HoldingsChannel.com
All Stocks Held By TCF National Bank
As of  09/30/2019
   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
TCF Financial Corp 1,037,598 +1,037,598 $39,502
     TCF1,037,598+1,037,598$39,502
Dupont De Nemours Inc 425,387 +425,387 $30,334
     DD425,387+425,387$30,334
Dow Inc 434,368 +434,368 $20,698
     DOW434,368+434,368$20,698
Apple Inc 83,686 +83,686 $18,743
     AAPL83,686+83,686$18,743
Microsoft Corp 106,808 +106,808 $14,850
     MSFT106,808+106,808$14,850
JP Morgan Chase & Co 124,829 +124,829 $14,691
     JPM124,829+124,829$14,691
Johnson & Johnson 110,974 +110,974 $14,358
     JNJ110,974+110,974$14,358
Automatic Data Processing Inc 76,315 +76,315 $12,319
     ADP76,315+76,315$12,319
Procter & Gamble Co 94,639 +94,639 $11,771
     PG94,639+94,639$11,771
United Technologies Corp 83,106 +83,106 $11,346
     UTX83,106+83,106$11,346
Corteva Inc 394,674 +394,674 $11,051
     CTVA394,674+394,674$11,051
Intel Corp 214,357 +214,357 $11,046
     INTC214,357+214,357$11,046
Abbott Labs 130,213 +130,213 $10,895
     ABT130,213+130,213$10,895
Vanguard Short Term Corp Bond (VCSH) 132,191 +132,191 $10,714
     VCSH132,191+132,191$10,714
Fiserv Inc 101,095 +101,095 $10,472
     FISV101,095+101,095$10,472
McDonalds Corp 47,461 +47,461 $10,191
     MCD47,461+47,461$10,191
Amazon.Com Inc 5,729 +5,729 $9,945
     AMZN5,729+5,729$9,945
Disney Walt Co New 75,454 +75,454 $9,833
     DIS75,454+75,454$9,833
Pepsico Inc 70,969 +70,969 $9,729
     PEP70,969+70,969$9,729
Alphabet Inc Cl A 7,791 +7,791 $9,514
     GOOGL7,791+7,791$9,514
Exxonmobil Corp 132,735 +132,735 $9,372
     XOM132,735+132,735$9,372
Chevron Corporation 77,043 +77,043 $9,137
     CVX77,043+77,043$9,137
Vanguard Inter Term Corp Bond (VCIT) 97,197 +97,197 $8,869
     VCIT97,197+97,197$8,869
Abbvie Inc 115,998 +115,998 $8,783
     ABBV115,998+115,998$8,783
Home Depot Inc 37,088 +37,088 $8,605
     HD37,088+37,088$8,605
Vanguard Ind Fd Mid Cap (VO) 50,907 +50,907 $8,532
     VO50,907+50,907$8,532
Ishares Core S&P 500 Etf (IVV) 28,320 +28,320 $8,454
     IVV28,320+28,320$8,454
Spdr S&P 500 Etf Trust (SPY) 26,167 +26,167 $7,766
     SPY26,167+26,167$7,766
AT&T Inc 199,919 +199,919 $7,565
     T199,919+199,919$7,565
Merck & Co Inc 88,644 +88,644 $7,462
     MRK88,644+88,644$7,462
Pfizer Inc 207,059 +207,059 $7,440
     PFE207,059+207,059$7,440
Cisco Systems Inc 148,310 +148,310 $7,328
     CSCO148,310+148,310$7,328
Verizon Communications 119,900 +119,900 $7,237
     VZ119,900+119,900$7,237
American Express Co 61,016 +61,016 $7,217
     AXP61,016+61,016$7,217
Visa Inc Cl A 37,871 +37,871 $6,514
     V37,871+37,871$6,514
Ishares Msci Eafe Etf (EFA) 99,433 +99,433 $6,484
     EFA99,433+99,433$6,484
Accenture Plc Cl A 32,435 +32,435 $6,238
     ACN32,435+32,435$6,238
Vanguard Ftse Emerging Markets (VWO) 153,704 +153,704 $6,189
     VWO153,704+153,704$6,189
Vanguard Small Cap Etf (VB) 40,038 +40,038 $6,162
     VB40,038+40,038$6,162
Coca Cola Co 107,743 +107,743 $5,865
     KO107,743+107,743$5,865
Boeing Co 14,826 +14,826 $5,640
     BA14,826+14,826$5,640
Nextera Energy Inc 22,573 +22,573 $5,259
     NEE22,573+22,573$5,259
Broadcom Inc 18,847 +18,847 $5,203
     AVGO18,847+18,847$5,203
Union Pac Corp 31,932 +31,932 $5,173
     UNP31,932+31,932$5,173
Ishares S&P Midcap 400 Grwth E (IJK) 22,303 +22,303 $4,993
     IJK22,303+22,303$4,993
Walmart Inc 40,571 +40,571 $4,815
     WMT40,571+40,571$4,815
Stryker Corporation 21,874 +21,874 $4,732
     SYK21,874+21,874$4,732
Lowes Cos Inc 40,952 +40,952 $4,504
     LOW40,952+40,952$4,504
Nike Inc Class B 46,601 +46,601 $4,377
     NKE46,601+46,601$4,377
Technology Select Sect Spdr (XLK) 54,321 +54,321 $4,375
     XLK54,321+54,321$4,375
Honeywell International Inc 25,517 +25,517 $4,317
     HON25,517+25,517$4,317
Financial Select Sector Spdr (XLF) 153,486 +153,486 $4,298
     XLF153,486+153,486$4,298
CVS Health Corp 65,942 +65,942 $4,159
     CVS65,942+65,942$4,159
Invesco QQQ Trust Series 1 21,905 +21,905 $4,136
     QQQ21,905+21,905$4,136
Genuine Parts Co 40,580 +40,580 $4,041
     GPC40,580+40,580$4,041
Ishares S&P Midcap 400 Value E (IJJ) 24,097 +24,097 $3,853
     IJJ24,097+24,097$3,853
Simon Property Group Inc Reit 23,475 +23,475 $3,654
     SPG23,475+23,475$3,654
Thermo Fisher Scientific Inc 12,494 +12,494 $3,639
     TMO12,494+12,494$3,639
Caterpillar Inc 28,566 +28,566 $3,608
     CAT28,566+28,566$3,608
Emerson Elec Co 53,851 +53,851 $3,601
     EMR53,851+53,851$3,601
Royal Dutch Shell Spons Adr      $3,582
     RDS.A60,856+60,856$3,582
Salesforce.Com 23,627 +23,627 $3,507
     CRM23,627+23,627$3,507
Oracle Corporation 62,193 +62,193 $3,423
     ORCL62,193+62,193$3,423
Constellation Brands Inc 16,388 +16,388 $3,397
     STZ16,388+16,388$3,397
Allstate Corp 31,182 +31,182 $3,389
     ALL31,182+31,182$3,389
Utilities Select Sector Spdr (XLU) 47,701 +47,701 $3,088
     XLU47,701+47,701$3,088
Unitedhealth Group Inc 14,192 +14,192 $3,084
     UNH14,192+14,192$3,084
Ishares Russell 2000 Etf (IWM) 20,377 +20,377 $3,083
     IWM20,377+20,377$3,083
Vanguard Financials Etf (VFH) 43,109 +43,109 $3,018
     VFH43,109+43,109$3,018
Altria Group Inc 73,007 +73,007 $2,986
     MO73,007+73,007$2,986
Texas Instruments Inc 22,972 +22,972 $2,969
     TXN22,972+22,972$2,969
Amgen Inc 15,091 +15,091 $2,921
     AMGN15,091+15,091$2,921
Costco Wholesale Corp 9,959 +9,959 $2,869
     COST9,959+9,959$2,869
General Mls Inc 50,057 +50,057 $2,759
     GIS50,057+50,057$2,759
Lockheed Martin Corp 7,065 +7,065 $2,756
     LMT7,065+7,065$2,756
Vanguard Growth Etf (VUG) 15,992 +15,992 $2,659
     VUG15,992+15,992$2,659
Vanguard Value Etf (VTV) 23,513 +23,513 $2,625
     VTV23,513+23,513$2,625
Berkshire Hathaway Inc Cl B      $2,600
     BRK.B9,496+9,496$1,976
     BRK.A2+2$624
Alphabet Inc Cl C 2,106 +2,106 $2,567
     GOOG2,106+2,106$2,567
Darden Restaurants Inc 21,626 +21,626 $2,557
     DRI21,626+21,626$2,557
Danaher Corp 17,598 +17,598 $2,541
     DHR17,598+17,598$2,541
Intercontinental Exchange Inc (ICE) 26,531 +26,531 $2,448
     ICE26,531+26,531$2,448
Target Corp 22,211 +22,211 $2,375
     TGT22,211+22,211$2,375
Vanguard Msci Eafe Etf (VEA) 57,596 +57,596 $2,366
     VEA57,596+57,596$2,366
Paypal Holdings Inc 22,821 +22,821 $2,364
     PYPL22,821+22,821$2,364
Enterprise Prods Partners Lp 81,634 +81,634 $2,333
     EPD81,634+81,634$2,333
Microchip Technology Inc 25,024 +25,024 $2,325
     MCHP25,024+25,024$2,325
Vanguard Real Estate Etf (VNQ) 24,683 +24,683 $2,301
     VNQ24,683+24,683$2,301
V.F. Corp 25,790 +25,790 $2,295
     VFC25,790+25,790$2,295
Qualcomm Inc 30,066 +30,066 $2,293
     QCOM30,066+30,066$2,293
Waste Management Inc 19,860 +19,860 $2,283
     WM19,860+19,860$2,283
Phillips 66 22,244 +22,244 $2,278
     PSX22,244+22,244$2,278
Ishares Core S&P Mid Cap Etf (IJH) 11,615 +11,615 $2,245
     IJH11,615+11,615$2,245
KLA Corp 13,653 +13,653 $2,177
     KLAC13,653+13,653$2,177
Fifth Third Bancorp 79,334 +79,334 $2,173
     FITB79,334+79,334$2,173
Kimberly Clark Corp 15,253 +15,253 $2,166
     KMB15,253+15,253$2,166
Intl. Business Machines Corp 14,502 +14,502 $2,108
     IBM14,502+14,502$2,108
American Elec Pwr Inc 21,991 +21,991 $2,060
     AEP21,991+21,991$2,060
Prudential Finl Inc 22,899 +22,899 $2,060
     PRU22,899+22,899$2,060
Vanguard S&P 500 Etf (VOO) 7,387 +7,387 $2,013
     VOO7,387+7,387$2,013
Analog Devices Inc 18,005 +18,005 $2,011
     ADI18,005+18,005$2,011
Vanguard Total Stock Market Et (VTI) 13,305 +13,305 $2,009
     VTI13,305+13,305$2,009
Bank Of America Corp 68,675 +68,675 $2,003
     BAC68,675+68,675$2,003
Vanguard Ftse All World Ex Us (VEU) 38,103 +38,103 $1,902
     VEU38,103+38,103$1,902
Packaging Corp Of America 17,658 +17,658 $1,874
     PKG17,658+17,658$1,874
Clorox Company 12,217 +12,217 $1,856
     CLX12,217+12,217$1,856
Conocophillips 32,264 +32,264 $1,838
     COP32,264+32,264$1,838
DR Horton Inc 34,605 +34,605 $1,824
     DHI34,605+34,605$1,824
General Dynamics Corp 9,730 +9,730 $1,778
     GD9,730+9,730$1,778
Deere & Co 10,460 +10,460 $1,765
     DE10,460+10,460$1,765
Spdr S&P Dividend Etf (SDY) 17,141 +17,141 $1,759
     SDY17,141+17,141$1,759
Advanced Auto Parts 10,500 +10,500 $1,737
     AAP10,500+10,500$1,737
CSX Corp 24,688 +24,688 $1,710
     CSX24,688+24,688$1,710
US Bancorp New 30,251 +30,251 $1,674
     USB30,251+30,251$1,674
Ishares Iboxx Inv Grd Corp Bon (LQD) 13,105 +13,105 $1,670
     LQD13,105+13,105$1,670
Bristol Myers Squibb Co 32,861 +32,861 $1,667
     BMY32,861+32,861$1,667
Delta Air Lines Inc 28,895 +28,895 $1,664
     DAL28,895+28,895$1,664
3M Co 10,112 +10,112 $1,662
     MMM10,112+10,112$1,662
Dominion Energy Inc 20,125 +20,125 $1,631
     D20,125+20,125$1,631
Blackrock Inc Cl A 3,657 +3,657 $1,630
     BLK3,657+3,657$1,630
Everest Re Group Limited 6,066 +6,066 $1,614
     RE6,066+6,066$1,614
Charles Schwab Corp 38,370 +38,370 $1,605
     SCHW38,370+38,370$1,605
Ishares High Dividend Eq Etf (HDV) 16,930 +16,930 $1,594
     HDV16,930+16,930$1,594
United Parcel Service Cl B 13,272 +13,272 $1,591
     UPS13,272+13,272$1,591
Exelon Corp 32,672 +32,672 $1,579
     EXC32,672+32,672$1,579
American Tower Corp Reit 7,107 +7,107 $1,572
     AMT7,107+7,107$1,572
Air Products & Chemicals Inc 7,023 +7,023 $1,558
     APD7,023+7,023$1,558
Cummins Inc 9,447 +9,447 $1,536
     CMI9,447+9,447$1,536
Wisdomtree Intl L C Dvd Fund (DOL) 33,083 +33,083 $1,520
     DOL33,083+33,083$1,520
Vanguard Consumer Discretionar (VCR) 8,398 +8,398 $1,513
     VCR8,398+8,398$1,513
Amphenol Corp 15,591 +15,591 $1,505
     APH15,591+15,591$1,505
TJX Cos Inc 26,722 +26,722 $1,490
     TJX26,722+26,722$1,490
Travelers Companies Inc 9,939 +9,939 $1,478
     TRV9,939+9,939$1,478
Colgate Palmolive Co 19,808 +19,808 $1,456
     CL19,808+19,808$1,456
Suncor Energy Inc 46,103 +46,103 $1,456
     SU46,103+46,103$1,456
Metlife Inc 30,668 +30,668 $1,446
     MET30,668+30,668$1,446
PPL Corporation 45,866 +45,866 $1,444
     PPL45,866+45,866$1,444
Chubb Ltd 8,901 +8,901 $1,437
     CB8,901+8,901$1,437
Becton Dickinson 5,665 +5,665 $1,433
     BDX5,665+5,665$1,433
Ishares Tr Msci Eafe Growth Et (EFG) 17,768 +17,768 $1,431
     EFG17,768+17,768$1,431
Fedex Corporation 9,645 +9,645 $1,404
     FDX9,645+9,645$1,404
Ebay Inc 35,723 +35,723 $1,392
     EBAY35,723+35,723$1,392
Consumer Discretionary Selt 11,409 +11,409 $1,377
     XLY11,409+11,409$1,377
Equity Residential Pptys Tr Re 15,897 +15,897 $1,372
     EQR15,897+15,897$1,372
Splunk Inc 11,539 +11,539 $1,360
     SPLK11,539+11,539$1,360
Linde Plc 6,886 +6,886 $1,334
     LIN6,886+6,886$1,334
Vertex Pharmaceuticals Inc 7,844 +7,844 $1,329
     VRTX7,844+7,844$1,329
Lam Research Corp 5,654 +5,654 $1,306
     LRCX5,654+5,654$1,306
Ishares Msci Emerging Mkt Etf (EEM) 31,635 +31,635 $1,292
     EEM31,635+31,635$1,292
Comcast Corp Cl A 28,649 +28,649 $1,291
     CMCSA28,649+28,649$1,291
Ishares Russell 1000 Growth Et (IWF) 8,088 +8,088 $1,291
     IWF8,088+8,088$1,291
Baxter Intl Inc 14,708 +14,708 $1,286
     BAX14,708+14,708$1,286
Applied Materials Inc 25,575 +25,575 $1,276
     AMAT25,575+25,575$1,276
Duke Energy Corp 13,208 +13,208 $1,266
     DUK13,208+13,208$1,266
DTE Energy Co 9,494 +9,494 $1,262
     DTE9,494+9,494$1,262
Marathon Petroleum Corporation 20,733 +20,733 $1,259
     MPC20,733+20,733$1,259
Digital Realty Trust Inc Reit 9,652 +9,652 $1,253
     DLR9,652+9,652$1,253
Ishares Core S&P Small Cap Etf (IJR) 16,076 +16,076 $1,252
     IJR16,076+16,076$1,252
Ishares Iboxx Usd High Yield (HYG) 14,108 +14,108 $1,229
     HYG14,108+14,108$1,229
Vanguard S&P Mid Cap 400 Etf (IVOO) 9,374 +9,374 $1,223
     IVOO9,374+9,374$1,223
Gilead Sciences Inc 19,284 +19,284 $1,222
     GILD19,284+19,284$1,222
Carnival Corp 27,390 +27,390 $1,197
     CCL27,390+27,390$1,197
Aflac Inc 22,699 +22,699 $1,188
     AFL22,699+22,699$1,188
L3 Harris Technologies Inc 5,686 +5,686 $1,186
     LHX5,686+5,686$1,186
Starbucks Corp 13,202 +13,202 $1,167
     SBUX13,202+13,202$1,167
Corning Inc 40,620 +40,620 $1,159
     GLW40,620+40,620$1,159
Kinder Morgan Inc 55,727 +55,727 $1,149
     KMI55,727+55,727$1,149
Ishares DJ Select Dividend Etf (DVY) 11,161 +11,161 $1,138
     DVY11,161+11,161$1,138
Spdr Gold Trust (GLD) 8,154 +8,154 $1,133
     GLD8,154+8,154$1,133
Walgreens Boots Alliance Inc 20,329 +20,329 $1,124
     WBA20,329+20,329$1,124
Medtronic Plc 10,236 +10,236 $1,112
     MDT10,236+10,236$1,112
Ishares Msci Eafe Value Etf (EFV) 23,448 +23,448 $1,111
     EFV23,448+23,448$1,111
Philip Morris International 14,632 +14,632 $1,111
     PM14,632+14,632$1,111
T Mobile US Inc 14,021 +14,021 $1,104
     TMUS14,021+14,021$1,104
Southern Company 17,529 +17,529 $1,083
     SO17,529+17,529$1,083
Blackstone Group Inc Cl A 21,810 +21,810 $1,065
     BX21,810+21,810$1,065
Cigna Corp 6,977 +6,977 $1,059
     CI6,977+6,977$1,059
Wisdomtree US Smallcap Dividend 38,560 +38,560 $1,056
     DES38,560+38,560$1,056
Tyson Foods Inc Cl A 12,241 +12,241 $1,055
     TSN12,241+12,241$1,055
Mondelez International Inc 18,963 +18,963 $1,049
     MDLZ18,963+18,963$1,049
International Paper Co 25,049 +25,049 $1,047
     IP25,049+25,049$1,047
Lilly Eli & Co 9,310 +9,310 $1,041
     LLY9,310+9,310$1,041
T Rowe Price Group Inc 8,966 +8,966 $1,025
     TROW8,966+8,966$1,025
Eaton Corp Plc 12,218 +12,218 $1,016
     ETN12,218+12,218$1,016
Xcel Energy Inc 15,395 +15,395 $999
     XEL15,395+15,395$999
Wisdomtree US Midcap Dividend 27,425 +27,425 $996
     DON27,425+27,425$996
S&P Global Inc 4,050 +4,050 $992
     SPGI4,050+4,050$992
Fastenal Co 29,902 +29,902 $976
     FAST29,902+29,902$976
Intuit Inc 3,628 +3,628 $965
     INTU3,628+3,628$965
Booking Holdings Inc 490 +490 $962
     BKNG490+490$962
Novartis Ag Spons Adr 10,987 +10,987 $954
     NVS10,987+10,987$954
Lauder Estee Cos Cl A 4,451 +4,451 $885
     EL4,451+4,451$885
Western Digital Corp 14,710 +14,710 $877
     WDC14,710+14,710$877
Comerica Inc 13,226 +13,226 $873
     CMA13,226+13,226$873
Kellogg Co 13,070 +13,070 $841
     K13,070+13,070$841
Ishares Russell Midcap Etf (IWR) 14,823 +14,823 $829
     IWR14,823+14,823$829
Vanguard Info Tech Etf (VGT) 3,798 +3,798 $818
     VGT3,798+3,798$818
Eastman Chemical Co 11,024 +11,024 $814
     EMN11,024+11,024$814
Vanguard Communication Service (VOX) 9,390 +9,390 $814
     VOX9,390+9,390$814
Omnicom Group 9,730 +9,730 $762
     OMC9,730+9,730$762
Agilent Technologies Inc 9,751 +9,751 $747
     A9,751+9,751$747
Illinois Tool Wks Inc 4,695 +4,695 $734
     ITW4,695+4,695$734
Schlumberger Ltd 21,473 +21,473 $734
     SLB21,473+21,473$734
Cardinal Health Inc 15,449 +15,449 $729
     CAH15,449+15,449$729
Vanguard Dividend Apprec Etf (VIG) 6,057 +6,057 $724
     VIG6,057+6,057$724
Norfolk Southern Corp 4,012 +4,012 $720
     NSC4,012+4,012$720
Cognizant Technology Solutions 11,910 +11,910 $717
     CTSH11,910+11,910$717
Ecolab Inc 3,484 +3,484 $690
     ECL3,484+3,484$690
Celgene Corp 6,936 +6,936 $689
     CELG6,936+6,936$689
Ishares Russell Midcap Grwth E (IWP) 4,853 +4,853 $686
     IWP4,853+4,853$686
Vulcan Materials Co 4,528 +4,528 $685
     VMC4,528+4,528$685
Ishares S&P 100 Etf (OEF) 5,183 +5,183 $682
     OEF5,183+5,183$682
Stanley Black & Decker Inc 4,687 +4,687 $677
     SWK4,687+4,687$677
Neogen Corp 9,924 +9,924 $676
     NEOG9,924+9,924$676
Zoetis Inc 5,406 +5,406 $673
     ZTS5,406+5,406$673
Ishares Russell 2000 Value Etf (IWN) 5,469 +5,469 $653
     IWN5,469+5,469$653
HCP Inc Reit 18,279 +18,279 $651
     HCP18,279+18,279$651
Maxim Integrated Prods Inc 11,227 +11,227 $650
     MXIM11,227+11,227$650
Humana Inc 2,530 +2,530 $647
     HUM2,530+2,530$647
Hollyfrontier Corporation 11,885 +11,885 $638
     HFC11,885+11,885$638
Northrop Grumman Corporation 1,701 +1,701 $638
     NOC1,701+1,701$638
Ishares Short Term Corporate B (IGSB) 11,823 +11,823 $634
     IGSB11,823+11,823$634
Discover Finl Svcs 7,542 +7,542 $612
     DFS7,542+7,542$612
Ishares Russell 2000 Growth Et (IWO) 3,176 +3,176 $612
     IWO3,176+3,176$612
Raytheon Company 3,083 +3,083 $605
     RTN3,083+3,083$605
Royal Bank Of Canada 7,380 +7,380 $599
     RY7,380+7,380$599
Sonoco Products Co 10,290 +10,290 $599
     SON10,290+10,290$599
Smith A O Corporation 12,500 +12,500 $597
     AOS12,500+12,500$597
Spdr Nuveen S&P High Yield M (HYMB) 10,041 +10,041 $596
     HYMB10,041+10,041$596
Ishares Core U.S. Aggregate Bo (AGG) 5,261 +5,261 $595
     AGG5,261+5,261$595
Paychex Inc 7,133 +7,133 $591
     PAYX7,133+7,133$591
Consolidated Edison Inc 6,237 +6,237 $589
     ED6,237+6,237$589
Ishares Barclays Tips Bond Etf (TIP) 5,020 +5,020 $584
     TIP5,020+5,020$584
Vanguard Intermediate Term T (VGIT) 8,715 +8,715 $581
     VGIT8,715+8,715$581
Host Hotels & Resorts Inc Reit 33,477 +33,477 $579
     HST33,477+33,477$579
Charter Communications Inc Cl 1,389 +1,389 $572
     CHTR1,389+1,389$572
Weyerhaeuser Co Reit 20,542 +20,542 $569
     WY20,542+20,542$569
Vanguard Short Term Bond Etf (BSV) 7,009 +7,009 $566
     BSV7,009+7,009$566
Marriott International Inc 4,345 +4,345 $540
     MAR4,345+4,345$540
Industrial Select Sector Spdr (XLI) 6,936 +6,936 $539
     XLI6,936+6,936$539
California Wtr Svc Group 10,000 +10,000 $529
     CWT10,000+10,000$529
Vanguard Health Care Etf (VHT) 3,111 +3,111 $522
     VHT3,111+3,111$522
Ishares S&P Global Infrastr Et (IGF) 11,140 +11,140 $518
     IGF11,140+11,140$518
SJW Group 7,500 +7,500 $512
     SJW7,500+7,500$512
Firstenergy Corp 10,428 +10,428 $503
     FE10,428+10,428$503
Netflix Inc 1,864 +1,864 $498
     NFLX1,864+1,864$498
Enbridge Incorporated 13,861 +13,861 $486
     ENB13,861+13,861$486
Vanguard High Dvd Yield Etf (VYM) 5,448 +5,448 $483
     VYM5,448+5,448$483
PPG Industries Inc 3,939 +3,939 $467
     PPG3,939+3,939$467
Pinnacle West Cap Corp 4,800 +4,800 $466
     PNW4,800+4,800$466
Republic Services Inc 5,325 +5,325 $461
     RSG5,325+5,325$461
Spdr S&P 600 Small Cap Growth (SLYG) 7,716 +7,716 $459
     SLYG7,716+7,716$459
Yum Brands Inc 4,023 +4,023 $457
     YUM4,023+4,023$457
Alliancebernstein Holding Lp 15,400 +15,400 $452
     AB15,400+15,400$452
Buckeye Partners Lp 11,000 +11,000 $452
     BPL11,000+11,000$452
Real Estate Select Sect Spdr (XLRE) 11,460 +11,460 $451
     XLRE11,460+11,460$451
Sysco Corp 5,637 +5,637 $448
     SYY5,637+5,637$448
Progressive Corp Ohio 5,560 +5,560 $429
     PGR5,560+5,560$429
Gentex Corp 15,400 +15,400 $424
     GNTX15,400+15,400$424
Canadian National Railway Co 4,656 +4,656 $419
     CNI4,656+4,656$419
Vanguard Small Cap Value Etf (VBR) 3,252 +3,252 $419
     VBR3,252+3,252$419
Rockwell Automation Inc 2,499 +2,499 $412
     ROK2,499+2,499$412
Energy Select Sector Spdr (XLE) 6,922 +6,922 $410
     XLE6,922+6,922$410
Eversource Energy 4,770 +4,770 $408
     ES4,770+4,770$408
CMS Energy Corp 6,330 +6,330 $405
     CMS6,330+6,330$405
Fortive Corp 5,865 +5,865 $402
     FTV5,865+5,865$402
McCormick & Co Inc 2,565 +2,565 $401
     MKC2,565+2,565$401
Entergy Corp 3,387 +3,387 $397
     ETR3,387+3,387$397
Ishares Russell 1000 Value Etf (IWD) 3,095 +3,095 $397
     IWD3,095+3,095$397
Marsh & Mclennan Cos Inc 3,961 +3,961 $396
     MMC3,961+3,961$396
Nucor Corp 7,773 +7,773 $395
     NUE7,773+7,773$395
Schwab US Mid Cap Etf (SCHM) 6,907 +6,907 $391
     SCHM6,907+6,907$391
Ishares Russell 3000 Etf (IWV) 2,244 +2,244 $390
     IWV2,244+2,244$390
Vanguard Consumer Staples Etf (VDC) 2,486 +2,486 $389
     VDC2,486+2,486$389
Ishares Intermediate Gov Cr Et (GVI) 3,400 +3,400 $385
     GVI3,400+3,400$385
Vanguard Total Bond Market Etf (BND) 4,495 +4,495 $380
     BND4,495+4,495$380
Health Care Select Sector Spdr (XLV) 4,190 +4,190 $378
     XLV4,190+4,190$378
Zimmer Biomet Holdings Inc 2,661 +2,661 $366
     ZBH2,661+2,661$366
Suntrust Banks Inc 5,256 +5,256 $362
     STI5,256+5,256$362
Biogen Inc 1,550 +1,550 $361
     BIIB1,550+1,550$361
Energy Transfer Lp 27,344 +27,344 $358
     ET27,344+27,344$358
ETrade Financial Corp 8,134 +8,134 $355
     ETFC8,134+8,134$355
Ishares S&P Smallcap 600 Val E (IJS) 2,364 +2,364 $355
     IJS2,364+2,364$355
Oneok Inc 4,746 +4,746 $350
     OKE4,746+4,746$350
Wisdomtree International Equity 7,003 +7,003 $348
     DWM7,003+7,003$348
Ishares Russell Midcap Value E (IWS) 3,870 +3,870 $347
     IWS3,870+3,870$347
Royal Caribbean Cruises Ltd 3,155 +3,155 $342
     RCL3,155+3,155$342
Ishares S&P 500 Growth Etf (IVW) 1,867 +1,867 $336
     IVW1,867+1,867$336
Waters Corp 1,495 +1,495 $334
     WAT1,495+1,495$334
Fortune Brands Home & Security 6,058 +6,058 $331
     FBHS6,058+6,058$331
Halliburton Co 17,380 +17,380 $328
     HAL17,380+17,380$328
Lamar Advertising Co A Reit 4,000 +4,000 $328
     LAMR4,000+4,000$328
Vanguard Long Term Bond Etf (BLV) 3,183 +3,183 $327
     BLV3,183+3,183$327
Facebook Inc A 1,835 +1,835 $326
     FB1,835+1,835$326
Bank Of Hawaii Corp 3,790 +3,790 $325
     BOH3,790+3,790$325
Southwest Airlines Co 5,992 +5,992 $324
     LUV5,992+5,992$324
Comm Serv Select Sector Spdr (XLC) 6,492 +6,492 $321
     XLC6,492+6,492$321
CME Group Inc. 1,493 +1,493 $316
     CME1,493+1,493$316
Blackrock Mun Inc Trust Ii 21,000 +21,000 $314
     BLE21,000+21,000$314
WEC Energy Group Inc 3,306 +3,306 $314
     WEC3,306+3,306$314
Consumer Staples Spdr (XLP) 5,103 +5,103 $313
     XLP5,103+5,103$313
Vaneck Vectors Fallen Angel 10,584 +10,584 $310
     ANGL10,584+10,584$310
Ishares DJ Us Finl Sect Etf (IYF) 2,383 +2,383 $307
     IYF2,383+2,383$307
Martin Marietta Materials Inc 1,118 +1,118 $306
     MLM1,118+1,118$306
Aes Corp 18,640 +18,640 $305
     AES18,640+18,640$305
Ishares Msci Eafe Small Cap Et (SCZ) 5,096 +5,096 $292
     SCZ5,096+5,096$292
Illumina Inc 953 +953 $290
     ILMN953+953$290
State Street Corp 4,778 +4,778 $283
     STT4,778+4,778$283
Camden Property Trust Reit 2,500 +2,500 $278
     CPT2,500+2,500$278
Ford Motor Co Del 30,208 +30,208 $277
     F30,208+30,208$277
Ishares DJ Us Industrial Sec E (IYJ) 1,739 +1,739 $276
     IYJ1,739+1,739$276
Masco Corp 6,542 +6,542 $273
     MAS6,542+6,542$273
Vanguard S&P 500 Growth Etf (VOOG) 1,687 +1,687 $273
     VOOG1,687+1,687$273
Xerox Holdings Corp 9,106 +9,106 $273
     XRX9,106+9,106$273
Ishares Msci China Etf (MCHI) 4,845 +4,845 $272
     MCHI4,845+4,845$272
Eaton Vance Tax Adv Dvd Inc 11,000 +11,000 $270
     EVT11,000+11,000$270
Occidental Pete Corp 6,046 +6,046 $269
     OXY6,046+6,046$269
Vanguard Intermediate Term B (BIV) 2,940 +2,940 $259
     BIV2,940+2,940$259
Vanguard Utilities Etf (VPU) 1,803 +1,803 $259
     VPU1,803+1,803$259
Materials Select Spdr Fund (XLB) 4,455 +4,455 $259
     XLB4,455+4,455$259
Adobe Inc 931 +931 $258
     ADBE931+931$258
Invesco Limited 15,066 +15,066 $255
     IVZ15,066+15,066$255
Lazard Ltd Cl A 7,180 +7,180 $251
     LAZ7,180+7,180$251
Sturm Ruger & Co Inc 6,000 +6,000 $251
     RGR6,000+6,000$251
Bank Of New York Mellon Corp 5,498 +5,498 $249
     BK5,498+5,498$249
Ishares Preferred & Income Sec (PFF) 6,631 +6,631 $249
     PFF6,631+6,631$249
Service Properties Trust Reit 9,525 +9,525 $246
     SVC9,525+9,525$246
Spdr Portfolio Emerging Market (SPEM) 7,020 +7,020 $241
     SPEM7,020+7,020$241
Magellan Midstream Partners Lp 3,625 +3,625 $240
     MMP3,625+3,625$240
Evergy Inc 3,583 +3,583 $239
     EVRG3,583+3,583$239
Vanguard Short Term Treasury E (VGSH) 3,901 +3,901 $238
     VGSH3,901+3,901$238
BP Plc Spons Adr 6,230 +6,230 $237
     BP6,230+6,230$237
Check Point Software Tech Ltd 2,150 +2,150 $235
     CHKP2,150+2,150$235
Nuveen Preferred & Income Sec 23,583 +23,583 $232
     JPS23,583+23,583$232
Cracker Barrel 1,414 +1,414 $230
     CBRL1,414+1,414$230
Ishares S&P 500 Value Etf (IVE) 1,877 +1,877 $224
     IVE1,877+1,877$224
Vanguard Mid Cap Value Etf (VOE) 1,958 +1,958 $221
     VOE1,958+1,958$221
Boston Properties Inc Reit 1,695 +1,695 $220
     BXP1,695+1,695$220
Invesco S&P 500 Equal Weight 1,099 +1,099 $215
     RYH1,099+1,099$215
Hasbro Inc 1,805 +1,805 $214
     HAS1,805+1,805$214
HP Inc 11,100 +11,100 $210
     HPQ11,100+11,100$210
Ishares National Muni Bond Etf (MUB) 1,835 +1,835 $209
     MUB1,835+1,835$209
Vanguard Small Cap Growth Etf (VBK) 1,138 +1,138 $207
     VBK1,138+1,138$207
Ishares S&P Smallcap 600 Growt (IJT) 1,135 +1,135 $202
     IJT1,135+1,135$202
Annaly Capital Management Reit 22,600 +22,600 $199
     NLY22,600+22,600$199
Cohen & Steers Tot Ret Rlty 13,000 +13,000 $192
     RFI13,000+13,000$192
Blackrock Credt Allctn Income 14,000 +14,000 $191
     BTZ14,000+14,000$191
General Electric Corp 18,160 +18,160 $162
     GE18,160+18,160$162
Huntington Bancshares Inc (HBAN) 11,287 +11,287 $161
     HBAN11,287+11,287$161
B2Gold Corp 12,000 +12,000 $39
     BTG12,000+12,000$39

See Summary: TCF National Bank Top Holdings
See Details: Top 10 Stocks Held By TCF National Bank

EntityShares/Amount
Change
Position Value
Change
TCF +1,037,598+$39,502
DD +425,387+$30,334
DOW +434,368+$20,698
AAPL +83,686+$18,743
MSFT +106,808+$14,850
JPM +124,829+$14,691
JNJ +110,974+$14,358
ADP +76,315+$12,319
PG +94,639+$11,771
UTX +83,106+$11,346
EntityShares/Amount
Change
Position Value
Change
UNCH$UNCH
Size ($ in 1000's)
At 09/30/2019: $831,290
At 06/30/2019: $0

Combined Holding Report Includes:
TCF NATIONAL BANK
TCF National Bank

TCF National Bank holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from TCF National Bank 13F filings. Link to 13F filings: SEC filings

All Stocks Held By TCF National Bank | www.HoldingsChannel.com

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