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STOCK TICKER:

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

Rehmann Capital Advisory Group INSTITUTION : Rehmann Capital Advisory Group
Rehmann Capital Advisory Group Portfolio (reported on 2020-01-02)
Company (links to holding history) Ticker Value On
2019-12-31
No of Shares % of portfolio
ISHARES TR    (MRNGSTR LG-CP GR) OEF 233,626,529,000 2,207,907 28.26%
ISHARES TR    (INTL PFD STK ETF) OEF 38,575,611,000 586,885 4.66%
ISHARES TR    (USA QUALITY FCTR) OEF 38,422,061,000 640,079 4.64%
PEPSICO INC    (COM) PEP 36,020,859,000 262,734 4.35%
STRYKER CORP    (COM) SYK 31,335,055,000 144,868 3.79%
PIMCO ETF TR    (1-5 US TIP IDX) TUZ 19,178,683,000 195,267 2.32%
ISHARES INC    (CORE MSCI EMKT) EWA 15,612,927,000 318,012 1.88%
VANGUARD INDEX FDS    (S&P 500 ETF SHS) VOO 15,537,875,000 109,137 1.87%
VANGUARD CHARLOTTE FDS    (INTL BD IDX ETF) BNDX 12,981,497,000 220,661 1.57%
ISHARES TR    (0-5YR INVT GR CP) OEF 11,913,347,000 409,737 1.44%
FIRST TR VALUE LINE DIVID IN    (SHS) FVD 10,178,469,000 291,897 1.23%
APPLE INC    (COM) AAPL 9,889,361,000 44,154 1.19%
FIDELITY COVINGTON TR    (MSCI CONSM DIS) FDIS 8,380,944,000 195,705 1.01%
SPDR S&P 500 ETF TR    (TR UNIT) SPY 6,932,620,000 23,285 0.83%
WISDOMTREE TR    (EMG MKTS SMCAP) DTD 6,712,459,000 154,544 0.81%
MICROSOFT CORP    (COM) MSFT 6,223,249,000 44,761 0.75%
VANGUARD GROUP    (DIV APP ETF) VIG 6,051,209,000 50,603 0.73%
JPMORGAN CHASE & CO    (COM) JPM 5,349,343,000 121,522 0.64%
VANGUARD SCOTTSDALE FDS    (SHORT TERM TREAS) VGSH 5,297,789,000 59,396 0.64%
DUPONT DE NEMOURS INC    (COM) 5,185,976,000 72,724 0.62%
SELECT SECTOR SPDR TR    (SBI MATERIALS) XLB 5,102,441,000 66,406 0.61%
ALPHABET INC    (CAP STK CL C) GOOG 4,846,668,000 3,973 0.58%
VANECK VECTORS ETF TR    (VIDEO GAMING) GDX 4,751,868,000 139,870 0.57%
AMAZON COM INC    (COM) AMZN 4,647,031,000 2,677 0.56%
JOHNSON & JOHNSON    (COM) JNJ 4,591,440,000 35,488 0.55%
PROCTER & GAMBLE CO    (COM) PG 4,441,743,000 35,711 0.53%
PFIZER INC    (COM) PFE 4,384,570,000 122,030 0.53%
INVESCO EXCH TRD SLF IDX FD    (BULSHS 2019 HY) 4,366,848,000 186,690 0.52%
BERKSHIRE HATHAWAY INC DEL    (CL B NEW) BRK.A 4,062,214,000 19,528 0.49%
ISHARES INC    (MSCI AUST ETF) EWA 3,580,576,000 83,445 0.43%
DOW INC    (COM) 3,529,694,000 74,075 0.42%
AT&T INC    (COM) T 3,519,294,000 93,004 0.42%
SPDR S&P MIDCAP 400 ETF TR    (UTSER1 S&PDCRP) MDY 3,186,361,000 9,008 0.38%
INTEL CORP    (COM) INTC 3,150,753,000 61,144 0.38%
VANGUARD INTL EQUITY INDEX F    (GLB EX US ETF) VNQI 3,045,298,000 58,906 0.36%
ISHARES GOLD TRUST    (ISHARES) IAU 3,040,101,000 215,610 0.36%
CHEVRON CORP NEW    (COM) CVX 2,932,717,000 24,727 0.35%
INTERNATIONAL BUSINESS MACHS    (COM) IBM 2,651,560,000 18,233 0.32%
SPDR SERIES TRUST    (BLOMBRG BRC INTL) MTK 2,626,986,000 63,306 0.31%
EXXON MOBIL CORP    (COM) XOM 2,621,846,000 37,131 0.31%
DISNEY WALT CO    (COM DISNEY) DIS 2,515,854,000 19,305 0.30%
MASTERCARD INC    (CL A) MA 2,452,038,000 9,029 0.29%
FACEBOOK INC    (CL A) FB 2,428,655,000 13,638 0.29%
HOME DEPOT INC    (COM) HD 2,405,314,000 10,366 0.29%
NEXTERA ENERGY INC    (COM) NEE 2,293,716,000 9,844 0.27%
MERCK & CO INC    (COM) MRK 2,232,021,000 26,513 0.27%
CORTEVA INC    (COM) 2,033,581,000 72,627 0.24%
VISA INC    (COM CL A) V 1,993,015,000 11,586 0.24%
VERIZON COMMUNICATIONS INC    (COM) VZ 1,955,429,000 32,396 0.23%
BOEING CO    (COM) BA 1,939,966,000 5,098 0.23%
WALMART INC    (COM) WMT 1,938,433,000 16,333 0.23%
MOODYS CORP    (COM) MCO 1,890,819,000 9,231 0.22%
VANGUARD TAX MANAGED INTL FD    (FTSE DEV MKT ETF) VEA 1,883,665,000 45,853 0.22%
DUKE ENERGY CORP NEW    (COM NEW) DUK 1,883,278,000 19,646 0.22%
INVESCO QQQ TR    (UNIT SER 1) 1,845,917,000 9,774 0.22%
SPDR GOLD TRUST    (GOLD SHS) GLD 1,769,759,000 12,744 0.21%
CVS HEALTH CORP    (COM) CVS 1,766,546,000 28,009 0.21%
LOCKHEED MARTIN CORP    (COM) LMT 1,705,490,000 4,372 0.20%
INVESCO EXCHNG TRADED FD TR    (S&P500 LOW VOL) 1,635,431,000 75,464 0.19%
TARGET CORP    (COM) TGT 1,623,988,000 15,190 0.19%
PHYSICIANS RLTY TR    (COM) DOC 1,619,882,000 91,261 0.19%
US BANCORP DEL    (COM NEW) USB 1,551,501,000 28,035 0.18%
COCA COLA CO    (COM) KO 1,525,519,000 28,005 0.18%
MCDONALDS CORP    (COM) MCD 1,525,313,000 7,104 0.18%
FORD MTR CO DEL    (COM) F 1,449,727,000 158,267 0.17%
UNION PACIFIC CORP    (COM) UNP 1,440,574,000 8,893 0.17%
UNITEDHEALTH GROUP INC    (COM) UNH 1,418,074,000 6,525 0.17%
CORNING INC    (COM) GLW 1,394,997,000 48,912 0.16%
METLIFE INC    (COM) MET 1,384,759,000 29,363 0.16%
FIDELITY    (LTD TRM BD ETF) FCOR 1,318,279,000 25,721 0.15%
VANGUARD WHITEHALL FDS INC    (HIGH DIV YLD) VYM 1,301,984,000 15,449 0.15%
CISCO SYS INC    (COM) CSCO 1,281,052,000 25,926 0.15%
INVESCO ACTIVELY MANAGD ETF    (VAR RATE INVT) 1,265,947,000 63,476 0.15%
ALLSTATE CORP    (COM) ALL 1,255,979,000 11,556 0.15%
INVESCO EXCHANGE TRADED FD T    (WATER RES ETF) 1,248,174,000 20,707 0.15%
PHILIP MORRIS INTL INC    (COM) PM 1,212,500,000 15,968 0.14%
AMERICAN EXPRESS CO    (COM) AXP 1,188,660,000 10,049 0.14%
WELLS FARGO CO NEW    (COM) WFC 1,153,142,000 22,861 0.13%
ABBOTT LABS    (COM) ABT 1,134,916,000 13,564 0.13%
SCHWAB STRATEGIC TR    (US BRD MKT ETF) SCHB 1,117,296,000 30,277 0.13%
PROASSURANCE CORP    (COM) PRA 1,110,485,000 27,576 0.13%
ACCENTURE PLC IRELAND    (SHS CLASS A) ACN 1,081,448,000 5,622 0.13%
BLACKROCK INC    (COM) BLK 1,050,965,000 2,358 0.12%
LAMAR ADVERTISING CO NEW    (CL A) LAMR 1,015,686,000 12,397 0.12%
THERMO FISHER SCIENTIFIC INC    (COM) TMO 1,010,804,000 3,470 0.12%
SPDR SERIES TRUST    (BLOMBERG BRC INV) MTK 1,004,102,000 17,925 0.12%
SOUTHWEST AIRLS CO    (COM) LUV 988,976,000 18,310 0.11%
ALTRIA GROUP INC    (COM) MO 981,332,000 23,993 0.11%
ZTO EXPRESS CAYMAN INC    (SPONSORED ADS A) 967,635,000 45,365 0.11%
YUM BRANDS INC    (COM) YUM 963,358,000 8,492 0.11%
COMCAST CORP NEW    (CL A) CMCSA 962,438,000 21,349 0.11%
MARATHON PETE CORP    (COM) MPC 959,600,000 15,795 0.11%
GOOSEHEAD INS INC    (COM CL A) 948,556,000 19,221 0.11%
RAYTHEON CO    (COM NEW) RTN 942,056,000 4,801 0.11%
TYSON FOODS INC    (CL A) TSN 935,984,000 10,865 0.11%
KRAFT HEINZ CO    (COM) KHC 929,055,000 33,257 0.11%
BLACKSTONE GROUP INC    (COM CL A ) 921,534,000 18,868 0.11%
ADOBE INC    (COM) ADBE 919,360,000 3,328 0.11%
LYONDELLBASELL INDUSTRIES N    (SHS - A -) LALLF 918,854,000 10,269 0.11%
LABORATORY CORP AMER HLDGS    (COM NEW) 918,456,000 5,467 0.11%
BANK AMER CORP    (COM) BAC 910,794,000 31,223 0.11%
PRUDENTIAL FINL INC    (COM) PRU 909,945,000 10,116 0.11%
FIRST TR EXCHANGE TRADED FD    (CONSUMR DISCRE) FPX 897,178,000 26,629 0.10%
SUNTRUST BKS INC    (COM) STI 890,853,000 12,948 0.10%
TJX COS INC NEW    (COM) TJX 889,630,000 15,960 0.10%
AMGEN INC    (COM) AMGN 889,591,000 4,597 0.10%
HEWLETT PACKARD ENTERPRISE C    (COM) HPE 864,738,000 57,003 0.10%
STATE STR CORP    (COM) STT 857,962,000 14,495 0.10%
MEDTRONIC PLC    (SHS) MDT 857,009,000 7,887 0.10%
CAPITAL ONE FINL CORP    (COM) COF 834,923,000 9,177 0.10%
DOMINION ENERGY INC    (COM) D 833,402,000 10,283 0.10%
ABBVIE INC    (COM) ABBV 810,628,000 10,705 0.09%
AUTOMATIC DATA PROCESSING IN    (COM) ADP 808,068,000 5,006 0.09%
ANTHEM INC    (COM) ANTM 800,493,000 3,334 0.09%
PAYPAL HLDGS INC    (COM) PYPL 792,567,000 7,651 0.09%
COSTCO WHSL CORP NEW    (COM) COST 791,008,000 2,745 0.09%
COMERICA INC    (COM) CMA 781,453,000 11,842 0.09%
TEXAS INSTRS INC    (COM) TXN 777,372,000 6,014 0.09%
ONEMAIN HLDGS INC    (COM) OMF 772,251,000 21,053 0.09%
TWITTER INC    (COM) 758,492,000 18,410 0.09%
INVITAE CORP    (COM) 751,433,000 38,995 0.09%
CARLISLE COS INC    (COM) CSL 749,617,000 5,150 0.09%
NIKE INC    (CL B) NKE 745,428,000 7,936 0.09%
OCCIDENTAL PETE CORP    (COM) OXY 739,312,000 16,624 0.08%
GILEAD SCIENCES INC    (COM) GILD 736,772,000 11,624 0.08%
FLEXSHARES TR    (STOX ESG INDEX) TILT 731,757,000 13,448 0.08%
3M CO    (COM) MMM 728,213,000 4,429 0.08%
FIRST TR EXCHANG TRADED FD I    (MANAGD MUN ETF) FMB 725,127,000 13,051 0.08%
TAIWAN SEMICONDUCTOR MFG LTD    (SPONSORED ADS) TSM 720,210,000 15,495 0.08%
VANGUARD BD INDEX FD INC    (INTERMED TERM) BLV 719,116,000 8,611 0.08%
BB&T CORP    (COM) BBT 707,442,000 13,255 0.08%
CARNIVAL CORP    (UNIT 99/99/9999) CCL 698,853,000 15,988 0.08%
ALIBABA GROUP HLDG LTD    (SPONSORED ADS) BABA 690,659,000 4,130 0.08%
CELGENE CORP    (COM) CELG 683,481,000 6,883 0.08%
FIFTH THIRD BANCORP    (COM) FITB 678,761,000 24,790 0.08%
MOTOROLA SOLUTIONS INC    (COM NEW) MSI 678,572,000 3,982 0.08%
SPDR DOW JONES INDL AVRG ETF    (UT SER 1) DIA 674,912,000 2,507 0.08%
EDWARDS LIFESCIENCES CORP    (COM) EW 672,264,000 3,057 0.08%
APOLLO GLOBAL MGMT INC    (COM CL A ) 669,414,000 17,700 0.08%
ROYAL DUTCH SHELL PLC    (SPON ADR B) RDS-B 664,477,000 11,152 0.08%
AFLAC INC    (COM) AFL 661,107,000 12,635 0.07%
CSX CORP    (COM) CSX 655,742,000 9,466 0.07%
YUM CHINA HLDGS INC    (COM) 653,457,000 14,383 0.07%
MONDELEZ INTL INC    (CL A) MDLZ 648,451,000 11,721 0.07%
SOUTHERN CO    (COM) SO 647,385,000 10,480 0.07%
D R HORTON INC    (COM) DHI 645,847,000 12,252 0.07%
SCHLUMBERGER LTD    (COM) SLB 644,919,000 18,871 0.07%
SALESFORCE COM INC    (COM) CRM 644,526,000 4,342 0.07%
HONEYWELL INTL INC    (COM) HON 641,561,000 3,791 0.07%
SPDR INDEX SHS FDS    (PORTFOLIO EMG MK) FEU 638,657,000 15,865 0.07%
ORACLE CORP    (COM) ORCL 637,654,000 11,587 0.07%
ILLUMINA INC    (COM) 633,690,000 2,083 0.07%
ESSENT GROUP LTD    (COM) ESNT 631,909,000 13,255 0.07%
ROPER TECHNOLOGIES INC    (COM) ROP 621,554,000 1,743 0.07%
APPLIED MATLS INC    (COM) AMAT 617,250,000 12,369 0.07%
TABULA RASA HEALTHCARE INC    (COM) 607,306,000 11,054 0.07%
AMERICAN INTL GROUP INC    (*W EXP 01/19/202) AIG/WS 605,207,000 10,866 0.07%
DOVER CORP    (COM) DOV 603,513,000 6,061 0.07%
UNILEVER PLC    (SPON ADR NEW) UL 598,463,000 9,957 0.07%
S&P GLOBAL INC    (COM) SPGI 578,924,000 2,363 0.07%
BROADCOM INC    (COM) 576,906,000 2,089 0.06%
LAM RESEARCH CORP    (COM) LRCX 552,587,000 2,391 0.06%
SANTANDER CONSUMER USA HDG I    (COM) SC 552,087,000 21,642 0.06%
INTERCONTINENTAL EXCHANGE IN    (COM) ICE 549,094,000 5,950 0.06%
CME GROUP INC    (COM) CME 544,049,000 2,574 0.06%
BECTON DICKINSON & CO    (COM) BDX 536,183,000 2,119 0.06%
BRISTOL MYERS SQUIBB CO    (COM) 531,157,000 10,474 0.06%
STARBUCKS CORP    (COM) SBUX 530,616,000 6,001 0.06%
BAXTER INTL INC    (COM) BAX 520,845,000 5,953 0.06%
SPIRIT AEROSYSTEMS HLDGS INC    (COM CL A) SPR 516,056,000 6,275 0.06%
VODAFONE GROUP PLC NEW    (SPONSORED ADR) VOD 506,072,000 25,418 0.06%
DISCOVER FINL SVCS    (COM) DFS 504,983,000 6,227 0.06%
NORFOLK SOUTHERN CORP    (COM) NSC 502,868,000 2,799 0.06%
UNITED TECHNOLOGIES CORP    (COM) UTX 480,901,000 3,522 0.05%
GRACO INC    (COM) GGG 479,881,000 10,423 0.05%
CHUBB LIMITED    (COM) CB 475,559,000 2,945 0.05%
INDEPENDENT BANK CORP MICH    (COM NEW) IBCP 472,509,000 22,167 0.05%
LENDINGTREE INC NEW    (COM) 469,370,000 1,512 0.05%
LILLY ELI & CO    (COM) LLY 468,127,000 4,186 0.05%
EMCOR GROUP INC    (COM) EME 453,852,000 5,270 0.05%
58 COM INC    (SPON ADR REP A) WUBA 451,137,000 9,149 0.05%
CINCINNATI FINL CORP    (COM) CINF 448,596,000 3,845 0.05%
CHEMOURS CO    (COM) CC 447,124,000 29,928 0.05%
DICERNA PHARMACEUTICALS INC    (COM) DRNA 446,955,000 31,125 0.05%
NOVARTIS A G    (SPONSORED ADR) NVS 436,460,000 5,022 0.05%
XCEL ENERGY INC    (COM) XEL 436,255,000 6,723 0.05%
BANK NEW YORK MELLON CORP    (COM) BK 427,822,000 9,463 0.05%
SMARTSHEET INC    (COM CL A) 422,631,000 11,730 0.05%
AMERICAN ELEC PWR CO INC    (COM) AEP 417,181,000 4,452 0.05%
CREDIT ACCEP CORP MICH    (COM) CACC 415,179,000 900 0.05%
WINNEBAGO INDS INC    (COM) WGO 415,031,000 10,822 0.05%
BOSTON SCIENTIFIC CORP    (COM) BSX 414,793,000 10,194 0.05%
VALERO ENERGY CORP NEW    (COM) VLO 414,712,000 4,865 0.05%
SERVICENOW INC    (COM) 408,444,000 1,609 0.04%
LINCOLN NATL CORP IND    (COM) LNC 406,979,000 6,747 0.04%
BOOKING HLDGS INC    (COM) 404,297,000 206 0.04%
DANAHER CORPORATION    (COM) 403,314,000 2,792 0.04%
CROWN CASTLE INTL CORP NEW    (COM) CCI 403,049,000 2,899 0.04%
CONOCOPHILLIPS    (COM) COP 402,514,000 7,064 0.04%
TESLA INC    (COM) 398,639,000 1,655 0.04%
1 2 3 4 5 6 7 8 9 Next >Full Portfolio View
Total Value As 2019-12-31: 826,622,005,000 SEC FILING
* Portfolios do not reflect changes after reporting
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