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STOCK TICKER:

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

FORSTA AP-FONDEN INSTITUTION : FORSTA AP-FONDEN
FORSTA AP-FONDEN Buys/Sells In Portfolio (reported on 2020-02-12)
Company Ticker Current
Holdings
Previous
Holdings
Sells/Buys % of change
Melco Resorts & Entertainment    (AMPEL13,6000
New Buy
New Buy
One Liberty Properties Inc    (COM)OLP8,4000
New Buy
New Buy
Getty Realty Corp    (COM)GTY9,8000
New Buy
New Buy
McDonald's Corp    (COM)MCD28,1000
New Buy
New Buy
Urstadt Biddle Properties Inc    (CUBA9,6000
New Buy
New Buy
Ashford Inc    (COM)AINC700
New Buy
New Buy
Urban Edge Properties    (COM)UE25,4000
New Buy
New Buy
CIBC    (COM)CM76,1000
New Buy
New Buy
CareTrust REIT Inc    (COM)CTRE21,0000
New Buy
New Buy
Terreno Realty Corp    (COM)TRNO12,2000
New Buy
New Buy
Chatham Lodging Trust    (COM)CLDT20,4000
New Buy
New Buy
VEREIT Inc    (COM)196,14028,400
Added167,740
590.63%
Dell Technologies Inc    (CL C)370,60060,000
Added310,600
517.66%
WEC Energy Group Inc    (COM)63,90011,600
Added52,300
450.86%
SITE Centers Corp    (COM)36,5007,357
Added29,143
396.12%
Colony Capital Inc    (CL A COM)86,20017,990
Added68,210
379.15%
Park Hotels & Resorts Inc    (COM)52,19611,110
Added41,086
369.81%
Invitation Homes Inc    (COM)83,26324,500
Added58,763
239.84%
Cushman & Wakefield PLC    (SHS)16,8325,450
Added11,382
208.84%
Braemar Hotels & Resorts Inc    (CO14,9005,800
Added9,100
156.89%
AvalonBay Communities Inc    (COM)AVB50,95021,750
Added29,200
134.25%
VICI Properties Inc    (COM)76,70033,000
Added43,700
132.42%
Equity LifeStyle Properties In    (ELS28,80012,500
Added16,300
130.40%
Uniti Group Inc    (COM)40,40017,600
Added22,800
129.54%
Equity Residential    (SH BEN INT)EQR132,10058,000
Added74,100
127.75%
Atmos Energy Corp    (COM)ATO53,90024,800
Added29,100
117.33%
Americold Realty Trust    (COM)31,80014,900
Added16,900
113.42%
Global Net Lease Inc    (COM NEW)32,40016,196
Added16,204
100.04%
JBG SMITH Properties    (COM)23,15011,800
Added11,350
96.18%
Rexford Industrial Realty Inc    (CREXR18,1009,800
Added8,300
84.69%
Healthpeak Properties Inc    (COM)84,20047,163
Added37,037
78.52%
Office Properties Income Trust    (12,7107,200
Added5,510
76.52%
GEO Group Inc/The    (COM)GEO31,80020,300
Added11,500
56.65%
American Homes 4 Rent    (CL A)AMH45,40030,300
Added15,100
49.83%
CMS Energy Corp    (COM)CMS91,60062,200
Added29,400
47.26%
Medical Properties Trust Inc    (COMPW82,90057,600
Added25,300
43.92%
RLJ Lodging Trust    (COM)RLJ50,13335,233
Added14,900
42.28%
Brandywine Realty Trust    (SH BEN BDN45,90032,300
Added13,600
42.10%
Service Properties Trust    (COM SH36,20025,700
Added10,500
40.85%
Taubman Centers Inc    (COM)TCO14,90010,600
Added4,300
40.56%
Macerich Co/The    (COM)MAC26,75019,350
Added7,400
38.24%
Apple Hospitality REIT Inc    (COM 53,00038,500
Added14,500
37.66%
National Health Investors Inc    (CNHI9,6007,000
Added2,600
37.14%
Hersha Hospitality Trust    (PR SHS20,40015,150
Added5,250
34.65%
Douglas Emmett Inc    (COM)DEI29,20021,900
Added7,300
33.33%
Preferred Apartment Communitie    (APTS15,70011,800
Added3,900
33.05%
EPR Properties    (COM SH BEN INT)EPR15,10011,400
Added3,700
32.45%
Howard Hughes Corp/The    (COM)HHC7,3005,600
Added1,700
30.35%
Iron Mountain Inc    (COM)IRM54,70042,000
Added12,700
30.23%
Healthcare Realty Trust Inc    (COMHR26,00020,000
Added6,000
30.00%
Colgate-Palmolive Co    (COM)CL73,00056,200
Added16,800
29.89%
CyrusOne Inc    (COM)CONE19,90015,400
Added4,500
29.22%
PotlatchDeltic Corp    (COM)PCH13,48510,485
Added3,000
28.61%
Corporate Office Properties Tr    (OFC23,10018,000
Added5,100
28.33%
Pembina Pipeline Corp    (COM)PBNPF181,295142,995
Added38,300
26.78%
Omega Healthcare Investors Inc    (OHI40,10031,700
Added8,400
26.49%
Sun Communities Inc    (COM)SUI15,40012,200
Added3,200
26.22%
Anthem Inc    (COM)ANTM70,50056,200
Added14,300
25.44%
STORE Capital Corp    (COM)STOR37,05029,550
Added7,500
25.38%
Rayonier Inc    (COM)RYN26,50021,200
Added5,300
25.00%
CubeSmart    (COM)CUBE34,90028,000
Added6,900
24.64%
STAG Industrial Inc    (COM)STAG29,30023,600
Added5,700
24.15%
CoreSite Realty Corp    (COM)COR7,0005,700
Added1,300
22.80%
Alexandria Real Estate Equitie    (ARE19,50016,000
Added3,500
21.87%
WP Carey Inc    (COM)WPC30,10024,700
Added5,400
21.86%
Weingarten Realty Investors    (SH WRI29,00024,000
Added5,000
20.83%
Extra Space Storage Inc    (COM)EXR68,50056,700
Added11,800
20.81%
Highwoods Properties Inc    (COM)HIW21,50017,800
Added3,700
20.78%
Healthcare Trust of America In    (HTA39,05032,350
Added6,700
20.71%
Realty Income Corp    (COM)O55,30046,200
Added9,100
19.69%
Kite Realty Group Trust    (COM NEWKRG28,20023,600
Added4,600
19.49%
Host Hotels & Resorts Inc    (COM)HST137,500115,700
Added21,800
18.84%
Welltower Inc    (COM)HCN70,50059,400
Added11,100
18.68%
Federal Realty Investment Trus    (FRT13,52511,425
Added2,100
18.38%
Kilroy Realty Corp    (COM)KRC18,40015,600
Added2,800
17.94%
Pebblebrook Hotel Trust    (COM)PEB27,76723,567
Added4,200
17.82%
Equinix Inc    (COM)EQIX14,60012,400
Added2,200
17.74%
UDR Inc    (COM)UDR49,40042,100
Added7,300
17.33%
Acadia Realty Trust    (COM SH BEN AKR17,20014,700
Added2,500
17.00%
Hudson Pacific Properties Inc    (CHPP30,00025,700
Added4,300
16.73%
Regency Centers Corp    (COM)REG107,00591,705
Added15,300
16.68%
National Retail Properties Inc    (NNN29,50025,500
Added4,000
15.68%
PepsiCo Inc    (COM)PEP43,20037,400
Added5,800
15.50%
Life Storage Inc    (COM)LSI9,0007,800
Added1,200
15.38%
Quest Diagnostics Inc    (COM)DGX38,18833,188
Added5,000
15.06%
Retail Properties of America I    (RPAI63,20055,300
Added7,900
14.28%
BCE Inc    (COM NEW)BCE164,700144,300
Added20,400
14.13%
Kimco Realty Corp    (COM)KIM77,95068,350
Added9,600
14.04%
PS Business Parks Inc    (COM)PSB4,1003,600
Added500
13.88%
Royal Bank of Canada    (COM)RY101,78589,485
Added12,300
13.74%
Duke Realty Corp    (COM NEW)DRE63,60056,000
Added7,600
13.57%
Apartment Investment & Managem    (30,56226,962
Added3,600
13.35%
Outfront Media Inc    (COM)OUT37,50033,100
Added4,400
13.29%
Kennedy-Wilson Holdings Inc    (COMKWIC30,60027,100
Added3,500
12.91%
Crown Castle International Cor    (CCI73,20064,900
Added8,300
12.78%
Liberty Property Trust    (SH BEN ILRY24,70021,900
Added2,800
12.78%
LTC Properties Inc    (COM)LTC10,6009,400
Added1,200
12.76%
Brixmor Property Group Inc    (COM)BRX60,10053,300
Added6,800
12.75%
CBRE Group Inc    (CL A)CBG64,70057,400
Added7,300
12.71%
Vornado Realty Trust    (SH BEN INTVNO32,80029,100
Added3,700
12.71%
Prologis Inc    (COM)PLD110,88098,380
Added12,500
12.70%
Public Storage    (COM)PSA27,55024,450
Added3,100
12.67%
American Tower Corp    (COM)AMT77,70069,000
Added8,700
12.60%
Simon Property Group Inc    (COM)SPG54,85048,750
Added6,100
12.51%
Boston Properties Inc    (COM)BXP28,82525,625
Added3,200
12.48%
Sabra Health Care REIT Inc    (COM)SBRA38,86434,564
Added4,300
12.44%
Digital Realty Trust Inc    (COM)DLR37,21033,110
Added4,100
12.38%
Ventas Inc    (COM)VTR63,60456,604
Added7,000
12.36%
Gaming and Leisure Properties    (CGLPI45,70040,700
Added5,000
12.28%
SL Green Realty Corp    (COM)SLG18,35016,350
Added2,000
12.23%
Williams Cos Inc/The    (COM)WMB167,300149,200
Added18,100
12.13%
Camden Property Trust    (SH BEN INCPT17,70015,800
Added1,900
12.02%
Lamar Advertising Co    (CL A)LAMR17,90016,000
Added1,900
11.87%
Physicians Realty Trust    (COM)DOC50,30045,000
Added5,300
11.77%
Tanger Factory Outlet Centers    (CSKT20,10018,000
Added2,100
11.66%
EastGroup Properties Inc    (COM)EGP6,8006,100
Added700
11.47%
QTS Realty Trust Inc    (COM CL A)QTS11,90010,700
Added1,200
11.21%
Hannon Armstrong Sustainable I    (HASI15,00013,500
Added1,500
11.11%
Allstate Corp/The    (COM)ALL43,25639,056
Added4,200
10.75%
Sun Life Financial Inc    (COM)SLF134,900121,900
Added13,000
10.66%
Mid-America Apartment Communit    (MAA19,95818,058
Added1,900
10.52%
Waste Management Inc    (COM)WMI49,50044,900
Added4,600
10.24%
Hess Corp    (COM)HES496,300450,600
Added45,700
10.14%
First Industrial Realty Trust    (CFR23,20021,100
Added2,100
9.95%
Sysco Corp    (COM)SYY61,00055,700
Added5,300
9.51%
Hershey Co/The    (COM)HSY32,90030,100
Added2,800
9.30%
AutoZone Inc    (COM)AZO3,6003,300
Added300
9.09%
Procter & Gamble Co/The    (COM)PG38,10035,100
Added3,000
8.54%
Travelers Cos Inc/The    (COM)TRV34,59931,999
Added2,600
8.12%
Mondelez International Inc    (CL AMDLZ97,40090,500
Added6,900
7.62%
Bank of Nova Scotia/The    (COM)BNS143,700133,800
Added9,900
7.39%
Essex Property Trust Inc    (COM)ESS11,29510,595
Added700
6.60%
Weyerhaeuser Co    (COM)WY134,100125,900
Added8,200
6.51%
Chubb Ltd    (COM)CB31,30129,701
Added1,600
5.38%
American Campus Communities In    (ACC25,50024,200
Added1,300
5.37%
Paychex Inc    (COM)PAYX55,80053,000
Added2,800
5.28%
Toronto-Dominion Bank/The    (COM NTD130,069124,369
Added5,700
4.58%
Check Point Software Technolog    (CHKP37,30035,700
Added1,600
4.48%
Medtronic PLC    (SHS)MDT41,80040,400
Added1,400
3.46%
Johnson & Johnson    (COM)JNJ33,80832,808
Added1,000
3.04%
Expeditors International of Wa    (EXPD51,70050,300
Added1,400
2.78%
Shaw Communications Inc    (CL B COSJR303,400297,900
Added5,500
1.84%
Hartford Financial Services Gr    (HIG79,50078,600
Added900
1.14%
Bank of Montreal    (COM)BMO92,60292,302
Added300
0.32%
Arch Capital Group Ltd    (ORD)ACGL108,100109,200
Reduced1,100
1.00%
Amazon.com Inc    (COM)AMZN36,00036,600
Reduced600
1.63%
Becton Dickinson and Co    (COM)BDX14,10014,400
Reduced300
2.08%
Intel Corp    (COM)INTC947,846970,746
Reduced22,900
2.35%
Visa Inc    (COM CL A)V209,086214,186
Reduced5,100
2.38%
Mastercard Inc    (CL A)MA124,943128,043
Reduced3,100
2.42%
JM Smucker Co/The    (COM NEW)SJM31,40032,500
Reduced1,100
3.38%
General Mills Inc    (COM)GIS63,20065,500
Reduced2,300
3.51%
Ingersoll-Rand PLC    (SHS)IR30,80032,100
Reduced1,300
4.04%
Exxon Mobil Corp    (COM)XOM56,80059,200
Reduced2,400
4.05%
AT&T Inc    (COM)T103,300107,800
Reduced4,500
4.17%
American Express Co    (COM)AXP31,80033,200
Reduced1,400
4.21%
Open Text Corp    (COM)OTEX95,30099,700
Reduced4,400
4.41%
Automatic Data Processing Inc    (CADP21,20022,200
Reduced1,000
4.50%
Kinder Morgan Inc/DE    (COM)KMI182,200191,000
Reduced8,800
4.60%
Manulife Financial Corp    (COM)MFC199,700209,400
Reduced9,700
4.63%
Abbott Laboratories    (COM)ABT40,70042,700
Reduced2,000
4.68%
Coca-Cola Co/The    (COM)KO78,90082,800
Reduced3,900
4.71%
Omnicom Group Inc    (COM)OMC47,90050,400
Reduced2,500
4.96%
Dollar General Corp    (COM)DG23,80025,100
Reduced1,300
5.17%
PPG Industries Inc    (COM)PPG29,80031,500
Reduced1,700
5.39%
TJX Cos Inc/The    (COM)TJX64,00067,700
Reduced3,700
5.46%
Chevron Corp    (COM)CVX30,50032,300
Reduced1,800
5.57%
Enbridge Inc    (COM)ENB108,500115,100
Reduced6,600
5.73%
Granite Real Estate Investment    (GRP/U8,2008,700
Reduced500
5.74%
Home Depot Inc/The    (COM)HD16,28417,284
Reduced1,000
5.78%
Darden Restaurants Inc    (COM)DRI27,10028,800
Reduced1,700
5.90%
Oracle Corp    (COM)ORCL65,60069,800
Reduced4,200
6.01%
Stryker Corp    (COM)SYK119,353127,253
Reduced7,900
6.20%
Clorox Co/The    (COM)CLX22,20023,700
Reduced1,500
6.32%
Assurant Inc    (COM)AIZ29,10031,100
Reduced2,000
6.43%
Verizon Communications Inc    (COM)VZ873,350934,250
Reduced60,900
6.51%
Kimberly-Clark Corp    (COM)KMB25,40027,200
Reduced1,800
6.61%
Zoetis Inc    (CL A)ZTS26,70028,600
Reduced1,900
6.64%
Hormel Foods Corp    (COM)HRL89,60096,000
Reduced6,400
6.66%
Air Products & Chemicals Inc    (COAPD17,90019,200
Reduced1,300
6.77%
Merck & Co Inc    (COM)MRK459,400496,600
Reduced37,200
7.49%
Comcast Corp    (CL A)CMCSA875,928947,028
Reduced71,100
7.50%
State Street Corporation    (SBI INXLF5,925,5736,410,373
Reduced484,800
7.56%
Alphabet Inc    (CAP STK CL C)GOOG59,00063,900
Reduced4,900
7.66%
Constellation Brands Inc    (CL A)STZ160,800174,600
Reduced13,800
7.90%
Estee Lauder Cos Inc/The    (CL A)EL112,890122,590
Reduced9,700
7.91%
US Bancorp    (COM NEW)USB80,80087,800
Reduced7,000
7.97%
PNC Financial Services Group I    (PNC26,50028,800
Reduced2,300
7.98%
AES Corp/VA    (COM)AES215,600235,200
Reduced19,600
8.33%
TELUS Corp    (COM)TULCF194,089211,889
Reduced17,800
8.40%
Eli Lilly & Co    (COM)LLY262,410286,510
Reduced24,100
8.41%
Restaurant Brands Internationa    (QSR489,816534,816
Reduced45,000
8.41%
Accenture PLC    (SHS CLASS A)ACN276,229303,228
Reduced26,999
8.90%
O'Reilly Automotive Inc    (COM)ORLY8,4009,300
Reduced900
9.67%
Avery Dennison Corp    (COM)AVY28,70031,900
Reduced3,200
10.03%
AMERCO    (COM)UHAL10,50011,700
Reduced1,200
10.25%
Cognizant Technology Solutions    (CTSH687,358772,958
Reduced85,600
11.07%
Amphenol Corp    (CL A)APH35,60040,200
Reduced4,600
11.44%
Genuine Parts Co    (COM)GPC42,20047,700
Reduced5,500
11.53%
Jones Lang LaSalle Inc    (COM)JLL8,92910,129
Reduced1,200
11.84%
M&T Bank Corp    (COM)MTB21,50024,400
Reduced2,900
11.88%
Illinois Tool Works Inc    (COM)ITW20,00022,900
Reduced2,900
12.66%
CME Group Inc    (COM)CME184,800212,100
Reduced27,300
12.87%
People's United Financial Inc    (CPBCT218,600250,900
Reduced32,300
12.87%
OGE Energy Corp    (COM)OGE137,300159,200
Reduced21,900
13.75%
Eaton Corp PLC    (SHS)ETN38,80045,300
Reduced6,500
14.34%
JPMorgan Chase & Co    (COM)JPM31,40036,700
Reduced5,300
14.44%
Lexington Realty Trust    (COM)LXP46,20054,200
Reduced8,000
14.76%
Bank of New York Mellon Corp/T    (BK73,00086,000
Reduced13,000
15.11%
Ross Stores Inc    (COM)ROST386,529456,529
Reduced70,000
15.33%
Xcel Energy Inc    (COM)XEL92,800111,300
Reduced18,500
16.62%
Cousins Properties Inc    (COM NEW)20,09024,200
Reduced4,110
16.98%
Thermo Fisher Scientific Inc    (COTMO115,670139,570
Reduced23,900
17.12%
PACCAR Inc    (COM)PCAR44,20053,700
Reduced9,500
17.69%
Danaher Corp    (COM)DHR271,553337,422
Reduced65,869
19.52%
Ryman Hospitality Properties I    (RHP9,20011,500
Reduced2,300
20.00%
Celanese Corp    (COM)CE318,500402,500
Reduced84,000
20.86%
Pinnacle West Capital Corp    (COM)PNW60,20076,200
Reduced16,000
20.99%
Dover Corp    (COM)DOV31,50040,000
Reduced8,500
21.25%
Fortis Inc/Canada    (COM)FRTSF216,200276,000
Reduced59,800
21.66%
Alliant Energy Corp    (COM)LNT110,800148,800
Reduced38,000
25.53%
MGM Growth Properties LLC    (CL A 21,70031,400
Reduced9,700
30.89%
Western Union Co/The    (COM)WU138,300205,100
Reduced66,800
32.56%
Sempra Energy    (COM)SRE39,40059,700
Reduced20,300
34.00%
Envista Holdings Corp    (COM)10,42616,200
Reduced5,774
35.64%
DTE Energy Co    (COM)DTE49,90979,509
Reduced29,600
37.22%
Ameren Corp    (COM)AEE74,399118,899
Reduced44,500
37.42%
CenterPoint Energy Inc    (COM)CNP167,065282,865
Reduced115,800
40.93%
Entergy Corp    (COM)ETR49,20085,000
Reduced35,800
42.11%
Eversource Energy    (COM)ES76,513136,013
Reduced59,500
43.74%
Essential Properties Realty Tr    (15,94828,400
Reduced12,452
43.84%
FirstEnergy Corp    (COM)FE117,300209,700
Reduced92,400
44.06%
Consolidated Edison Inc    (COM)ED68,100124,000
Reduced55,900
45.08%
Public Service Enterprise Grou    (PEG102,401193,601
Reduced91,200
47.10%
PPL Corp    (COM)PPL151,200296,100
Reduced144,900
48.93%
SBA Communications Corp    (CL A)19,80045,096
Reduced25,296
56.09%
American Electric Power Co Inc    (AEP65,202164,302
Reduced99,100
60.31%
T-Mobile US Inc    (COM)TMUS43,300119,600
Reduced76,300
63.79%
Exelon Corp    (COM)EXC113,300321,800
Reduced208,500
64.79%
Duke Energy Corp    (COM NEW)DUK71,200213,400
Reduced142,200
66.63%
Canadian Pacific Railway Ltd    (COCP15,10046,900
Reduced31,800
67.80%
Southern Co/The    (COM)SO97,000305,800
Reduced208,800
68.27%
CorEnergy Infrastructure Trust    (5,93519,000
Reduced13,065
68.76%
Dominion Energy Inc    (COM)D68,000224,802
Reduced156,802
69.75%
Washington Prime Group Inc    (COM)52,700185,600
Reduced132,900
71.60%
Canadian National Railway Co    (COCNI56,200205,700
Reduced149,500
72.67%
NextEra Energy Inc    (COM)NEE24,800102,500
Reduced77,700
75.80%
TSMC    (SPONSORED ADS)TSM176,208757,208
Reduced581,000
76.72%
FirstService Corp    (COM)7,10046,700
Reduced39,600
84.79%
Colliers International Group I    (6,70077,400
Reduced70,700
91.34%
BeiGene Ltd    (SPONSORED ADR)2,20025,700
Reduced23,500
91.43%
Community Healthcare Trust Inc    (5,100379,600
Reduced374,500
98.65%
CH Robinson Worldwide Inc    (COM NCHRW043,000
Sold Out
Sold Out
CatchMark Timber Trust Inc    (CL ACTT016,400
Sold Out
Sold Out
Tyson Foods Inc    (CL A)TSN038,900
Sold Out
Sold Out
Cedar Realty Trust Inc    (COM NEW)CDR031,800
Sold Out
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Brookdale Senior Living Inc    (COMBKD045,800
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VEREIT Inc    (COM)0155,340
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UGI Corp    (COM)UGI039,000
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Veoneer Inc    (COM)01,250,000
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UMH Properties Inc    (COM)UMH014,100
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United States Cellular Corp    (COMUSM03,900
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Bright Horizons Family Solutio    (BFAM013,500
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Union Pacific Corp    (COM)UNP0161,300
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California Water Service Group    (CWT011,500
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CSX Corp    (COM)CSX0179,000
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US Physical Therapy Inc    (COM)USPH04,600
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Uniti Group Inc    (COM)034,500
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Vonage Holdings Corp    (COM)VG053,100
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Zayo Group Holdings Inc    (COM)ZAYO047,500
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American States Water Co    (COM)AWR08,900
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MDU Resources Group Inc    (COM)MDU044,500
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American Water Works Co Inc    (COMAWK039,700
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AMETEK Inc    (COM)AME042,300
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National Fuel Gas Co    (COM)NFG017,700
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Middlesex Water Co    (COM)MSEX04,400
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Acadia Healthcare Co Inc    (COM)ACHC021,900
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Core Laboratories NV    (COM)CLB0298,277
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Agree Realty Corp    (COM)ADC06,800
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Algonquin Power & Utilities Co    (AQUNF0102,800
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ALLETE Inc    (COM NEW)ALE012,200
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New Jersey Resources Corp    (COM)NJR020,200
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Aqua America Inc    (COM)WTR040,500
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NiSource Inc    (COM)NI080,800
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Baxter International Inc    (COM)BAX043,900
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Visteon Corp    (COM NEW)VSTO0382,300
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Black Hills Corp    (COM)BKH012,400
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Boingo Wireless Inc    (COM)WIFI011,600
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WEC Energy Group Inc    (COM)069,200
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New Senior Investment Group In    (SNR027,700
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Avista Corp    (COM)AVA016,400
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BB&T Corp    (COM)BBT083,100
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Washington Real Estate Investm    (WRE017,900
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Washington Prime Group Inc    (COM)048,600
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VICI Properties Inc    (COM)057,600
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Cisco Systems Inc    (COM)CSCO0260,228
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IDACORP Inc    (COM)IDA011,600
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FedEx Corp    (COM)FDX077,051
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Franklin Street Properties Cor    (FSP024,700
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Genesee & Wyoming Inc    (CL A)GWR014,800
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Portland General Electric Co    (COPOR021,000
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Equity Commonwealth    (COM SH BEN EQC017,600
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Otter Tail Corp    (COM)OTTR08,900
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Rogers Communications Inc    (CL B)RCI0190,347
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El Paso Electric Co    (COM NEW)EE09,900
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Ensign Group Inc/The    (COM)ENSG013,000
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Retail Opportunity Investments    (ROIC022,200
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PNM Resources Inc    (COM)PNM018,200
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Piedmont Office Realty Trust I    (PDM021,000
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HCA Healthcare Inc    (COM)HCA061,700
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HCP Inc    (COM)HCP072,800
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Hawaiian Electric Industries I    (HE025,900
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Paramount Group Inc    (COM)PGRE034,800
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Grand Canyon Education Inc    (COM)LOPE011,800
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Pennsylvania Real Estate Inves    (PEI024,900
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Gildan Activewear Inc    (COM)GIL0125,400
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Pfizer Inc    (COM)PFE0111,400
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Gladstone Commercial Corp    (COM)GOOD014,400
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Houghton Mifflin Harcourt Co    (COHMHC025,500
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Independence Realty Trust Inc    (CIRT043,000
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Edison International    (COM)EIX070,800
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Cogent Communications Holdings    (CCOI010,700
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Sunstone Hotel Investors Inc    (COSHO056,945
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Summit Hotel Properties Inc    (COMINN021,300
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Columbia Property Trust Inc    (COMCXP029,000
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Southwest Gas Holdings Inc    (COM)SWX011,000
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Hologic Inc    (COM)HOLX072,100
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Chesapeake Utilities Corp    (COM)CPK04,000
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Tenet Healthcare Corp    (COM NEW)THC024,200
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Telephone & Data Systems Inc    (COTDS023,400
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CenturyLink Inc    (COM)CTL0212,900
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Chegg Inc    (COM)CHGG023,200
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South Jersey Industries Inc    (COMSJI019,500
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Loews Corp    (COM)LTR083,600
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Select Medical Holdings Corp    (COSEM029,200
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ONE Gas Inc    (COM)OGS012,200
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SJW Group    (COM)SJW05,400
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Iridium Communications Inc    (COM)IRDM022,600
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K12 Inc    (COM)LRN010,500
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Senior Housing Properties Trus    (SNH053,400
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Macquarie Infrastructure Corp    (CMIC019,900
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Shenandoah Telecommunications    (CSHEN010,800
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Kansas City Southern    (COM NEW)KSU023,400
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Walt Disney Co/The    (COM DISNEY)DIS025,969
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Norfolk Southern Corp    (COM)NSC061,700
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