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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

ROCKEFELLER FINANCIAL SERVICES INC INSTITUTION : ROCKEFELLER FINANCIAL SERVICES INC
ROCKEFELLER FINANCIAL SERVICES INC Buys/Sells In Portfolio (reported on 2018-02-02)
Company Ticker Current
Holdings
Previous
Holdings
Sells/Buys % of change
Genuine Parts Company    (Common)GPC1200
New Buy
New Buy
Ross Stores, Inc.    (Common)ROST1,468,4740
New Buy
New Buy
Qiagen NV    (Common)1,0970
New Buy
New Buy
The Gorman-Rupp Company    (Common)GRC9,3740
New Buy
New Buy
iShares Intermediate Credit Bond ETF   &CIU1,6320
New Buy
New Buy
Tyler Technologies, Inc.    (CommonTYL17,0090
New Buy
New Buy
Brixmor Property Group, Inc.    (CoBRX153,7460
New Buy
New Buy
Ally Financial Inc    (Common)ALLY91,8890
New Buy
New Buy
Archer Daniels Midland Co.    (CommADM600
New Buy
New Buy
TCF Financial Corporation    (CommoTCB214,1160
New Buy
New Buy
Neurocrine Biosciences, Inc.    (CoNBIX3,6750
New Buy
New Buy
Aptiv PLC    (Common)9,2760
New Buy
New Buy
iShares MSCI South Korea ETF    (ExEWY35,0410
New Buy
New Buy
Care.com, Inc.    (Common)CRCM5,0600
New Buy
New Buy
iShares MSCI Mexico ETF    (ExchangEWW13,7480
New Buy
New Buy
MGIC Investment Corporation    (ComMTG163,8730
New Buy
New Buy
Amicus Therapeutics Inc.    (CommonFOLD19,1690
New Buy
New Buy
Valmont Industries, Inc.    (CommonVMI10,8250
New Buy
New Buy
Vanguard Health Care ETF    (ExchanVHT2140
New Buy
New Buy
Burlington Stores, Inc.    (Common)BURL38,7770
New Buy
New Buy
Johnson Controls International PLC   &nb8900
New Buy
New Buy
Quest Diagnostics Incorporated    (DGX1,246,696168
Added1,246,528
741980.95%
IQVIA Holdings Inc    (Common)5,4751
Added5,474
547400.00%
VanEck Vectors AMT-Free Intermediate   &20,26362
Added20,201
32582.25%
Spark Therapeutics, Inc.    (CommonONCE353,9831,264
Added352,719
27904.98%
Plains GP Holdings LP-CL A    (Clas1,556,2416,975
Added1,549,266
22211.69%
iShares MSCI Japan ETF    (Exchange188,271861
Added187,410
21766.55%
Parker-Hannifin Corporation    (ComPH22,133133
Added22,000
16541.35%
Comerica Incorporated    (Common)CMA1,446,00310,249
Added1,435,754
14008.72%
Yum China Holdings Inc    (Common)1,45915
Added1,444
9626.66%
DowDuPont Inc.    (Common)33,428412
Added33,016
8013.59%
Appian Corporation    (Common)13,349200
Added13,149
6574.50%
Unilever NV - NY Shares    (Common)UN85,0541,523
Added83,531
5484.63%
American Express Co.    (Common)AXP40,000728
Added39,272
5394.50%
Comcast Corporation - CL A    (ClasCMCSA5,151,384112,567
Added5,038,817
4476.28%
Medtronic, PLC    (Common)MDT1,366,96148,907
Added1,318,054
2695.02%
Marriott International Cl A    (ComMAR41,8001,800
Added40,000
2222.22%
FirstCash Inc    (Common)330,20716,700
Added313,507
1877.28%
Energy Transfer Partners, MLP    (M73,3163,993
Added69,323
1736.11%
Wal-Mart Stores, Inc.    (Common)22,9471,459
Added21,488
1472.78%
Lowe's Companies    (Common)LOW24,7542,350
Added22,404
953.36%
Huntington Bancshares Incorporated   &nbHBAN241,87527,004
Added214,871
795.70%
Discover Financial Services    (ComDFS45,1305,280
Added39,850
754.73%
Verizon Communications    (Common)VZ130,56115,561
Added115,000
739.02%
Ecolab Inc.    (Common)ECL53,4326,632
Added46,800
705.66%
Praxair, Inc.    (Common)PX22,7403,003
Added19,737
657.24%
Mastercard Inc - Class A    (Class MA16,0072,257
Added13,750
609.21%
Schlumberger Ltd.    (Common)SLB79,92415,624
Added64,300
411.54%
MSG Networks Inc.    (Common)2,325473
Added1,852
391.54%
Aetna Inc.    (Common)AET14,5023,620
Added10,882
300.60%
Nuvectra Corporation    (Common)NVTR428,644107,730
Added320,914
297.88%
Danaher Corporation    (Common)DHR79,96020,370
Added59,590
292.53%
Citigroup Inc.    (Common)C44,65211,907
Added32,745
275.00%
Dexcom, Inc.    (Common)DXCM11,0322,996
Added8,036
268.22%
Time Warner Inc.    (Common)TWX80,49021,894
Added58,596
267.63%
Target Corporation    (Common)TGT73,30020,381
Added52,919
259.64%
Xylem Inc.    (Common)XYL78,26522,485
Added55,780
248.07%
Walgreens Boots Alliance Inc    (CoWBA21,4496,210
Added15,239
245.39%
McDonald's Corporation    (Common)MCD69,07120,106
Added48,965
243.53%
iShares Core S&P 500 ETF    (ExchanIVV3,3421,019
Added2,323
227.96%
Chubb Limited    (Common)CB31,89410,118
Added21,776
215.22%
Fortive Corporation    (Common)FTV43,31014,430
Added28,880
200.13%
iShares Nasdaq Biotechnology ETF    IBB7,5002,500
Added5,000
200.00%
Smith (A.O.) Corp    (Common)AOS56,37619,608
Added36,768
187.51%
Delphi Technologies PLC    (Common)3,0901,097
Added1,993
181.67%
Goldman Sachs Group, Inc.    (CommoGS20,4947,829
Added12,665
161.77%
Noble Energy, Inc.    (Common)NBL415,946174,840
Added241,106
137.90%
Tetra Tech, Inc.    (Common)TTEK50,85021,495
Added29,355
136.56%
United Technologies Corp.    (CommoUTX32,68414,024
Added18,660
133.05%
Celgene Corp.    (Common)CELG52,52422,614
Added29,910
132.26%
Adobe Systems Incorporated    (CommADBE26,18811,358
Added14,830
130.56%
The Walt Disney Company    (Common)DIS124,90454,904
Added70,000
127.49%
Broadcom Limited    (Common)AVGO20,6079,132
Added11,475
125.65%
Fifth Third Bancorp    (Common)FITB1,597,736729,820
Added867,916
118.92%
Sony Corporation - Spons ADR    (ADSNE65,27430,017
Added35,257
117.45%
Range Resources Corp.    (Common)RRC364,188170,415
Added193,773
113.70%
iShares New York Muni Bond ETF    (NYF1,660830
Added830
100.00%
Home Depot Inc.    (Common)HD158,45079,412
Added79,038
99.52%
Merck & Co. Inc.    (Common)MRK442,599227,260
Added215,339
94.75%
SLM Corporation    (Common)SLM1,689,844901,488
Added788,356
87.45%
Apple Inc.    (Common)AAPL73,00839,128
Added33,880
86.58%
Vanguard Short-Term Bond ETF    (ExBSV8,3644,561
Added3,803
83.38%
AstraZeneca Group Plc - Spons ADR   &nbsAZN910500
Added410
82.00%
Intel Corp.    (Common)INTC298,362168,932
Added129,430
76.61%
UnitedHealth Group Inc.    (Common)UNH35,10820,106
Added15,002
74.61%
NCR Corp.    (Common)NCR1,900,2221,101,914
Added798,308
72.44%
AT&T Inc    (Common)T59,15235,272
Added23,880
67.70%
Aramark    (Common)ARMK165,851103,165
Added62,686
60.76%
Berkshire Hathaway Inc - Cl B    (CBRK/B42,49927,392
Added15,107
55.15%
Magellan Midstream Partners, MLP    MMP6,2874,094
Added2,193
53.56%
Procter & Gamble Co.    (Common)PG148,41198,185
Added50,226
51.15%
Johnson & Johnson    (Common)JNJ167,810112,574
Added55,236
49.06%
MetLife, Inc.    (Common)MET54,58137,153
Added17,428
46.90%
Pepsico, Inc    (Common)PEP193,582132,955
Added60,627
45.59%
Bioverativ Inc.    (Common)37,10225,942
Added11,160
43.01%
Int'l Business Machines Corp.    (CIBM94,88767,110
Added27,777
41.39%
Humana Inc.    (Common)HUM6,4984,643
Added1,855
39.95%
SPDR S&P Regional Banking ETF    (EKRE375,568271,636
Added103,932
38.26%
Cisco Systems, Inc.    (Common)CSCO594,483430,658
Added163,825
38.04%
Wells Fargo Company    (Common)WFC2,735,6261,983,891
Added751,735
37.89%
Alphabet Inc. - Class A    (Class AGOOGL53,70639,339
Added14,367
36.52%
iShares Core MSCI EAFE - ETF    (ExIEFA56,86941,860
Added15,009
35.85%
Synchrony Financial    (Common)SYF2,995,0302,257,527
Added737,503
32.66%
KT Corporation Sponsored ADR    (ADKTC2,276,1701,717,016
Added559,154
32.56%
Simpson Manufacturing Co., Inc.    SSD339,552257,522
Added82,030
31.85%
United Continental Holdings Inc.    UAL1,210,515922,673
Added287,842
31.19%
Triumph Group, Inc.    (Common)TGI348,816270,100
Added78,716
29.14%
Chevron Corporation    (Common)CVX422,397332,860
Added89,537
26.89%
Itron, Inc.    (Common)ITRI12,2309,694
Added2,536
26.16%
ING Groep N.V. - Sponsored ADR    (ING183,934146,088
Added37,846
25.90%
General Electric Co.    (Common)GE401,273322,503
Added78,770
24.42%
iShares Gold Trust    (Exchange TraIAU95,96577,266
Added18,699
24.20%
FLIR Systems, Inc.    (Common)FLIR7,4475,996
Added1,451
24.19%
BP PLC - Spons ADR    (ADR)BP2,652,0462,174,974
Added477,072
21.93%
Carter's, Inc.    (Common)CRI246,763203,517
Added43,246
21.24%
NIC Inc.    (Common)EGOV743,915615,212
Added128,703
20.92%
Stericycle, Inc.    (Common)SRCL166,891138,271
Added28,620
20.69%
Honeywell International Inc.    (CoHON130,201109,020
Added21,181
19.42%
Medidata Solutions, Inc.    (CommonMDSO383,296325,088
Added58,208
17.90%
FactSet Research Systems, Inc.    (FDS143,547123,376
Added20,171
16.34%
Iron Mountain Inc.    (Common)IRM551,480474,411
Added77,069
16.24%
Masimo Corporation    (Common)MASI339,655292,195
Added47,460
16.24%
Littelfuse, Inc.    (Common)LFUS173,559149,696
Added23,863
15.94%
Insulet Corporation    (Common)PODD441,034381,744
Added59,290
15.53%
Microsemi Corp.    (Common)MSCC620,577539,077
Added81,500
15.11%
ResMed Inc.    (Common)RMD196,845172,197
Added24,648
14.31%
Southwest Airlines Co.    (Common)LUV3,601,9123,193,405
Added408,507
12.79%
Gentherm Inc.    (Common)THRM528,503469,137
Added59,366
12.65%
ConocoPhillips    (Common)COP1,884,5291,674,116
Added210,413
12.56%
Korea Electric Power Corp. SP ADR   &nbsKEP790,931704,646
Added86,285
12.24%
Exxon Mobil Corporation    (Common)XOM1,043,938933,294
Added110,644
11.85%
Vanguard REIT VIPERs    (Exchange T890800
Added90
11.25%
Aaon Inc    (Common)AAON470,269422,978
Added47,291
11.18%
Trimble Inc    (Common)TRMB679,252610,960
Added68,292
11.17%
Interface, Inc.    (Common)TILE32,00328,871
Added3,132
10.84%
Biogen Idec Inc.    (Common)BIIB286,652259,829
Added26,823
10.32%
Chemed Corporation    (Common)CHE94,78986,192
Added8,597
9.97%
American Water Works Co., Inc.    (AWK715,570652,704
Added62,866
9.63%
Healthcare Services Group.    (CommHCSG677,855621,533
Added56,322
9.06%
Newpark Resources, Inc.    (Common)NR1,539,1481,417,071
Added122,077
8.61%
Icici Bank Limited - Spon ADR    (AIBN4,786,9824,410,046
Added376,936
8.54%
Sanofi-Aventis - ADR    (ADR)SNY18,09516,686
Added1,409
8.44%
Pfizer Inc.    (Common)PFE139,920129,176
Added10,744
8.31%
Bristol Myers Squibb Co.    (CommonBMY350,862324,719
Added26,143
8.05%
Express Scripts Holding, Inc.    (CESRX22,13120,502
Added1,629
7.94%
Visa Inc - Class A Shares    (ClassV1,573,1571,457,998
Added115,159
7.89%
Standard Motor Products, Inc.    (CSMP251,388233,108
Added18,280
7.84%
PROS Holdings, Inc.    (Common)PRO912,060851,138
Added60,922
7.15%
Regeneron Pharmaceuticals    (CommoREGN132,164123,412
Added8,752
7.09%
Mistras Group Inc.    (Common)MG861,468806,966
Added54,502
6.75%
Cabot Oil & Gas Corporation -Cl A   &nbsCOG1,294,0711,224,396
Added69,675
5.69%
Amazon.Com Inc    (Common)AMZN109,305104,185
Added5,120
4.91%
Merit Medical Systems, Inc.    (ComMMSI781,227747,052
Added34,175
4.57%
Cemex S.A. de C.V. Spons ADR    (ADCX6,158,5485,938,829
Added219,719
3.69%
Reinsurance Group of America, Inc.   &nbRGA660,620640,467
Added20,153
3.14%
Apache Corporation    (Common)APA1,9311,882
Added49
2.60%
Ford Motor Company    (Common)F937,933916,303
Added21,630
2.36%
Edwards Lifesciences Corporation    EW143,519140,339
Added3,180
2.26%
Unilever Plc - Sponsored ADR    (ADUL242,982237,739
Added5,243
2.20%
Integer Holdings Corp    (Common)317,757311,362
Added6,395
2.05%
CVS Health Corporation    (Common)CVS1,571,0631,544,360
Added26,703
1.72%
Carnival Corporation    (Common)CCL732,677725,066
Added7,611
1.04%
Inogen Inc    (Common)INGN301,499298,770
Added2,729
0.91%
PIMCO Active Bond - ETF    (ExchangBOND3,0423,018
Added24
0.79%
Roper Industries Inc.    (Common)ROP65,64765,150
Added497
0.76%
Badger Meter, Inc.    (Common)BMI368,413366,075
Added2,338
0.63%
Corning Inc.    (Common)GLW77,63077,300
Added330
0.42%
Alphabet Inc. - Class C    (Class CGOOG174,873174,237
Added636
0.36%
Microsoft Corp.    (Common)MSFT1,771,1951,764,878
Added6,317
0.35%
Omnicell, Inc.    (Common)OMCL469,672468,962
Added710
0.15%
Abaxis, Inc.    (Common)ABAX193,397193,207
Added190
0.09%
Qualcomm Inc.    (Common)QCOM87,02787,078
Reduced51
0.05%
Vanguard Mortgage Backed Securities ETF  &nbsVMBS996,365997,750
Reduced1,385
0.13%
iShares Core U.S. Aggregate Bond ETF   &AGG87,45387,636
Reduced183
0.20%
Nike Inc. - CL B    (Class B)NKE1,180,2851,182,757
Reduced2,472
0.20%
J.P. Morgan Chase & Co.    (Common)JPM1,787,8971,794,186
Reduced6,289
0.35%
Thermo Fisher Scientific Inc.    (CTMO18,31418,389
Reduced75
0.40%
Cerner Corporation    (Common)CERN1,415,2791,422,870
Reduced7,591
0.53%
iShares MSCI Emerging Markets ETF   &nbsEEM58,39558,709
Reduced314
0.53%
United Parcel Service Class B    (CUPS18,35218,452
Reduced100
0.54%
Illinois Tool Works Inc.    (CommonITW615,936620,036
Reduced4,100
0.66%
Enterprise Products Partners MLP    EPD102,722103,472
Reduced750
0.72%
EQT Corporation    (Common)EQT10,98511,085
Reduced100
0.90%
Western Gas Partners MLP    (MasterWES39,85140,251
Reduced400
0.99%
Kinder Morgan Inc.    (Common)KMI3,605,3493,643,417
Reduced38,068
1.04%
Royal Caribbean Cruises Ltd.    (CoRCL1,169,3991,183,262
Reduced13,863
1.17%
iShares MSCI EAFE ETF    (Exchange EFA632,166639,765
Reduced7,599
1.18%
Athenahealth Inc    (Common)ATHN8,9959,110
Reduced115
1.26%
American Tower Corporation    (CommAMT6,8506,950
Reduced100
1.43%
Vocera Communications Inc.    (CommVCRA914,599928,511
Reduced13,912
1.49%
Foot Locker, Inc.    (Common)FL1,190,4851,210,038
Reduced19,553
1.61%
iShares MSCI EMU ETF    (Exchange TEZU42,28543,091
Reduced806
1.87%
Shire PLC - ADR    (ADR)SHPGY578,215589,900
Reduced11,685
1.98%
American Electric Power Company, Inc.   AEP7,4007,550
Reduced150
1.98%
Abiomed, Inc    (Common)ABMD189,574193,674
Reduced4,100
2.11%
Total SA - Spons ADR    (ADR)TOT54,03155,450
Reduced1,419
2.55%
EOG Resources Inc.    (Common)EOG21,54322,243
Reduced700
3.14%
SPDR S&P 500 ETF Trust    (ExchangeSPY395,161408,090
Reduced12,929
3.16%
Itau Unibanco Holdings SA - Pref ADR   &ITU135,285139,842
Reduced4,557
3.25%
US Bancorp    (Common)USB31,73632,886
Reduced1,150
3.49%
Royal Dutch Shell PLC-ADR A    (ADRRDS.A126,530131,755
Reduced5,225
3.96%
Vanguard Emerging Markets ETF    (EVWO317,622331,274
Reduced13,652
4.12%
Novartis AG - ADR    (ADR)NVS1,006,3221,056,646
Reduced50,324
4.76%
HCA Healthcare Inc.    (Common)HCA4,1404,370
Reduced230
5.26%
IPG Photonics Corporation    (CommoIPGP161,271170,690
Reduced9,419
5.51%
Toronto-Dominion Bank    (Common)TD26,31027,848
Reduced1,538
5.52%
National Oilwell Varco, Inc.    (CoNOV13,26914,053
Reduced784
5.57%
Spectra Energy Partners MLP    (MasSEP3,9194,169
Reduced250
5.99%
Stryker Corporation    (Common)SYK7,9368,499
Reduced563
6.62%
Microchip Technology Inc.    (CommoMCHP2,7342,934
Reduced200
6.81%
Community Health Care    (Common)CYH396427
Reduced31
7.25%
Eagle Bancorp, Inc.    (Common)EGBN2,5872,792
Reduced205
7.34%
Juno Therapeutics Inc    (Common)JUNO2,4072,633
Reduced226
8.58%
SPDR Gold Shares    (Exchange TradeGLD37,38040,903
Reduced3,523
8.61%
Tapestry, Inc.    (Common)7279
Reduced7
8.86%
Union Pacific Corp.    (Common)UNP32,53735,937
Reduced3,400
9.46%
Goldcorp Inc.    (Common)GG67,43974,858
Reduced7,419
9.91%
3M Co.    (Common)MMM9,37310,423
Reduced1,050
10.07%
General Mills, Inc.    (Common)GIS21,07523,439
Reduced2,364
10.08%
Universal Display Corporation    (CPANL638715
Reduced77
10.76%
Williams Partners MLP    (Master LiWPZ3,6154,115
Reduced500
12.15%
Phillips 66 Partners MLP    (MasterPSXP1,4381,638
Reduced200
12.21%
Enbridge Energy Partners, MLP    (MEEP84,99297,742
Reduced12,750
13.04%
Vanguard S&P 500 ETF    (Exchange TVOO81,68194,832
Reduced13,151
13.86%
The Blackstone Group MLP    (MasterBX4,7565,545
Reduced789
14.22%
Facebook Inc.    (Class A)FB923,3521,076,613
Reduced153,261
14.23%
BlackRock, Inc Class A    (Common)BLK2,8503,327
Reduced477
14.33%
The TJX Companies, Inc.    (Common)TJX8,4579,957
Reduced1,500
15.06%
Illumina, Inc.    (Common)ILMN280,015336,872
Reduced56,857
16.87%
Raytheon Company    (Common)RTN3,6004,335
Reduced735
16.95%
AbbVie Inc.    (Common)ABBV87,903106,406
Reduced18,503
17.38%
Anthem Inc.    (Common)ANTM45,35654,995
Reduced9,639
17.52%
Becton Dickinson & Co.    (Common)BDX402,038492,514
Reduced90,476
18.37%
Royal Dutch Shell PLC - ADR B    (ARDS-B8,65210,725
Reduced2,073
19.32%
Constellation Brands, Inc.    (CommSTZ3,3504,200
Reduced850
20.23%
Schwab (Charles) Corp.    (Common)SCHW11,59114,741
Reduced3,150
21.36%
Cheniere Energy, Inc.    (Common)LNG19,06924,398
Reduced5,329
21.84%
Alnylam Pharmaceuticals Inc.    (CoALNY246,931323,364
Reduced76,433
23.63%
Capital One Financial Corp.    (ComCOF91,993121,918
Reduced29,925
24.54%
Enbridge Inc.    (Common)ENB29,33738,936
Reduced9,599
24.65%
Starbucks Corporation    (Common)SBUX10,45414,104
Reduced3,650
25.87%
Costco Wholesale Corporation    (CoCOST2,0542,804
Reduced750
26.74%
Coca Cola Company    (Common)KO17,03123,531
Reduced6,500
27.62%
Dominion Energy Midstream Partners - MLP  &nbDM1,4752,075
Reduced600
28.91%
Devon Energy Corporation    (CommonDVN11,37316,549
Reduced5,176
31.27%
Gilead Sciences Inc.    (Common)GILD9,83014,470
Reduced4,640
32.06%
Hess Corp    (Common)HES8,13811,994
Reduced3,856
32.14%
MPLX MLP    (Master Limited PartnerMPLX580880
Reduced300
34.09%
Emerson Electric Co.    (Common)EMR22,98935,144
Reduced12,155
34.58%
Fomento Economico Mexicano, S.A.-Sp ADR  &nbsFMX4,4167,060
Reduced2,644
37.45%
iShares Russell 2000 ETF    (ExchanIWM55,41691,562
Reduced36,146
39.47%
Knowles Corp    (Common)KN245416
Reduced171
41.10%
S&P Global Inc    (Common)SPGI58,480105,680
Reduced47,200
44.66%
Charter Communications Inc.    (ClaCHTR1,7113,272
Reduced1,561
47.70%
ILG Inc    (Common)8611,663
Reduced802
48.22%
Keycorp    (Common)KEY90,000180,000
Reduced90,000
50.00%
Kansas City Southern    (Common)KSU3,6487,870
Reduced4,222
53.64%
Energy Transfer Equity MLP    (MastETE6461,396
Reduced750
53.72%
Palo Alto Networks, Inc.    (CommonPANW7881,863
Reduced1,075
57.70%
Real Estate Select Sector SPDR Fund   &n62150
Reduced88
58.66%
FedEx Corporation    (Common)FDX5141,364
Reduced850
62.31%
WEC Energy Group, Inc.    (Common)303,738821,144
Reduced517,406
63.01%
Diageo Plc - sponsored ADR    (ADR)DEO345945
Reduced600
63.49%
The Madison Square Garden Company   &nbsMSG7752,325
Reduced1,550
66.66%
AMC Networks Inc    (Class A)AMCX2,3256,975
Reduced4,650
66.66%
The Kraft Heinz Company    (Common)KHC5431,793
Reduced1,250
69.71%
BRIGHTHOUSE FINL INC    (Common)BHF6772,303
Reduced1,626
70.60%
Oracle Corporation    (Common)ORCL882,6253,150,903
Reduced2,268,278
71.98%
Vanguard FTSE All-World Ex-US Index Fund  &nbVEU23,25684,372
Reduced61,116
72.43%
Allergan Plc    (Common)AGN141541
Reduced400
73.93%
ServiceNow Inc    (Common)NOW2901,175
Reduced885
75.31%
iShares TIPS Bond ETF    (Exchange TIP29,507121,776
Reduced92,269
75.76%
Ctrip.com International - Sponsored ADR  &nbsCTRP3981,958
Reduced1,560
79.67%
DXC Technology Company    (Common)4122,798
Reduced2,386
85.27%
AdvanSix Inc    (Common)42304
Reduced262
86.18%
Abbott Laboratories    (Common)ABT300,5012,185,675
Reduced1,885,174
86.25%
iShares MSCI UK - ETF    (Exchange 35,944317,299
Reduced281,355
88.67%
Quorum Health Corp    (Common)72663
Reduced591
89.14%
Baidu.com, Inc.    (Common)BIDU29,137306,181
Reduced277,044
90.48%
Deere & Company    (Common)DE1081,545
Reduced1,437
93.00%
Laboratory Corp of America Holdings   &nLH1342,137
Reduced2,003
93.72%
Micro Focus - Sponsored ADR    (ADR66316,242
Reduced15,579
95.91%
VAREX IMAGING CORP    (Common)VREX80020,263
Reduced19,463
96.05%
ADIENT PLC    (Common)ADNT15410
Reduced395
96.34%
Pentair, PLC    (Common)PNR20,7621,088,903
Reduced1,068,141
98.09%
Ultragenyx Pharmaceutical Inc.    (RARE2,599400,626
Reduced398,027
99.35%
iShares MSCI All Country Asia ex Japan   473101,852
Reduced101,379
99.53%
PJT Partners Inc. - Class A    (Cla15036,923
Reduced36,773
99.59%
Frontier Communications Corporation   &n174,116
Reduced74,115
99.99%
American Superconductor Corp.    (CAMSC035
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AtriCure Inc.    (Common)ATRC010,940
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Axalta Coating Systems Ltd.    (ComAXTA07,450
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Delphi Automotive PLC    (Common)DLPH035,006
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Wal-Mart Stores, Inc.    (Common)WMT022,947
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Mallinckrodt PLC    (Common)MNK01,010
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Xerium Technologies, Inc.    (CommoXRM01,026
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AmerisourceBergen Corporation    (CABC0469
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C.R. Bard, Inc.    (Common)BCR01,080
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Dick's Sporting Goods, Inc.    (ComDKS01,077
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FlexShares Morningstar Global Upstream   GUNR016,500
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Synchronoss Technologies, Inc.    (SNCR0359,929
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DISH Network Corp.    (Common)DISH02,575
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Time Inc.    (Common)TIME01,687
Sold Out
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Signature Bank    (Common)SBNY01,500
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Grupo FIn Santander- ADR B    (ADR)BSMX0128,636
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Potash Corporation of Saskatchewan Inc.  &nbsPOT01,800
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Quintiles IMS Holdings Inc    (CommQ05,475
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Kopin Corporation    (Common)KOPN076,820
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Helix Energy Solutions Group I    (HLX06,435
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DigitalGlobe Inc.    (Common)DGI0468,274
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Kimberly-Clark Corp    (Common)KMB03,500
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NanoString Technologies Inc    (ComNSTG03,621
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Newell Brands Inc.    (Common)NWL02,250
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Coach, Inc.    (Common)COH072
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Vanguard REIT VIPERs    (Exchange TVNQ0890
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Community Health Systems - CVR    CYHHZ0450
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Vale SA (ADR)    (ADR)VALE0800
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Crown Holdings, Inc.    (Common)CCK09,093
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United States Steel Corporation    X0300
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Concert Pharmaceuticals Inc.    (CoCNCE09,533
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Cable One, Inc.    (Common)CABO031
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* Portfolios do not reflect changes after reporting
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