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Portfolio Details


Standings (rank and portfolio value calculated
since portfolio creation to last update)
Rank Name Portfolio Average
15,401 of 49,484 sb41099 $455,111.16 $628,649.75

Current Holdings
Symbol Name
Cash $29,457.22
ABT Abbott Laboratories
AGO Assured Guaranty Ltd.
BRK.B BERKSHIRE HATH HLD B
CODI Compass Diversified Holdings Sh
CVS CVS Health Corporation
DAL Delta Air Lines, Inc.
DLTR Dollar Tree, Inc.
DUK Duke Energy Corporation (Holdin
EE El Paso Electric Company
F Ford Motor Company
GD General Dynamics Corporation
GE General Electric Company
HPQ HP Inc.
HUM Humana Inc.
JNJ Johnson & Johnson
KO Coca-Cola Company (The)
KR Kroger Company (The)
L Loews Corporation
LUV Southwest Airlines Company
MAR Marriott International
MMM 3M Company
MSFT Microsoft Corporation
MUR Murphy Oil Corporation
PFE Pfizer, Inc.
SBUX Starbucks Corporation
SO Southern Company (The)
TSN Tyson Foods, Inc.
UNH UnitedHealth Group Incorporated

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MSFT: Microsoft Corporation $0.00
IBM: International Business Machines $0.00
INTC: Intel Corporation $0.00
CSCO: Cisco Systems, Inc. $114.57
ORCL: Oracle Corporation $0.00
AAPL: Apple Inc. $0.00
PFE: Pfizer, Inc. $24.67
XOM: Exxon Mobil Corporation $0.00
GE: General Electric Company $0.00
JPM: JP Morgan Chase & Co. $0.00