Welcome   Guest   [Login | Register] Sign in with Facebook Sign in with Google Sign in with Yahoo!
logoRelationalStocks.com
STOCK TICKER:

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

Gemmer Asset Management LLC INSTITUTION : Gemmer Asset Management LLC
Gemmer Asset Management LLC Buys/Sells In Portfolio (reported on 2020-01-17)
Company Ticker Current
Holdings
Previous
Holdings
Sells/Buys % of change
Ladder Cap Corp    (CLLADR3000
New Buy
New Buy
Ak Steel Holding Corp    (COAKS3860
New Buy
New Buy
Core Laboratories    (COCLB520
New Buy
New Buy
Banco Bilbao Argen    (ADBBV2750
New Buy
New Buy
Capital Southwest Corp    (COCSWC2500
New Buy
New Buy
Ishares Lehman 7-10 Year    (BAIEF580
New Buy
New Buy
Gw Pharmaceutic Plc    (ADGWPH500
New Buy
New Buy
Barclays plc    (ADBCS1760
New Buy
New Buy
Acadia Healthcare Co    (COACHC770
New Buy
New Buy
Tanger Fctry Outlet Ctrs    (COSKT8970
New Buy
New Buy
NEW RESIDENTIAL INVT CORP CO    (CONRZ3000
New Buy
New Buy
Royal Dutch Shell    (ADRDS-B170
New Buy
New Buy
Valspar Corporation    (COVAL2,0050
New Buy
New Buy
Signet Jewelers Ltd    (SHSIG3160
New Buy
New Buy
Taubman Centers Inc    (COTCO1140
New Buy
New Buy
Avon Products Inc    (COAVP4480
New Buy
New Buy
Consolidated Comm Holdings    (COCNSL1,1060
New Buy
New Buy
Sumitomo Mitsu Finl    (ADSMFG3280
New Buy
New Buy
Quadramed Corp    (ADQD6500
New Buy
New Buy
Apache Corp    (COAPA1870
New Buy
New Buy
Andersons Inc    (COANDE1440
New Buy
New Buy
Endo Pharm Holdings Inc    (COENDP5070
New Buy
New Buy
Supernus Pharma    (COSUPN960
New Buy
New Buy
Telefonica ADR    (SPVIV3340
New Buy
New Buy
Dana Holding Corp    (CODAN1630
New Buy
New Buy
Ameris Bancorp    (COABCB550
New Buy
New Buy
Spartan Stores Inc    (COSPTN2320
New Buy
New Buy
Spdr S&P 500 Fossil Fuel    (SP24,3231
Added24,322
2432200.00%
Las Vegas Gaming Inc    (CO50,0003
Added49,997
1666566.66%
Okta Inc    (CL84,97718
Added84,959
471994.44%
Ferguson P L C    (AD8341
Added833
83300.00%
Spdr Msci Eafe Fsl Fuel    (ET44,65562
Added44,593
71924.19%
Tailored Brands Inc    (CO5411
Added540
54000.00%
Amcor Plc    (OR9682
Added966
48300.00%
Ishares Tr Core Msci Intl    (CO7982
Added796
39800.00%
Nvent Electric Plc    (SH2881
Added287
28700.00%
Anglo Amern Plc Ads    (AD2181
Added217
21700.00%
Chicago Mercantile Exch    (CO2181
Added217
21700.00%
S B A Communications    (CL1241
Added123
12300.00%
Evergy Inc    (CO3663
Added363
12100.00%
Teladoc Health Inc Com    (CO751
Added74
7400.00%
L3 HARRIS TECHNOLOGIES INC C    (CO7,993124
Added7,869
6345.96%
Vanguard Total World    (TT2506
Added244
4066.66%
Interdigital Comm Corp    (CO1243
Added121
4033.33%
Regenxbio Inc    (CO632
Added61
3050.00%
Ishares S&P Aggressive    (ET2218
Added213
2662.50%
Compass Group    (AD1817
Added174
2485.71%
SQUARE INC COM CLASS A    (CL25010
Added240
2400.00%
Ingevity Corporation    (CO753
Added72
2400.00%
Kontoor Brands Inc    (CO251
Added24
2400.00%
Sprott Focus Closed End    (CO40017
Added383
2252.94%
M S G Network Inc    (CL31916
Added303
1893.75%
Dollar Tree Stores    (CO30116
Added285
1781.25%
BOOKING HOLDINGS INC COM    (CO181
Added17
1700.00%
Uber Technologies Inc    (CO1259
Added116
1288.88%
G III Apparel Group    (COGIII967
Added89
1271.42%
Vanguard Muni Bnd Tax    (TA81761
Added756
1239.34%
Four Corners Propert    (CO30323
Added280
1217.39%
Archrock Inc    (CO72356
Added667
1191.07%
Corteva Inc    (CO2,537222
Added2,315
1042.79%
Invitation Homes Inc    (CO66159
Added602
1020.33%
Global X Robotics Artfcl    (ET40037
Added363
981.08%
Ishares Tr S&P Muni Fund    (ET4,297400
Added3,897
974.25%
Yum China Holdings I    (CO789
Added69
766.66%
Bristol-Myers Squibb Rts    (RI21726
Added191
734.61%
Murphy Oil Corp Hldg    (COMUR31348
Added265
552.08%
Encompass Health Corpora    (CO376
Added31
516.66%
Vertical Capital Income    (SH34965
Added284
436.92%
R M R Group Inc    (CL102
Added8
400.00%
Twitter Inc    (COTWTR493102
Added391
383.33%
Shake Shack    (CL19040
Added150
375.00%
Goldman Sachs Actvbeta    (EQ1,800382
Added1,418
371.20%
Global Medical R E I T I    (CO45099
Added351
354.54%
Baker Hughes A G E C    (CL428101
Added327
323.76%
Ready Capital Corp    (CO1,298319
Added979
306.89%
Chemical Banking Corp    (COCHFC12031
Added89
287.09%
Evercore Partners Inc A    (CLEVR13535
Added100
285.71%
D X C Technology Com    (CO692181
Added511
282.32%
Maxar Technologies Ltd    (CO9325
Added68
272.00%
Penumbra Inc    (CO528156
Added372
238.46%
Nortonlifelock Inc    (CO475144
Added331
229.86%
Honda Motor Co Ltd Adr    (AMHMC303103
Added200
194.17%
Kb Financial Group Adr    (ADKB21975
Added144
192.00%
Emqq Emrng Mkt Intrnt    (EMEMQQ19,4006,832
Added12,568
183.95%
Banco Santander Sa    (ADSTD785290
Added495
170.68%
Geospace Technologies Cp    (COGEOS25898
Added160
163.26%
Avanos Medical Inc    (CO22987
Added142
163.21%
PERSPECTA INC COM    (CO540207
Added333
160.86%
Niu Technologies    (AD500200
Added300
150.00%
Penn Real Est Inv Tr Sbi    (BEPEI1,099443
Added656
148.08%
United Natural Foods Inc    (COUNFI666296
Added370
125.00%
Mgm Growth Pptys Llc    (CL20089
Added111
124.71%
Macys Inc    (COM681304
Added377
124.01%
Wynn Resorts    (COWYNN11554
Added61
112.96%
Micro Focus Int    (SP13262
Added70
112.90%
Market Vectors Etf    (ETMOAT257125
Added132
105.60%
Relx P L C    (AD19093
Added97
104.30%
Linde Plc    (CO11557
Added58
101.75%
Ollies Bargain Outle    (CO4020
Added20
100.00%
Ishares Msci Acwi Etf    (MSACWI7839
Added39
100.00%
Spectrum Brands Hldg    (CO126
Added6
100.00%
Designer Brands Inc    (CL14975
Added74
98.66%
London Stk Exch    (AD15683
Added73
87.95%
Hsbc Hldgs Plc    (SPHBC16891
Added77
84.61%
Oasis Petroleum Inc    (COOAS1,8881,099
Added789
71.79%
Service Now Inc    (CONOW24,00014,002
Added9,998
71.40%
Helmerich & Payne Inc    (COHP277168
Added109
64.88%
C H Robinson Worldwide    (COCHRW246150
Added96
64.00%
Brooks Automation New    (COBRKS14792
Added55
59.78%
RESIDEO TECHNOLOGIES INC COM    (CO9058
Added32
55.17%
N Cr Corp New    (CO386250
Added136
54.40%
Ishares - Japan    (ETEWJ1,127732
Added395
53.96%
Engie    (AD229149
Added80
53.69%
Novartis A G Spon Adr    (AD258172
Added86
50.00%
A S M L Holding Nv    (COASML8055
Added25
45.45%
Intercontl Htls    (AD7655
Added21
38.18%
APTIV PLC COM    (SH183133
Added50
37.59%
American Axle & Mfg    (COAXL497364
Added133
36.53%
U S X-Marathon Group    (COMRO1,263934
Added329
35.22%
iShares KLD 400 Social Index    (ETDSI31,10923,027
Added8,082
35.09%
VANGUARD INTL BOND INDEX ETF    (INBNDX233178
Added55
30.89%
Goldman Sachs Group Inc    (COGS420321
Added99
30.84%
Kohls Corp    (COKSS324253
Added71
28.06%
Ishares Core Moderate    (MO148117
Added31
26.49%
Liveramp Hldgs Inc    (CO185147
Added38
25.85%
United Parcel Service B    (CLUPS474378
Added96
25.39%
N V R Inc    (CONVR108
Added2
25.00%
Ishares Eafe    (ETEFA3,7412,997
Added744
24.82%
Equinor A S A    (SP382308
Added74
24.02%
Arconic Inc    (CO284229
Added55
24.01%
Jernigan Capital Incorpo    (CO450363
Added87
23.96%
Vanguard Div Apprciation    (ETVIG1,6561,344
Added312
23.21%
Ishares Tr Barclays Tips    (TITIP9276
Added16
21.05%
APPLE HOSPITALITY REIT    (COAVEO2,3391,939
Added400
20.62%
Healthequity Inc    (COHQY5244
Added8
18.18%
Transocean Offshore Inc    (SHRIG907784
Added123
15.68%
Domtar Corporation New    (COUFS3127
Added4
14.81%
Universal Display Corp    (COPANL2522
Added3
13.63%
Restaurant Brands    (ADQSR1715
Added2
13.33%
Jpmorgan Betabuilders    (BE8575
Added10
13.33%
Seacor Holdings Inc New    (COCKH2623
Added3
13.04%
Patterson Uti Energy Inc    (COPTEN307275
Added32
11.63%
Ishares TRUST    (MBMBB365327
Added38
11.62%
Orange Sa    (ADORAN7870
Added8
11.42%
First Horizon Natl Corp    (COFHN353318
Added35
11.00%
Ishares Tr S&P Calif    (CACMF2,8762,598
Added278
10.70%
Geo Group Inc    (COGEO353320
Added33
10.31%
Wpx Energy Inc    (COWPX803728
Added75
10.30%
Ishares S&P 500    (ETIVV3,0582,790
Added268
9.60%
iShares Lehman 1-3    (1-SHY1,5331,405
Added128
9.11%
East West Bancorp    (COEWBC324297
Added27
9.09%
Xilinx Inc    (COXLNX301278
Added23
8.27%
Pennymac Finl Servic    (CO200185
Added15
8.10%
H M S Holdings Corp    (COHMSY8075
Added5
6.66%
Tactile Systems Technolo    (CO9892
Added6
6.52%
Bofi Holding Inc    (COBOFI8883
Added5
6.02%
Keysight Technologies    (COKEYS639604
Added35
5.79%
Cree Inc    (COCREE183173
Added10
5.78%
Schw Intl Scap Etf    (ETSCHC13,13012,437
Added693
5.57%
Oil States International    (COOIS384364
Added20
5.49%
Schwab US Large Value ETF    (ETSCHV414,202393,629
Added20,573
5.22%
Surmodics Inc    (COSRDX8480
Added4
5.00%
Commerce Bancshares Inc    (COCBSH264252
Added12
4.76%
Bristol Meyers Squibb    (COBMY4,8684,657
Added211
4.53%
SPDR Short-Term Corp Bond    (POSCPB471,125451,676
Added19,449
4.30%
Viacomcbs Inc    (CL417400
Added17
4.25%
Waddell & Reed Finl Cl A    (CLWDR175168
Added7
4.16%
Schwab Real Estate    (ETSCHH146,451140,795
Added5,656
4.01%
Intuit Inc    (COINTU289278
Added11
3.95%
Schw Emg Mkt Eq Etf    (ETSCHE227,118218,851
Added8,267
3.77%
Schwab Intl Equity ETF    (ETSCHF1,351,1531,302,350
Added48,803
3.74%
Vanguard Sh-Term Bond    (ETBSV142,404137,266
Added5,138
3.74%
Schwab US Small Cap ETF    (ETSCHA381,242367,925
Added13,317
3.61%
Vanguard REIT    (ETVNQ5,6805,494
Added186
3.38%
DoubleLine Total ETF    (SPTOTL264,423256,026
Added8,397
3.27%
Microsoft    (COMSFT11,30810,951
Added357
3.25%
Suncoke Energy Inc    (COSXC802777
Added25
3.21%
Ishares Tr Dow Jones Re    (U.IYR236229
Added7
3.05%
Google Inc Class A VTG Votin    (CLGPRO499485
Added14
2.88%
Schwab Mid-Cap    (ETSCHM209,555204,007
Added5,548
2.71%
Cisco Systems Inc    (COCSCO4,9464,821
Added125
2.59%
Health Care Reit Inc    (COHCN198193
Added5
2.59%
Ishares Tr S&P 500/ Barra Gr    (ETIVW755736
Added19
2.58%
Vanguard Value    (ETVTV22,75622,187
Added569
2.56%
Cato Corp    (CLCTR329321
Added8
2.49%
SCHWAB INTL LARGE COMPANY IN    (ETFNDF336328
Added8
2.43%
Slm Corporation    (COSLM1,3781,346
Added32
2.37%
Ishares - Australia    (ETEWA1,9861,947
Added39
2.00%
Vanguard Int-Term Bond    (ETBIV90,21188,661
Added1,550
1.74%
Umpqua Holdings Corp    (COUMPQ411404
Added7
1.73%
Diamondrock Hospitality    (CODRH805793
Added12
1.51%
S & P 500 ETF    (COSPY3,9943,937
Added57
1.44%
Qualcomm Inc    (COQCOM1,9051,879
Added26
1.38%
Mcdonald'S Corp    (COMCD1,5241,504
Added20
1.32%
Spdr Dow Jones Reit    (ETRWR9089
Added1
1.12%
Mattel Incorporated    (COMAT924914
Added10
1.09%
Ishares Tr Russell 2000 Valu    (ETIWN752744
Added8
1.07%
Van Kampen Ca Value Tr    (COVCV848839
Added9
1.07%
Occidental Pete Corp.    (COOXY476471
Added5
1.06%
iShares Corp Bond    (ETLQD196194
Added2
1.03%
Ishares Msci Usa Esg    (MSKLD630624
Added6
0.96%
Ishares Tr High Dividend    (ETHDV106105
Added1
0.95%
Nordstrom Inc    (COJWN2,2262,205
Added21
0.95%
Avalon Bay Cmntys Inc    (COAVB337334
Added3
0.89%
ISHARES MSCI EMRG MKTS MIN V    (MIEEMV122121
Added1
0.82%
Ishares Tr Dj US Consumr    (ETIYC245243
Added2
0.82%
Sch Fnd US Lg Etf    (ETFNDX92,15691,487
Added669
0.73%
Schw US Brd Mkt Etf    (ETSCHB316,734314,557
Added2,177
0.69%
Ii-Vi Incorporated    (COIIVI151150
Added1
0.66%
Ishares S&P Euro 350 Idx    (ETIEV1,8851,873
Added12
0.64%
Home Depot Inc    (COHD1,9141,902
Added12
0.63%
Essex Property Trust Inc    (COESS4,5804,552
Added28
0.61%
Sch US Agg Bnd Etf    (ETSCHZ95,87395,439
Added434
0.45%
Vanguard Small-Cap    (ETVB9,3499,307
Added42
0.45%
Ishares Morningstar    (MRJKD225224
Added1
0.44%
Vanguard Msci Eafe Etf    (ETVEA86,68786,325
Added362
0.41%
Ball Corporation    (COBLL1,6881,681
Added7
0.41%
Agilent Technologies Inc    (COA271270
Added1
0.37%
VANGUARD INFO TECH INDEX    (ETVGT544542
Added2
0.36%
Ishares Dj US Consumr    (ETIYK302301
Added1
0.33%
American Telephone & Tele    (COT24,52824,469
Added59
0.24%
Brown & Brown Inc    (COBRO964962
Added2
0.20%
Ishares Russell 1000    (ETIWB7,3737,358
Added15
0.20%
Oracle Corporation    (COORCL6,4926,481
Added11
0.16%
Verizon Communications    (COVZ7,0847,081
Added3
0.04%
Conocophillips    (COCOP2,3802,379
Added1
0.04%
Pfizer Incorporated    (COPFE7,7957,792
Added3
0.03%
Procter & Gamble Co    (COPG2,7512,750
Added1
0.03%
Enterprise Prd Prtnrs Lp    (COEPD5,7465,744
Added2
0.03%
Starbucks Corp    (COSBUX114,626114,621
Added5
0.00%
Berkshire Hathaway Cl A    (CIBRK/B4,1524,153
Reduced1
0.02%
Int'L Business Machines C    (COIBM3,9023,903
Reduced1
0.02%
A B M Industries Inc    (COABM486,895487,143
Reduced248
0.05%
Abbott Laboratories    (COABT2,4642,466
Reduced2
0.08%
Adobe Sys Inc    (COADBE68,18768,260
Reduced73
0.10%
Vanguard Euro Stock    (ETVGK4,0974,102
Reduced5
0.12%
Biomarin Pharmaceutl    (COBMRN800802
Reduced2
0.24%
Kimberly Clark Corp    (COKMB396397
Reduced1
0.25%
Dominion Resources Va    (COD743745
Reduced2
0.26%
Eaton Corporation    (SHETN2,9542,962
Reduced8
0.27%
Vangaurd Growth    (ETVUG17,23617,283
Reduced47
0.27%
Western Digital Corp    (COWDC711713
Reduced2
0.28%
Du Pont E I De Nemour & C    (CODD2,2992,306
Reduced7
0.30%
Advanced Micro Devices    (COAMD942945
Reduced3
0.31%
ALPS Sector Dividend Dogs    (SESDOG131,038131,460
Reduced422
0.32%
Philip Morris Intl Inc    (COPM2,1302,137
Reduced7
0.32%
Hewlett-Packard Company    (COHPQ4,4184,433
Reduced15
0.33%
Coca Cola Company    (COKO3,4713,483
Reduced12
0.34%
Jacobs Engineering Group    (COJEC1,9001,907
Reduced7
0.36%
Conseco Inc    (COCNC1,0181,022
Reduced4
0.39%
Ishares S&P North Am Fd    (ETIGV78,24078,550
Reduced310
0.39%
Apple Computer Inc.    (COAAPL30,23930,359
Reduced120
0.39%
Altria Group    (COMO3,9894,005
Reduced16
0.39%
Pepsico Incorporated    (COPEP1,6771,684
Reduced7
0.41%
Encana Corporation    (COECA239240
Reduced1
0.41%
Anthem Inc    (COANTM238239
Reduced1
0.41%
News Corp Ltd Cl A    (CLNWS-A1,0721,077
Reduced5
0.46%
Hormel Foods Corp    (COHRL25,59025,711
Reduced121
0.47%
Dow Chemical    (CODOW2,2992,310
Reduced11
0.47%
Campbell Soup Company    (COCPB199200
Reduced1
0.50%
Adidas AG ADR    (ADADDYY191192
Reduced1
0.52%
ISHARES SH TR CRPORT ETF    (ISCSJ10,84910,907
Reduced58
0.53%
Norfolk Southern    (CONSC724728
Reduced4
0.54%
Caesars Entertainmnt    (COCZR1,8061,816
Reduced10
0.55%
Costco Companies Inc.    (COCOST10,19610,256
Reduced60
0.58%
Newmont Mining Corp    (CONEM754759
Reduced5
0.65%
Medtronics Inc.    (COMDT410413
Reduced3
0.72%
Regions Financial Cp New    (CORF1,9922,007
Reduced15
0.74%
Chevrontexaco Corp    (COCVX7,3007,360
Reduced60
0.81%
Sysco Corporation    (COSYY355358
Reduced3
0.83%
Dycom Industries Inc    (CODY110111
Reduced1
0.90%
Edison International    (COEIX329332
Reduced3
0.90%
Skyworks Solutions Inc    (COSWKS313316
Reduced3
0.94%
Prudential Financial Inc    (COPRU288291
Reduced3
1.03%
Biogen Idec Inc    (COBIIB186188
Reduced2
1.06%
Arrow Electronics Inc    (COARW263266
Reduced3
1.12%
Intel Corp    (COINTC16,89917,092
Reduced193
1.12%
Comerica Incorporated    (COCMA1,1011,114
Reduced13
1.16%
TE Connectivity Ltd    (COTEL334338
Reduced4
1.18%
Duke Energy Corporation    (CODUK833843
Reduced10
1.18%
T C F Financial Corp    (COTCB665673
Reduced8
1.18%
Conagra Foods Inc    (COCAG742751
Reduced9
1.19%
Invesco SX7 FTSE RAFI US 100    (ETPRF30,51130,906
Reduced395
1.27%
Marathon Pete Corp    (COMPC608616
Reduced8
1.29%
Ebay Inc.    (COEBAY741751
Reduced10
1.33%
Schwab US Large Growth ETF    (ETSCHG271,876275,561
Reduced3,685
1.33%
Manpower Inc    (COMAN215218
Reduced3
1.37%
Amer Electric Pwr Co Inc    (COAEP501508
Reduced7
1.37%
Gilead Sciences Inc    (COGILD845857
Reduced12
1.40%
Hollyfrontier Corp    (COHFC350355
Reduced5
1.40%
Walgreens Boots Allianc    (COWBA699709
Reduced10
1.41%
Eastman Chemical Co    (COEMN349354
Reduced5
1.41%
Sealed Air Corp New    (COSEE417423
Reduced6
1.41%
Ppg Industries Inc.    (COPPG270274
Reduced4
1.45%
Foot Locker Inc    (COFL317322
Reduced5
1.55%
Scientific Games Cp Cl A    (CLSGMS126128
Reduced2
1.56%
Schlumberger Ltd    (COSLB689700
Reduced11
1.57%
Edwards Lifesciences Cp    (COEW125127
Reduced2
1.57%
Allergan Inc    (COAGN174177
Reduced3
1.69%
Silicon Valley Bancshs In    (COSIVB5859
Reduced1
1.69%
Humana Inc    (COHUM112114
Reduced2
1.75%
Corning Inc    (COGLW885901
Reduced16
1.77%
J P Morgan Chase & Co.    (COJPM2,8652,917
Reduced52
1.78%
Cardinal Health Inc.    (COCAH217221
Reduced4
1.80%
Minnesota Mining & Mfg    (COMMM421429
Reduced8
1.86%
Wabtec    (COWAB262267
Reduced5
1.87%
A F L A C Inc    (COAFL522532
Reduced10
1.87%
Huntington Ingalls Inds    (COHII5253
Reduced1
1.88%
Facebook Inc Class A    (COFB4,0294,107
Reduced78
1.89%
Prologis    (COPLD246251
Reduced5
1.99%
Kinder Morgan Inc    (COKMI1,1211,144
Reduced23
2.01%
Charter One Financial    (COCF290296
Reduced6
2.02%
Sonoco Products Co    (COSON191195
Reduced4
2.05%
Westpac Banking Spn Adrf    (SPWBK1,0281,050
Reduced22
2.09%
First Midwest Bancrp Del    (COFMBI225230
Reduced5
2.17%
Hartford Finl Svcs Grp    (COHIG402411
Reduced9
2.18%
Wal-Mart Stores Inc    (COWMT2,9332,999
Reduced66
2.20%
Lauder Estee Co Inc Cl A    (CLEL175179
Reduced4
2.23%
Cummins Inc    (COCMI131134
Reduced3
2.23%
Morgan Stanley    (COMS610624
Reduced14
2.24%
Kroger Company    (COKR467478
Reduced11
2.30%
Centerpoint Energy Inc    (COCNP486498
Reduced12
2.40%
Phillips    (COPSX1,5641,603
Reduced39
2.43%
Fmc Technologies Inc    (COFTI398408
Reduced10
2.45%
Alexion Pharma Inc    (COALXN7981
Reduced2
2.46%
Enbridge Inc    (COENB711729
Reduced18
2.46%
Tech Data Corp    (COTECD157161
Reduced4
2.48%
Sony Corp Adr New    (SPSNE7880
Reduced2
2.50%
Discover Financial Svcs    (CODFS192197
Reduced5
2.53%
Visa    (CLV73,52675,484
Reduced1,958
2.59%
Discovery Holding Ser A    (CODISCA245252
Reduced7
2.77%
Dicks Sporting Goods Inc    (CODKS6971
Reduced2
2.81%
Ishares Tr S&P 500/ Barra Va    (ETIVE1,4831,526
Reduced43
2.81%
Delta Airlines Inc    (CODAL411423
Reduced12
2.83%
Vanguard Emerging Mkts    (ETVWO15,40915,864
Reduced455
2.86%
Bankamerica Corp. New    (COBAC13,23013,626
Reduced396
2.90%
A M P Incorporated    (COAMLTF3233
Reduced1
3.03%
Quanta Services Inc    (COPWR415428
Reduced13
3.03%
Abbvie Inc    (COABBV2,2632,336
Reduced73
3.12%
The Charles Schwab Corp    (COSCHW31,14432,170
Reduced1,026
3.18%
Centurytel Inc    (COCTL542560
Reduced18
3.21%
Schwab Short Term US    (SHSCHO15,46915,989
Reduced520
3.25%
Cognizant Tech Sol Cl A    (COCTSH174180
Reduced6
3.33%
Csx Corp    (COCSX229237
Reduced8
3.37%
Principal Financial Grp    (COPFG309320
Reduced11
3.43%
Ishares Tr Core Total Usd    (COIUSB1,4561,508
Reduced52
3.44%
E O G Resources Inc    (COECAOF335347
Reduced12
3.45%
Westrock Company    (COWRK165171
Reduced6
3.50%
Parker-Hannifin Corp    (COPH7780
Reduced3
3.75%
Wells Fargo & Co New    (COWFC3,3333,463
Reduced130
3.75%
Nektar Therapeutics    (CONKTR1,5501,611
Reduced61
3.78%
Ethan Allen Interiors    (COETH379394
Reduced15
3.80%
Danone Adr-Ea Cnv Into 1/5 E    (ADDANOY200208
Reduced8
3.84%
Hess Corporation    (COHES243253
Reduced10
3.95%
Royal Dutch Shell A Adrf    (ADRDS.A2425
Reduced1
4.00%
Darden Restaurants Inc    (CODRI165172
Reduced7
4.06%
Factset Research Systems    (COFDS9498
Reduced4
4.08%
United Rentals Inc    (COURI303316
Reduced13
4.11%
Quaker Chemical Corp    (COKWR2324
Reduced1
4.16%
Grainger W W Inc    (COGWW4345
Reduced2
4.44%
Varian Medical Systems    (COVAR8690
Reduced4
4.44%
Amern Eqty Invt Life    (COAEL252264
Reduced12
4.54%
Bank Of New York Co Inc    (COBK586615
Reduced29
4.71%
Navient Corp    (CONAVI322338
Reduced16
4.73%
International Paper Co.    (COIP319335
Reduced16
4.77%
J M Smucker Co New    (COSJM134141
Reduced7
4.96%
Ishares TRUST    (ETSCZ1,7291,824
Reduced95
5.20%
Halliburton Co Hldg Co    (COHAL282298
Reduced16
5.36%
Borg Warner Inc    (COBWA401424
Reduced23
5.42%
S E I Investments Co    (COSEIC257272
Reduced15
5.51%
SPDR Port MSCI GLBL STCKM    (POACIM5154
Reduced3
5.55%
Timkensteel Corp    (COTMST710754
Reduced44
5.83%
American Airls Group Inc    (COAAL104111
Reduced7
6.30%
Livent Corp    (CO206220
Reduced14
6.36%
Interface Inc    (COTILE191204
Reduced13
6.37%
Merit Med Sys Inc    (COMMSI129138
Reduced9
6.52%
Goldman SachsMidCap    (ET342366
Reduced24
6.55%
Amazon Com Inc    (COAMZN458491
Reduced33
6.72%
Zoetis Inc    (COZTS333358
Reduced25
6.98%
Zions Bancorp    (COZION212228
Reduced16
7.01%
Lincoln National Corp    (COLNC223240
Reduced17
7.08%
American Intl Group Inc    (COAIG169182
Reduced13
7.14%
Johnson & Johnson    (COJNJ6,8037,329
Reduced526
7.17%
U A L Corp New    (COUAL6469
Reduced5
7.24%
Citizens Finl Group    (COCFG190205
Reduced15
7.31%
Avery Dennison Corp    (COAVY100108
Reduced8
7.40%
Omega Healthcare Invs Inc    (COOHI142154
Reduced12
7.79%
Abb Ltd Adr    (COABB172187
Reduced15
8.02%
Autodesk Inc    (COADSK199217
Reduced18
8.29%
Legg Mason Inc    (COLM8795
Reduced8
8.42%
Phillips-Van Heusen Corp    (COPVH212232
Reduced20
8.62%
Hca Inc    (COHCA4246
Reduced4
8.69%
Affiliated Managers Grp    (COAMG5965
Reduced6
9.23%
Apt Invt & Mgmt A    (CLAIV6673
Reduced7
9.58%
PULTE CORP    (COPHM130144
Reduced14
9.72%
Blackrock Inc    (COBLK910
Reduced1
10.00%
Google Inc Class A    (CLGOOG435485
Reduced50
10.30%
General Electric Company    (COGE12,12413,532
Reduced1,408
10.40%
Zebra Technologies Cl A    (CLZBRA170190
Reduced20
10.52%
Unicredit Spa    (AD172193
Reduced21
10.88%
Expeditors Intl Wash    (COEXPD91103
Reduced12
11.65%
Fedex Corp    (COFDX5360
Reduced7
11.66%
Nextera Energy Inc    (CONEE252286
Reduced34
11.88%
Exelixis Inc    (COEXEL225256
Reduced31
12.10%
Novo-Nordisk A-S Adr    (ADNVO8597
Reduced12
12.37%
Cullen Frost Bankers    (COCFR4956
Reduced7
12.50%
Danaher Corp Del    (CODHR315360
Reduced45
12.50%
Federated Invs Pa Cl B    (COFII89102
Reduced13
12.74%
Netflix Inc    (CONFLX278319
Reduced41
12.85%
Vertex Pharmaceuticals    (COVRTX155178
Reduced23
12.92%
Boeing Co    (COBA487565
Reduced78
13.80%
Allegion Public Ltd Co    (COALLE111129
Reduced18
13.95%
Ubs Ag New    (SHUBS597697
Reduced100
14.34%
Realogy Holdings Co    (CORLGY1,3191,541
Reduced222
14.40%
Gap Inc    (COGPS9471,107
Reduced160
14.45%
Northrop Grumman Corp    (CONOC152178
Reduced26
14.60%
Circuit City Stores Inc-    (COCC517606
Reduced89
14.68%
Fortive Corporation    (COFTV251297
Reduced46
15.48%
Intrcontinentalexchange    (COICE409484
Reduced75
15.49%
Tricon Global Restr Inc    (COYUM272325
Reduced53
16.30%
Oshkosh Truck Corp    (COOSK236282
Reduced46
16.31%
Illumina Inc    (COILMN264316
Reduced52
16.45%
Valero Energy Corp New    (COVLO432519
Reduced87
16.76%
General Dynamics Corp    (COGD214258
Reduced44
17.05%
Applied Materials Inc    (COAMAT704849
Reduced145
17.07%
Vodafone Airtouch Adr    (SPVOD8501,028
Reduced178
17.31%
Nvidia Corp    (CONVDA235285
Reduced50
17.54%
Ishares High Yield Bond    (ETHYG210255
Reduced45
17.64%
Aon Corporation    (CLAON164201
Reduced37
18.40%
L C I Indus    (CO6276
Reduced14
18.42%
Deere & Co    (CODE198243
Reduced45
18.51%
Illinois Tool Works Inc    (COITW205252
Reduced47
18.65%
Vanguard Index Fds Vanguard    (SMVBK5973
Reduced14
19.17%
Union Pacific Corp    (COUNP8461,051
Reduced205
19.50%
Air Prod & Chemicals Inc    (COAPD115143
Reduced28
19.58%
Fiat Chrysler Auto    (SHFCAU103129
Reduced26
20.15%
Cirrus Logic Inc    (COCRUS162204
Reduced42
20.58%
Covetrus Inc    (CO237300
Reduced63
21.00%
Harsco Corporation    (COHSC100127
Reduced27
21.25%
Onto Innovation Inc    (CO162206
Reduced44
21.35%
Innovative Industria    (CO238303
Reduced65
21.45%
Hershey Foods Corp    (COHSY168214
Reduced46
21.49%
Bausch Health Cos Inc    (CO200255
Reduced55
21.56%
Skywest Inc    (COSKYW211270
Reduced59
21.85%
Exxon Mobil Corporation    (COXOM3,6814,713
Reduced1,032
21.89%
Auto Data Processing    (COADP287369
Reduced82
22.22%
Green Dot Inc Cl A    (CLGDOT116150
Reduced34
22.66%
Chemed Corporation    (COCHE1621
Reduced5
23.80%
J Alexanders Holding    (CO1622
Reduced6
27.27%
Prudential Corp Plc Adrf    (ADPUK101141
Reduced40
28.36%
General Motors Corp    (COGM83116
Reduced33
28.44%
Ishares Total US Stock    (COISI1,5722,211
Reduced639
28.90%
Etsy Inc    (COETSY157221
Reduced64
28.95%
Keycorp Inc New    (COKEY112159
Reduced47
29.55%
Progressive Corp Ohio    (COPGR309439
Reduced130
29.61%
Glacier Bancorp Inc New    (COGBCI223318
Reduced95
29.87%
Micron Technology Inc    (COMU500725
Reduced225
31.03%
Bank Ozk    (CO303440
Reduced137
31.13%
Analog Devices Inc    (COADI174254
Reduced80
31.49%
Dte Energy Company    (CODTE129189
Reduced60
31.74%
Cincinnati Financial Cp    (COCINF162238
Reduced76
31.93%
M K S Instruments Inc    (COMKSI154231
Reduced77
33.33%
Sleep Number Corpora    (CO6193
Reduced32
34.40%
ISHARES MSCI EMERGING MARKET    (ETIEMG7321,117
Reduced385
34.46%
Adtalem Global Educa    (CO155239
Reduced84
35.14%
Viavi Solutions Inc    (COVIAV456706
Reduced250
35.41%
Salesforce Com    (COCRM15,62124,330
Reduced8,709
35.79%
Kellogg Company    (COK179279
Reduced100
35.84%
Diamondback Energy    (COFANG92144
Reduced52
36.11%
Ecolab Inc    (COECL2336
Reduced13
36.11%
Under Armour Inc    (CL267418
Reduced151
36.12%
Thor Industries Inc    (COTHO89141
Reduced52
36.87%
Neogenomics Inc    (CONGNM87140
Reduced53
37.85%
Repligen Corp    (CORGEN5284
Reduced32
38.09%
Silicon Laboratories Inc    (COSLAB93151
Reduced58
38.41%
Market Vectors Etf TRUST    (ETGDX1,8253,002
Reduced1,177
39.20%
Idacorp Incorporated    (COIDA79130
Reduced51
39.23%
Societe Genrale Spn Adrf    (ADSCGLY254421
Reduced167
39.66%
Arrowhead Pharma Inc    (CO87146
Reduced59
40.41%
Masimo Corp New    (COMASI103173
Reduced70
40.46%
Albemarle Corp    (COALB211361
Reduced150
41.55%
Selective Ins Group Inc    (COSIGI4070
Reduced30
42.85%
Arbor Realty TRUST Inc    (COABR400700
Reduced300
42.85%
I C U Medical Inc    (COICUI70125
Reduced55
44.00%
Landstar System Inc    (COLSTR60109
Reduced49
44.95%
Gannett Co Inc    (COGCI5531,024
Reduced471
45.99%
Wirecard Ag Berlin    (AD2547
Reduced22
46.80%
Align Technology Inc    (COALGN117225
Reduced108
48.00%
Standard Motor Prods Inc    (COSMP4281
Reduced39
48.14%
Simon Debartolo Group    (COSPG2243
Reduced21
48.83%
GLOBE LIFE INC COM    (CO117229
Reduced112
48.90%
Ingersoll-Rand Company    (SHIR56111
Reduced55
49.54%
Callon Petroleum Corp    (COCPE5981,194
Reduced596
49.91%
Ishares Brazil    (MSEWZ125250
Reduced125
50.00%
Cedar Fair L P Dep Uts    (DEFUN100200
Reduced100
50.00%
Curtiss Wright Corp    (COCW104211
Reduced107
50.71%
Aarons Inc    (CORNT/A120248
Reduced128
51.61%
Sutter Rock Cap Corp    (CO6001,298
Reduced698
53.77%
Topbuild Corporation    (CO57124
Reduced67
54.03%
Paccar Inc    (COPCAR5111,121
Reduced610
54.41%
Electronic Arts Inc    (COERTS74164
Reduced90
54.87%
Henderson Group Plc    (OR178400
Reduced222
55.50%
Iron Mountain Inc New    (COIRM236536
Reduced300
55.97%
Intuitive Surgical New    (COISRG3989
Reduced50
56.17%
Senior Housing Pptys Tr    (BESNH6951,706
Reduced1,011
59.26%
Wheaton Precious Met    (CO244600
Reduced356
59.33%
Br Amer Tobacco Plc Adrf    (SPBTI85210
Reduced125
59.52%
Intesa Sanpaolo Spa    (ADISNPY334834
Reduced500
59.95%
Abiomed Inc    (COABMD65164
Reduced99
60.36%
Xperi Corporation    (CO240610
Reduced370
60.65%
Posco Adr    (SPPKX2360
Reduced37
61.66%
Pioneer Natural Res Co    (COPXD122322
Reduced200
62.11%
Activision Inc    (COATVI64170
Reduced106
62.35%
VANGUARD WORLD EX US SMALL C    (ETVSS1335
Reduced22
62.85%
Gold Shares    (ETNCMBF1,0532,839
Reduced1,786
62.90%
C A C I Inc    (CLCAI47127
Reduced80
62.99%
Boston Beer Co Inc Cl A    (COSAM719
Reduced12
63.15%
J & J Snack Food Corp    (COJJSF1953
Reduced34
64.15%
GARRETT MOTION INC COM    (CO53150
Reduced97
64.66%
Hope Bancorp Inc    (CO287834
Reduced547
65.58%
Molina Healthcare Inc    (COMOH2059
Reduced39
66.10%
Arcosa Inc    (CO229710
Reduced481
67.74%
Devon Energy Corp New    (CODVN126445
Reduced319
71.68%
J B G Smith Properti    (CO89342
Reduced253
73.97%
Etf Managers Tr    (ET52201
Reduced149
74.12%
Apergy Corporation    (CO56218
Reduced162
74.31%
Syneos Health Inc    (CL47190
Reduced143
75.26%
Caseys Gen Stores Inc    (COCASY2189
Reduced68
76.40%
Raytheon Company New    (CORTN1983
Reduced64
77.10%
Glencore Plc    (ADGLNCY2591,259
Reduced1,000
79.42%
Agere Systems Inc    (CO101500
Reduced399
79.80%
Axon Enterprise Inc    (CO46230
Reduced184
80.00%
Global Net Lease Incorpo    (CO59352
Reduced293
83.23%
CABLE ONE INC COM    (COCABO16
Reduced5
83.33%
Lamb Weston Holdings    (CO109661
Reduced552
83.50%
Workday Inc Cl A    (CLWDAY1,4199,419
Reduced8,000
84.93%
Lumentum Holdings In    (CO2161,494
Reduced1,278
85.54%
Constellation Brand Cl A    (COSTZ656
Reduced50
89.28%
Alcon Inc    (OR28267
Reduced239
89.51%
Ishares Smallcap Growth    (ETIJT4044,019
Reduced3,615
89.94%
SNAP INC COM CL A    (CL49526
Reduced477
90.68%
Dell Computers Corp    (CL2012,341
Reduced2,140
91.41%
Triad Hospitals Inc    (CO4005,000
Reduced4,600
92.00%
Solaredge Tech    (CO26540
Reduced514
95.18%
Ishares Core    (CO841,800
Reduced1,716
95.33%
Wyndham Hotels & Resorts    (CO63016,000
Reduced15,370
96.06%
Dsv A/S    (AD23784
Reduced761
97.06%
SHOPIFY INC COM CL A    (CL6250
Reduced244
97.60%
TRUIST FINANCIAL CORPORATION    (CO79836,526
Reduced35,728
97.81%
Match Group Inc    (CO4450
Reduced446
99.11%
Ionis Pharmaceutical    (CO3450
Reduced447
99.33%
Trilogy Metals Inc N    (CO13321,223
Reduced21,090
99.37%
Global Blockchain    (ET81,562
Reduced1,554
99.48%
Lithium Amers Corp    (CO203,966
Reduced3,946
99.49%
The Trade Desk Inc    (CO205,000
Reduced4,980
99.60%
Nutrien Ltd    (CO6150,000
Reduced49,939
99.87%
Net Element Inc    (CO18,010
Reduced8,009
99.98%
Select Sector Spdr Tr Rl Est    (RL984,977
Reduced84,968
99.98%
Wirecard Ag Berlin    (AD025
Sold Out
Sold Out
Mercer Intl S B I    (COMERC0194
Sold Out
Sold Out
Mercadolibre Inc Com Usd0.00    (COMELI01
Sold Out
Sold Out
Xperi Corporation    (CO0240
Sold Out
Sold Out
Medidata Solutions Inc    (COMDSO0123
Sold Out
Sold Out
Grubhub    (COGRUB038
Sold Out
Sold Out
Wyndham Hotels & Resorts    (CO0630
Sold Out
Sold Out
World Wrestling Entm    (CLWWE060
Sold Out
Sold Out
Mylan Inc    (COMYL011
Sold Out
Sold Out
Altaba Incorporated    (COAABA0144
Sold Out
Sold Out
Vonage Holdings    (COVG0338
Sold Out
Sold Out
Ally Financial Inc Com Usd0.    (COALLY022
Sold Out
Sold Out
N Cr Corp New    (CO0386
Sold Out
Sold Out
Neurocrine Biosciences Inc    (CONBIX02
Sold Out
Sold Out
Graphic Packaging Hldg Co Co    (COGPK023
Sold Out
Sold Out
BEYOND MEAT INC COM    (CO02
Sold Out
Sold Out
Navigant Consulting Inc    (CONCI0212
Sold Out
Sold Out
Hercules Tech Growth    (COHTGC0950
Sold Out
Sold Out
Federal Rlty Invt Tr Sbi    (SHFRT012
Sold Out
Sold Out
Whirlpool Corp    (COWHR02
Sold Out
Sold Out
Wheaton Precious Met    (CO0244
Sold Out
Sold Out
Heico Corp New    (COHEI050
Sold Out
Sold Out
National Oilwell Varco    (CONOV014
Sold Out
Sold Out
Medifast Inc    (COMED026
Sold Out
Sold Out
Whiting Petroleum Co    (CO0460
Sold Out
Sold Out
Alcan Aluminum Ltd New F    (CLAL09
Sold Out
Sold Out
Garmin Ltd New    (SHGRMN09
Sold Out
Sold Out
Ishares Msci Etf    (MSINDA037
Sold Out
Sold Out
Alcon Inc    (OR029
Sold Out
Sold Out
Nvent Electric Plc    (SH0288
Sold Out
Sold Out
Littelfuse Inc    (COLFUS039
Sold Out
Sold Out
Nabors Industries Ltd    (SHNBR0428
Sold Out
Sold Out
Novartis A G Spon Adr    (AD0146
Sold Out
Sold Out
Exact Sciences Corp    (COEXAS01
Sold Out
Sold Out
Nxp Semiconductors Nv    (CONXPI07
Sold Out
Sold Out
Epizyme Inc Com Usd0.0001    (COEPZM05
Sold Out
Sold Out
Jetblue Airways Corp    (COJBLU013
Sold Out
Sold Out
Knoll Inc Com New    (COKNL012
Sold Out
Sold Out
Ehealth Inc    (COEHTH01
Sold Out
Sold Out
Amc Networks Inc Cl A    (COAMCX057
Sold Out
Sold Out
APTIV PLC COM    (SH0186
Sold Out
Sold Out
Marvell Tech Group    (ORMRVL033
Sold Out
Sold Out
Dril Quip    (CODRQ033
Sold Out
Sold Out
Amcor Plc    (OR0938
Sold Out
Sold Out
Market Vectors Etf    (ETEMLC039
Sold Out
Sold Out
Matador Resources Co    (COMTDR0151
Sold Out
Sold Out
Yum China Holdings I    (CO0135
Sold Out
Sold Out
Ishares Global    (GLIGF0370
Sold Out
Sold Out
Viewray Inc Com    (CO02
Sold Out
Sold Out
Capri Holdings Ltd Com Npv    (SH06
Sold Out
Sold Out
Exponent Inc    (COEXPO0184
Sold Out
Sold Out
Linde Plc    (CO0118
Sold Out
Sold Out
Macquarie Infrastruc    (COMIC0250
Sold Out
Sold Out
Henderson Group Plc    (OR0189
Sold Out
Sold Out
Delphi Automotive Plc    (SHDLPH01
Sold Out
Sold Out
Ishares S&P U S Pfd Fund    (U.PFF0200
Sold Out
Sold Out
Dish Network Corp Cl A    (CLDISH09
Sold Out
Sold Out
Delcath Systems Inc    (CODCTH01
Sold Out
Sold Out
Carrizo Oil & Gas Inc    (COCRZO0284
Sold Out
Sold Out
Tile Shop Hldgs Inc    (COTTS01,006
Sold Out
Sold Out
Sarepta Therapeutics Inc Com    (COSRPT03
Sold Out
Sold Out
Carnival Plc    (ADCUK023
Sold Out
Sold Out
Tenneco Inc    (CLTEN023
Sold Out
Sold Out
Caredx Inc Com    (COCDNA01
Sold Out
Sold Out
Banco De Chile    (SPBCH054
Sold Out
Sold Out
Sampo Oyj    (ADSAXPY0317
Sold Out
Sold Out
Tupperware Brands Corp    (COTUP0206
Sold Out
Sold Out
Celanese Corp    (COCE04
Sold Out
Sold Out
Celgene Corp    (COCELG0225
Sold Out
Sold Out
U S Silica Hldgs Inc    (COSLCA0224
Sold Out
Sold Out
Tyson Foods Inc Cl A    (CLTSN09
Sold Out
Sold Out
B & G Foods Inc    (COBGS0274
Sold Out
Sold Out
Bb&T Corporation    (COBBT0459
Sold Out
Sold Out
Incyte Corporation    (COINCY03
Sold Out
Sold Out
Canadian Natural Res    (COCNQ010
Sold Out
Sold Out
Sherwin Williams Co    (COSHW01
Sold Out
Sold Out
Christian Hansen Hld    (ADCHYHY0166
Sold Out
Sold Out
Suntrust Banks Inc    (COSTI0263
Sold Out
Sold Out
Boston Properties Inc    (COBXP02
Sold Out
Sold Out
Boyd Gaming Corp    (COBYD0440
Sold Out
Sold Out
Spectra Energy    (COSE09
Sold Out
Sold Out
Cbs Corporation    (COCBS061
Sold Out
Sold Out
Symantec Corp    (COSYMC0475
Sold Out
Sold Out
Jd.Com Inc Spon Ads Each Rep    (SPJD04
Sold Out
Sold Out
Cambrex Corp    (COCBM0143
Sold Out
Sold Out
Targa Res Corp Com    (COTRGP07
Sold Out
Sold Out
Intl Game Technology    (COIGT08
Sold Out
Sold Out
Cabot Microelectronics    (COCCMP045
Sold Out
Sold Out
Insperity Inc    (CONSP0100
Sold Out
Sold Out
Insight Enterprises Inc    (CONSIT0147
Sold Out
Sold Out
Gildan Activewear Inc    (COGIL062
Sold Out
Sold Out
Rudolph Technologies Inc    (CORTEC0202
Sold Out
Sold Out
Amkor Technology Inc    (COAMKR024
Sold Out
Sold Out
On Deck Cap Inc    (COONDK01,000
Sold Out
Sold Out
O Reilly Automotive Inc    (COORLY027
Sold Out
Sold Out
Ford Motor Company    (COF021
Sold Out
Sold Out
Vanguard Muni Bnd Tax    (TA0811
Sold Out
Sold Out
Coty Inc    (COCOTY060
Sold Out
Sold Out
Paycom Software Inc    (COPAYC025
Sold Out
Sold Out
Flexshares Upstream    (MOGUNR0239
Sold Out
Sold Out
Verisign Inc    (COVRSN03
Sold Out
Sold Out
Viacom Inc Non-Vtg Cl B    (CIVIA-B0621
Sold Out
Sold Out
Finisar Corp Com New    (COFNSRD0100
Sold Out
Sold Out
Five Below    (COFIVE073
Sold Out
Sold Out
Vertical Capital Income    (SH0349
Sold Out
Sold Out
Sothebys    (COBID0227
Sold Out
Sold Out
Versum Materials Inc    (CO087
Sold Out
Sold Out
Penske Automotive Group    (COPAG04
Sold Out
Sold Out
Huntsman Corporation    (COHUN019
Sold Out
Sold Out
Ironwood Pharmaceuticals Inc    (COIRWD03
Sold Out
Sold Out
Guggenheim Etf TRUST    (COCUT0315
Sold Out
Sold Out
R L I Corp    (CORLI0128
Sold Out
Sold Out
Renault S A    (ADRNLSY087
Sold Out
Sold Out
Rogers Corporation    (COROG055
Sold Out
Sold Out
Unit Corporation    (COUNT01,164
Sold Out
Sold Out
Cheniere Energy Inc New    (COLNG03
Sold Out
Sold Out
Health Care Ppty Inv Inc    (COHCP0149
Sold Out
Sold Out
Qep Resources Inc    (COQEP0662
Sold Out
Sold Out
Vanguard Total World    (TT0247
Sold Out
Sold Out
CONTINENTAL RESOURCES INC CO    (COCLR05
Sold Out
Sold Out
Consol Energy Inc    (COCEIX0146
Sold Out
Sold Out
Pilgrims Pride Corp Com Usd0    (COPPC09
Sold Out
Sold Out
Genesee & Wyoming Cl A    (COGWR073
Sold Out
Sold Out
INVESCO EMERGING MARKETS S O    (SOPCY0297
Sold Out
Sold Out
New Media Inv Grp    (CONEWM0694
Sold Out
Sold Out
* Portfolios do not reflect changes after reporting
LATEST NEWS OR LINKS >Contribute a new link
Investing Just Like
Gemmer Asset Management LLC

Matching performance of Gemmer Asset Management LLC by investing same stocks.

Get the number of shares each stock for investing:





MAJOR GURUS:
Warren Buffett
John Paulson
George Soros

*Data and information is provided for informational purposes only, and is not intended for trading purposes.*
*By accessing the Relationalstocks.com web site, a user agrees that RelationalStocks.com shall be not liable for any errors or delays in the content.*