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)
| Stock | Value |
|---|---|
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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