Van Hulzen Asset Management, LLC Q4 2016 Filing

Filed February 6, 2017

Portfolio Value

$217.0B

Holdings

131

Report Date

Q4 2016

Filing Type

13F-HR

All Holdings (131 positions)

StockValue
AAPLApple
$13.9B
INTCExxonMobil
$8.4B
SLVGeneral Electric
$7.4B
ABBViShares TIP Fund
$6.4B
XOMNuveen Build America Bond
$6.1B
KOWalMart
$6.0B
ViShares US Pref Index Fund
$5.4B
NKEVerizon Communications
$5.1B
Intel
$4.4B
CMCSAiShares Silver Trust
$4.1B
DBLCisco
$4.1B
DHRiShares Gold Trust
$3.7B
CATSouthern Company
$3.6B
PPLAbbvie Inc
$3.5B
Coca Cola
$3.4B
GILDVisa
$3.4B
OXYNike
$3.3B
LYBMylan N.V.
$3.3B
PFEComcast
$3.2B
USBDoubleLine Credit Fund
$3.2B
METADanaher
$3.2B
Caterpillar
$3.1B
IVVPPL Corporation
$3.1B
HSYEaton
$3.0B
BRK/BGilead Sciences
$3.0B
ORCLOccidental Petroleum
$2.9B
IJRLyondeBasell Industries
$2.9B
COSTPfizer
$2.9B
CLUS Bancorp
$2.8B
SPYFacebook
$2.7B
C V0 10/30/40iShares S&P 500 Index
$2.7B
SLBHershey
$2.6B
CVXBerkshire Hathaway
$2.6B
ORCLOracle
$2.5B
TSLAiShares S&P Small-Cap ETF
$2.5B
GOOGLEmerson Electric
$2.4B
TDCostco
$2.4B
BENColgate Palmolive
$2.3B
WBAS&P 500 Unit Trust
$2.3B
DECKDominion Resources
$2.2B
GENuveen California Muni Fund
$2.1B
ROPSchlumberger
$2.0B
ACNChevron
$1.9B
TLTTesla Motors
$1.9B
FITBGoogle A Shares
$1.9B
WFC 7.5 PERP LToronto Dominion Bank
$1.8B
NTRSFranklin Resources
$1.7B
HN9Walgreens Boots Alliance
$1.7B
SBUXDecker's Outdoor
$1.7B
BKAltria Group
$1.7B
Roper Industries
$1.4B
CHGGAccenture Limited
$1.4B
XLFFive Below
$1.3B
PGiShares LT Treasury Fund
$1.3B
NXPIFifth Third Bancorp
$1.3B
DGNorthern Trust
$1.2B
XLBHanesbrands Inc
$1.2B
CQPStarbucks
$1.1B
CMGBank of New York
$1.1B
JNJChegg
$1.0B
FCXFinancial Sector SPDR
$1.0B
Procter & Gamble
$1.0B
AGQNXP Semiconductor
$961.0M
AMZNIBM
$953.0M
MPTDollar General
$902.0M
SLG 6.5 PERP IMaterials Select Sector ETF
$870.0M
IFNCheniere Energy Partners
$862.0M
TIPPIMCO California Muni Fund
$840.0M
SYYChipotle Mexican Grill
$785.0M
BXUSDAmerican States Water
$747.0M
WFCJohnson & Johnson
$747.0M
CVSFreeport-McMoran
$743.0M
BBTUSDPattern Energy Group
$732.0M
MSFTProShares UltraPro Short
$714.0M
EFAAmazon
$709.0M
Medical Properties Trust
$648.0M
India Fund
$617.0M
STZSysco
$580.0M
UTXZBlackstone Group
$579.0M
OWells Fargo
$540.0M
CVS Health
$518.0M
FMCBB&T
$503.0M
MCDMicrosoft
$498.0M
BANXiShares MSCI EAFE Index
$469.0M
DISSouthwest Gas
$456.0M
Constellation Brands
$448.0M
MRKUnited Technologies
$430.0M
BMYRealty Income
$428.0M
EightpointThree Energy
$425.0M
JCIFMC Corporation
$418.0M
JPMMcDonalds
$411.0M
StoneCastle Financial
$404.0M
UPSMckesson HBOC
$393.0M
PEPWalt Disney
$389.0M
Essex Property Trust
$362.0M
Tortoise MLP Fund
$348.0M
Merck
$336.0M
BRK-BBristol Myers Squibb
$332.0M
SREGold Miners ETF Trust
$326.0M
TWTRUSDJohnson Controls Intl
$303.0M
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