Sharkey, Howes & Javer Q2 2017 Filing

Filed July 19, 2017

Portfolio Value

$177.2M

Holdings

205

Report Date

Q2 2017

Filing Type

13F-HR

All Holdings (205 positions)

#StockSharesValue% PortfolioType
1
SCHMSchwab US Mid-Cap ETF
853,508$41.1M23.19%
2
S&P 500 Equal Weight
357,473$33.1M18.69%
3
SCHASchwab US Smallcap ETF
361,531$23.1M13.04%
4
SCHFSchwab Intl Eq ETF
527,070$16.8M9.45%
5
SCHXSchwab US Large Cap ETF
282,205$16.3M9.20%
6
SCHDSchwab US Equity Dividend
293,762$13.2M7.48%
7
SCHHSchwab US Reit ETF
157,316$6.5M3.66%
8
SCHESchwab Emerging Mkt ETF
112,131$2.8M1.57%
9
IWDIShares Russell 1000 Value
21,827$2.5M1.43%
10
IWMIShares Russell 2000 Index Fun
15,611$2.2M1.24%
11
IJHIshares S&P Midcap 400 Index
9,725$1.7M0.95%
12
IWBIshares Russell 1000 Index
9,224$1.2M0.70%
13
SCHGSchwab US Large Growth ETF
16,305$1.0M0.58%
14
AQLTIShares Trust Dow Jones Select
7,945$733K0.41%
15
BRK/BBerkshire Hathaway CL B
3,929$665K0.38%
16
JNJJohnson and Johnson
4,685$620K0.35%
17
IVVIshares S&P 500 Index
2,358$574K0.32%
18
CMGChipotle Mexican Grill Class A
1,200$499K0.28%
19
MSFTMicrosoft Corp
7,139$492K0.28%
20
SCHBSchwab US Broad Mkt ETF
8,262$483K0.27%
21
XLFSector Technology Select
8,659$474K0.27%
22
XOMExxon Mobil Corporation
5,620$454K0.26%
23
ICFIshares Cohen & Steers Realty
3,767$381K0.21%
24
IHDGWisdomtree Intl Hedged
12,165$360K0.20%
25
AITApplied Industrial Tech. Inc.
5,319$314K0.18%
26
VYMVanguard High Dividend Yield E
4,011$313K0.18%
27
HDHome Depot
1,982$304K0.17%
28
VOVanguard Mid Cap ETF IV
1,969$281K0.16%
29
Dupont
3,340$270K0.15%
30
1 100 Berkshire HTHWY CLA
100$255K0.14%
31
WFCWells Fargo & Co New
4,570$253K0.14%
32
CVXChevronTexaco Corp
2,334$244K0.14%
33
AAPLApple Computer, Inc.
1,575$227K0.13%
34
UTXZUnited Technologies Corp
1,700$208K0.12%
35
VBVanguard Small Cap ETF
1,502$204K0.12%
36
TAT&T Inc New
5,166$195K0.11%
37
IWRIshares Russell Midcap Index
952$183K0.10%
38
Owens Realty Mtg Inc
10,729$182K0.10%
39
ACWIIshares MSCI ACWI Index
2,355$154K0.09%
40
MRKMerck & Co.
2,305$148K0.08%
41
WBAWalgreens Boots Allianc
1,896$148K0.08%
42
PGProctor & Gamble
1,625$142K0.08%
43
DELLDell Technologies In
2,286$140K0.08%
44
XELXCEL Energy, Inc.
3,010$138K0.08%
45
Northwest Natural Ga
2,217$133K0.08%
46
PEPPepsico
1,153$133K0.08%
47
IWOIshares Russell 2000 Growth
750$127K0.07%
48
TMOThermo Fisher Scientific Com
726$127K0.07%
49
MMM3M
604$126K0.07%
50
UNHUnited Healthcare Corp
641$119K0.07%
51
CSCOCisco Systems, Inc.
3,708$116K0.07%
52
Abbott Laboratories
2,385$116K0.07%
53
CLColgate Palmolive Co.
1,548$115K0.06%
54
ADBEAdobe Systems Inc.
800$113K0.06%
55
SBUXStarbucks Corp.
1,924$112K0.06%
56
VNQVanguard Reit
1,279$106K0.06%
57
UPSUnited Parcel Service B Class
950$105K0.06%
58
KMBKimberly-Clark Corp.
803$104K0.06%
59
SYKStryker Corporation
700$97K0.05%
60
METAFacebook Inc Class A
631$95K0.05%
61
NSRGYNestle Sa-Sponsored Adr
1,064$93K0.05%
62
LOWLowes Companies, Inc.
1,200$93K0.05%
63
AWCAmerican Water Works, Inc.
1,174$92K0.05%
64
INFNEURInfinera Corp New
8,415$90K0.05%
65
BMYBristol-Myers Squibb Co.
1,600$89K0.05%
66
ASHRDetroit Edison
838$89K0.05%
67
MDTMedtronic Inc
1,000$89K0.05%
68
MDYMid Cap SPDR Trust Unit
274$87K0.05%
69
ADPAuto Data Processing
850$87K0.05%
70
TTMCHFTata Motors Ltd Adr F Spons
2,350$78K0.04%
71
TIPIshares Barclays Tips Bond
657$75K0.04%
72
GOOGAlphabet Inc Class A
77$72K0.04%
73
Brocade Communications Sys Inc
5,593$71K0.04%
74
GOOGAlphabet Inc
77$70K0.04%
75
DISDisney
647$69K0.04%
76
ABBVAbbvie Inc
924$67K0.04%
77
IBMIBM
410$63K0.04%
78
XRNPXCohen & Steers REIT & Preferre
3,000$62K0.03%
79
WECWisconsin Egy CP Hldg
1,000$61K0.03%
80
TEVATeva Pharm Inds Ltd. ADRF
1,650$55K0.03%
81
COPConocophillips
1,216$53K0.03%
82
MCDMcDonalds
340$52K0.03%
83
GEGeneral Electric
1,915$52K0.03%
84
DEODiageo PLC New ADR F1 ADR Reps
425$51K0.03%
85
Reckitt Benckise Gp Ord
500$50K0.03%
86
L-3 Communications Holdings
300$50K0.03%
87
NKENike Inc Class B
828$49K0.03%
88
CMCSAComcast Corp New Cl A
1,212$47K0.03%
89
TXNTexas Instruments, Inc.
600$46K0.03%
90
AMZNAmazon.com, Inc.
47$45K0.03%
91
BACVerizon Communications
983$44K0.02%
92
VOOVanguard S&P 500 ETF
191$42K0.02%
93
JPMJ.P. Morgan Chase & Company
460$42K0.02%
94
Guggenheim Bltshrs 2024
2,019$42K0.02%
95
PFEPfizer
1,239$42K0.02%
96
SYYSysco Corporation
750$38K0.02%
97
KHCKRAFT HEINZ CO COM
430$37K0.02%
98
GPCGenuine Parts Co.
393$36K0.02%
99
KOCoca Cola Company
800$36K0.02%
100
INTCIntel Corp
1,040$35K0.02%
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