     NOC3,351+16$1,153
HDFC BANK LTD ADR REPS 3 SHS 17,958 UNCH $1,138
     HDB17,958UNCH$1,138
A T & T INC 29,064 +995 $1,136
     T29,064+995$1,136
BLACKROCK INC CL A 2,128 +536 $1,070
     BLK2,128+536$1,070
DANAHER CORP 6,637 +3,039 $1,019
     DHR6,637+3,039$1,019
VANGUARD INDEX TR STK MRK VIPE (VTI) 5,941 -339 $972
     VTI5,941-339$972
TENCENT HLDGS LTD ADR 19,920 +849 $960
     COM19,920+849$960
NEXTERA ENERGY INC COM 3,811 +613 $923
     NEE3,811+613$923
STATE STREET CORP 11,600 +11,600 $918
     STT11,600+11,600$918
DOVER CORP 7,949 -400 $916
     DOV7,949-400$916
3M COMPANY 4,930 UNCH $870
     MMM4,930UNCH$870
AMPHENOL CORP NEW CL A 8,000 UNCH $866
     APH8,000UNCH$866
PUBLIC STORAGE INC 4,000 UNCH $852
     PSA4,000UNCH$852
VANGUARD DIVIDEND APPRCTN FD (VIG) 6,785 UNCH $846
     VIG6,785UNCH$846
ISHARES TR S&P MIDCAP 400 (IJH) 4,050 +1,028 $834
     IJH4,050+1,028$834
M&T BANK CORP 4,667 +47 $792
     MTB4,667+47$792
METTLER TOLEDO INTERNATIONALCO 944 -95 $749
     MTD944-95$749
STARBUCKS CORP COM 8,332 +124 $733
     SBUX8,332+124$733
WATSCO INC COM 4,062 +4,062 $732
     WSO4,062+4,062$732
CABOT CORP. 15,000 UNCH $713
     CBT15,000UNCH$713
MSCI INC COM 2,737 -1,130 $707
     MSCI2,737-1,130$707
REPUBLIC SVCS INC COM 7,866 -530 $705
     RSG7,866-530$705
SPLUNK INC COM 4,656 -239 $697
     SPLK4,656-239$697
ROYAL CARIBBEAN CRUISES LTD CO 5,129 -395 $685
     RCL5,129-395$685
PERKIN ELMER INC 6,842 -575 $664
     PKI6,842-575$664
PNM RES INC COM 13,015 -845 $660
     PNM13,015-845$660
AIR PRODS & CHEMS INC 2,784 -4,985 $654
     APD2,784-4,985$654
WAL MART STORES INC 5,327 +217 $633
     WMT5,327+217$633
SERVICENOW INC COM 2,149 -76 $607
     NOW2,149-76$607
SKYWORKS SOLUTIONS INC COM 4,994 -330 $604
     SWKS4,994-330$604
HARRIS ASSOC INVT TR OAKMARK I      $600
     MUTUAL FUNDS24,056UNCH$600
UNDER ARMOUR INC CL C 31,300 -34 $600
     UA31,300-34$600
ECOLAB INC 3,024 +3,024 $584
     ECL3,024+3,024$584
SS&C TECHNOLOGIES HLDGS INC CO 9,476 -545 $582
     SSNC9,476-545$582
TJX COMPANIES INC 9,456 +9,456 $577
     TJX9,456+9,456$577
PARKER HANNIFIN CORP 2,795 -160 $575
     PH2,795-160$575
ISHARES TR S&P 500 INDEX (IVV) 1,775 UNCH $574
     IVV1,775UNCH$574
NETFLIX COM INC 1,772 -81 $573
     NFLX1,772-81$573
TRUIST FINANCIAL CORPORATION C 10,146 +10,146 $571
     TFC10,146+10,146$571
YUM BRANDS INC COM 5,555 -285 $560
     YUM5,555-285$560
TAKE TWO INTERACTIVE SOFTWARCO 4,550 -940 $557
     TTWO4,550-940$557
QUANTA SVCS INC COM 13,643 -980 $555
     PWR13,643-980$555
SELECT SECTOR SPDR TR SBI HEAL (XLV) 5,430 UNCH $553
     XLV5,430UNCH$553
CURTISS WRIGHT CORP COM 3,853 -235 $543
     CW3,853-235$543
AMERICAN FINL GROUP INC OHIOCO 4,887 -290 $536
     AFG4,887-290$536
GRAINGER W W INC 1,550 UNCH $525
     GWW1,550UNCH$525
EURONET WORLDWIDE INC COM 3,326 -185 $524
     EEFT3,326-185$524
TRANSDIGM GROUP INC COM 917 -123 $514
     TDG917-123$514
DOMINION RES INC VA NEW 6,050 -215 $501
     D6,050-215$501
COPART INC COM 5,243 +5,243 $477
     CPRT5,243+5,243$477
VANGUARD INTL EQUITY INDEX FAL (VEU) 8,552 UNCH $460
     VEU8,552UNCH$460
BALL CORP COM 6,979 -385 $451
     BLL6,979-385$451
COLGATE PALMOLIVE CO 6,372 UNCH $439
     CL6,372UNCH$439
PNC FINANCIAL CORP 2,743 +71 $438
     PNC2,743+71$438
MAGELLAN MIDSTREAM PARTNERS LP 6,924 UNCH $435
     MMP6,924UNCH$435
NOVARTIS AG ADR SPONSORED 4,507 +79 $427
     NVS4,507+79$427
ONEOK INC NEW COM 5,575 -5 $422
     OKE5,575-5$422
SERVICEMASTER GLOBAL HLDGS ICO 10,797 -790 $417
     SERV10,797-790$417
PINNACLE FINL PARTNERS INC COM 6,458 -385 $413
     PNFP6,458-385$413
WEC ENERGY GROUP INC 4,429 +69 $408
     WEC4,429+69$408
CIGNA CORP NEW 1,972 -86 $403
     CI1,972-86$403
KINDER MORGAN INC DEL COM 18,529 UNCH $392
     KMI18,529UNCH$392
SVB FINL GROUP COM 1,560 +11 $392
     SIVB1,560+11$392
ISHARES TR DJ SEL DIV INDX (DVY) 3,660 UNCH $387
     DVY3,660UNCH$387
GENUINE PARTS CO 3,512 +348 $373
     GPC3,512+348$373
SIMON PPTY GROUP INC NEW COM 2,500 UNCH $372
     SPG2,500UNCH$372
ALLSTATE CORP 3,260 +3,260 $367
     ALL3,260+3,260$367
LEAR CORP COM NEW 2,659 -165 $365
     LEA2,659-165$365
FORTIVE CORP 4,544 +4,544 $347
     FTV4,544+4,544$347
BROWN FORMAN CORP CL B      $335
     BF.B4,954-478$335
FIDELITY ADVISOR NEW INSIGHTS      $331
     MUTUAL FUNDS10,062UNCH$331
EOG RESOURCES INC. 3,870 UNCH $324
     EOG3,870UNCH$324
ANALOG DEVICES INC 2,714 +2,714 $323
     ADI2,714+2,714$323
HUBSPOT INC 2,014 -3,780 $319
     HUBS2,014-3,780$319
BNY MELLON FDS TR MIDCP STK IN      $307
     MUTUAL FUNDS17,029UNCH$307
TORO CO 3,545 +3,545 $282
     TTC3,545+3,545$282
CERNER CORP 3,814 +3,814 $280
     CERN3,814+3,814$280
BECTON DICKINSON & CO 1,019 UNCH $277
     BDX1,019UNCH$277
FIRST REP BK SAN FRAN CALI NCO 2,358 +207 $277
     FRC2,358+207$277
COGNIZANT TECHNOLOGY SOLUTIOCL 4,440 UNCH $275
     CTSH4,440UNCH$275
WATERS CORP 1,175 -170 $275
     WAT1,175-170$275
GILEAD SCIENCES 4,040 +4,040 $263
     GILD4,040+4,040$263
ISHARES TR S&P SMALLCAP600 (IJR) 3,063 -42 $257
     IJR3,063-42$257
ISHARES TR MSCI EMERG MKT (EEM) 5,700 UNCH $256
     EEM5,700UNCH$256
UNILEVER N V WI 4,280 -350 $246
     UN4,280-350$246
COSTCO WHSL CORP NEW 824 +824 $242
     COST824+824$242
SMUCKER J M CO 2,289 UNCH $238
     SJM2,289UNCH$238
HENRY JACK & ASSOC INC COM 1,446 +1,446 $211
     JKHY1,446+1,446$211
LAM RESEARCH CORP 710 +710 $208
     LRCX710+710$208
CHECK PT SOFTWARE TECH LTD ORD 1,850 UNCH $205
     CHKP1,850UNCH$205
AMERICAN ELECTRIC POWER 2,123 +2,123 $201
     AEP2,123+2,123$201
CITRIX SYSTEMS 1,800 +1,800 $200
     CTXS1,800+1,800$200
FIDELITY CONTRAFUND INC      $153
     MUTUAL FUNDS11,154UNCH$153
BLACKROCK MUNIVEST FD INC COM 12,000 UNCH $109
     MVF12,000UNCH$109
FEDERATED EQUITY FDS KAUFMANN 13,204 +0 $79
     MUTUAL FUNDS13,204UNCH$79
BB&T CORP COM $0 (exited)
     BBT0-10,000$0
BOSTON SCIENTIFIC CORP COM $0 (exited)
     BSX0-14,170$0
ISHARES TR RUSSL 1000 GRWT $0 (exited)
     IWF0-1,371$0
KIRKLAND LAKE GOLD LTD COM $0 (exited)
     KL0-123,535$0
MOTOROLA INC COM NEW $0 (exited)
     MSI0-18,505$0
UNDER ARMOUR INC $0 (exited)
     UAA0-54,126$0
VANGUARD INDEX FDS 500INDEX AD $0 (exited)
     MUTUAL FUNDS0-4,093$0
SELECT SECTOR SPDR TR SBI INT 0 -84,365 $0 (exited)
     XLI0-84,365$0

See Summary: Moody Lynn & Lieberson LLC Top Holdings
See Details: Top 10 Stocks Held By Moody Lynn & Lieberson LLC

EntityShares/Amount
Change
Position Value
Change
NVDA +29,278+$6,889
PPG +45,367+$6,056
VRTX +26,165+$5,729
AMGN +23,099+$5,568
FCX +373,170+$4,896
VWO +102,433+$4,555
REGN +11,944+$4,485
EFA +53,639+$3,725
ALNY +29,663+$3,416
AMD +65,864+$3,021
EntityShares/Amount
Change
Position Value
Change
XLI -84,365-$6,549
KL -123,535-$5,534
MSI -18,505-$3,153
VNQ -4,093-$1,124
UAA -54,126-$1,079
BSX -14,170-$577
BBT -10,000-$534
IWF -1,371-$219
EntityShares/Amount
Change
Position Value
Change
BAC +201,572+$8,735
BX +163,163+$9,827
BMY +150,379+$12,193
IR +96,196+$12,860
EMR +70,202+$5,432
IOVA +58,140+$1,739
RDS +55,601+$3,335
BABA +47,645+$12,012
MDT +47,022+$5,345
LIN +41,033+$9,002
EntityShares/Amount
Change
Position Value
Change
XLF -257,093-$6,955
CSCO -107,564-$5,450
GDX -95,685-$2,302
HQY -58,585-$1,423
TXN -55,595-$7,275
IWM -44,714-$6,255
IAU -35,874-$3,754
DEO -22,910-$3,493
IDXX -20,950-$5,804
Size ($ in 1000's)
At 12/31/2019: $1,036,600
At 09/30/2019: $895,678

Moody Lynn & Lieberson LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Moody Lynn & Lieberson LLC 13F filings. Link to 13F filings: SEC filings

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