Apr 16, 2021 – Motco Buys The House Depot Inc, Walmart Inc, Financial institution of New York Mellon Corp, Sells Philip Morris Worldwide Inc, Starbucks Corp, Coca-Cola Co

San Antonio, TX, based mostly Funding firm Motco (Present Portfolio) buys The House Depot Inc, Walmart Inc, Financial institution of New York Mellon Corp, WEC Power Group Inc, SPDR DoubleLine Whole Return Tactical ETF, sells Philip Morris Worldwide Inc, Starbucks Corp, Coca-Cola Co, Public Service Enterprise Group Inc, American Nationwide Group Inc throughout the 3-months ended 2021Q1, in keeping with the latest filings of the funding firm, Motco. As of 2021Q1, Motco owns 446 shares with a complete worth of $756 million. These are the main points of the buys and sells.

  • New Purchases: FMB, SBAC, IQI, EXG, VNT,
  • Added Positions: HD, WMT, BK, WEC, MRK, CCI, LMT, Okay, MCD, VZ, PFE, DLR, AEP, NSRGY, UL, CSCO, PAYX, HAS, PEP, SRE, BCE, MMM, DUK, CVS, GPC, LHX, IP, MO, APD, TOTL, BMY, QCOM, CRM, T, UPS, SLF, MU, SPGI, ETN, EMR, MDLZ, GLD, USB, TXN, COST, JNJ, ROP, PXD, ENB, NVS, ADBE, ECL, IDV, IVV, BABA, ZTS, V, BDX, CVX, NEE, VCIT, VCSH, VEA, VTI, IAU, EMLP, ACC, IGF, JNK, SCHC, CONE, AEE, EVRG, VNQ, AMT,
  • Diminished Positions: PM, SBUX, KO, PEG, AAPL, MS, PYPL, ANAT, CSX, DIS, MDY, MCHP, FANG, JPM, CMCSA, GOOGL, NKE, AVGO, AMZN, HON, APH, BXP, XOM, SPY, VTV, ACN, ATVI, BRK.B, BLK, FIS, CLX, CL, LLY, ICE, SLB, TMO, GOOG, DTH, IBB, ABT, AMGN, BAC, CAT, DHR, FCFS, IBM, INTC, NVDA, NFLX, LIN, PG, PSA, SPG, LUV, TJX, RTX, UNH, WBA, YUM, PMM, MA, IJH, IJR, IWR, VIG, VUG, VWO, XBI, CB, PLD, AMD, AFL, ALXN, ALL, AXP, AIG, AMP, ADI, APA, AVB, AVY, BP, BAX, BA, CCL, CME, CI, C, COP, STZ, GLW, CMI, DTE, DE, D, DD, EOG, EW, EA, ETR, EQIX, EQR, EL, EXC, FDX, FITB, FISV, GRMN, GD, GE, GIS, GSK, GPN, PEAK, WELL, HRL, ITW, ILMN, TT, IFF, JLL, KLAC, KEY, KMB, LOW, MAR, MLM, MAS, MDT, MET, MSI, VTRS, NEM, JWN, NSC, ES, NOC, OXY, OMC, ORCL, PNC, PPG, PPL, PFG, PRU, PHM, RPM, O, ROK, ROST, SHW, SWKS, SO, TRV, SWK, STT, SYK, NLOK, SYY, TROW, TGT, TSCO, RIG, UAL, UGI, VFC, NS, VTR, WAB, WM, WFC, WY, WMB, XEL, BKN, DNP, NXP, CXE, RQI, PTY, ETG, TMUS, DAL, DFS, TAK, DG, CHTR, KMI, ABBV, VOYA, ENVA, QRVO, KHC, YUMC, DOW, CTVA, CARR, OTIS, AMJ, DIA, GSLC, IJT, ITOT, IWF, IYR, VGT, XLK,
  • Offered Out: HEFA, IWN, PE, OEF, AES, ABMD, A, AKAM, ALK, ALB, ARE, ALGN, ALNY, DOX, HES, ABC, IVZ, ANSS, AON, AMAT, ADM, AZPN, AZO, ADSK, TFC, BLL, BBY, BIO, BIIB, BWA, BSX, BF.B, CBRE, VIAC, CF, CHRW, CMS, CPB, COF, KMX, CE, CNC, CNP, LUMN, CERN, CRL, SCHW, CHKP, CHE, LNG, XEC, CTAS, CTSH, CMA, CAG, CNX, ED, COO, CPA, CPRT, CCK, DHI, XRAY, DRI, DVA, DLTR, DCI, DOV, EMN, EIX, EFX, EXPE, EXPO, FFIV, FLIR, FMC, FICO, FAST, FNF, FHN, FE, FLEX, FCX, IT, GILD, MNST, HIG, HP, HPQ, HFC, HOLX, HST, HUBB, HUM, HBAN, HUN, INFO, INCY, IPG, INTU, ISRG, IRM, JKHY, J, JCI, KIM, KSS, KR, LRCX, LEN, LII, LNC, MDU, MGM, MAN, MRO, MMC, MKC, MCK, MTD, MHK, TAP, MCO, MUR, NRG, NDAQ, NOV, NTAP, NWL, NI, NDSN, NTRS, NUE, ORLY, OGE, ON, ODFL, OKE, PCAR, PCG, PKG, PH, PTEN, PRGO, PVH, PNW, RL, NTR, BKNG, PGR, PWR, DGX, RRC, REGN, RF, RNR, RSG, RMD, WRK, ROL, RY, RCL, POOL, SMG, STX, SEE, SRCL, TTWO, TFX, TPX, TER, TXT, THO, GL, TRN, TSN, UAA, UDR, URI, UHS, VAR, VRSN, VRTX, VSAT, VNO, WRB, GWW, WAT, ANTM, WLTW, WYNN, XLNX, ZBRA, ZBH, ZION, EBAY, L, TDG, BBL, LDOS, IPGP, AIMC, IBKR, CLR, TEL, LULU, CXO, VMW, MSCI, SGT, KDP, FTNT, LEA, SSNC, TSLA, KKR, LYB, KMF, GM, HCA, MPC, UI, APTV, WPX, NOW, BFAM, COTY, CDW, RNG, TWTR, ALLE, HLT, SYF, CDK, KEYS, LBRDK, UNVR, ENR, HPE, NGVT, SITE, ASIX, NTNX, LW, PK, IR, CEIX, NVT, DOCU, CHX, WH, PRSP, ELAN, GTXMQ, ACA, DELL, FOXA, AMCR, BSY, XLP,

For the main points of MOTCO’s inventory buys and sells,
go to https://www.gurufocus.com/guru/motco/current-portfolio/portfolio

These are the highest 5 holdings of MOTCO

  1. Microsoft Corp (MSFT) – 79,845 shares, 2.49% of the full portfolio. Shares added by 0.09%
  2. JPMorgan Chase & Co (JPM) – 115,570 shares, 2.33% of the full portfolio. Shares diminished by 3.01%
  3. Apple Inc (AAPL) – 134,653 shares, 2.17% of the full portfolio. Shares diminished by 9.71%
  4. Cisco Methods Inc (CSCO) – 304,111 shares, 2.08% of the full portfolio. Shares added by 4.00%
  5. Broadcom Inc (AVGO) – 33,204 shares, 2.04% of the full portfolio. Shares diminished by 2.26%

New Buy: First Belief Managed Municipal ETF (FMB)

Motco initiated holding in First Belief Managed Municipal ETF. The acquisition costs have been between $55.98 and $57.18, with an estimated common value of $56.54. The inventory is now traded at round $57.025000. The impression to a portfolio as a consequence of this buy was 0.03%. The holding have been 3,565 shares as of 2021-03-31.

New Buy: SBA Communications Corp (SBAC)

Motco initiated holding in SBA Communications Corp. The acquisition costs have been between $235.92 and $282.57, with an estimated common value of $264.91. The inventory is now traded at round $286.750000. The impression to a portfolio as a consequence of this buy was 0.01%. The holding have been 261 shares as of 2021-03-31.

New Buy: Invesco High quality Municipal Revenue Belief (IQI)

Motco initiated holding in Invesco High quality Municipal Revenue Belief. The acquisition costs have been between $12.53 and $13.19, with an estimated common value of $12.89. The inventory is now traded at round $13.190000. The impression to a portfolio as a consequence of this buy was lower than 0.01%. The holding have been 600 shares as of 2021-03-31.

New Buy: Vontier Corp (VNT)

Motco initiated holding in Vontier Corp. The acquisition costs have been between $30.27 and $35.9, with an estimated common value of $32.64. The inventory is now traded at round $31.430000. The impression to a portfolio as a consequence of this buy was lower than 0.01%. The holding have been 80 shares as of 2021-03-31.

New Buy: Eaton Vance Tax-Mgd Glbl Div Eq Inc (EXG)

Motco initiated holding in Eaton Vance Tax-Mgd Glbl Div Eq Inc. The acquisition costs have been between $8.6 and $9.32, with an estimated common value of $8.98. The inventory is now traded at round $9.550000. The impression to a portfolio as a consequence of this buy was lower than 0.01%. The holding have been 960 shares as of 2021-03-31.

Added: The House Depot Inc (HD)

Motco added to a holding in The House Depot Inc by 125.51%. The acquisition costs have been between $250.93 and $305.25, with an estimated common value of $275.66. The inventory is now traded at round $326.630000. The impression to a portfolio as a consequence of this buy was 1.02%. The holding have been 45,689 shares as of 2021-03-31.

Added: Walmart Inc (WMT)

Motco added to a holding in Walmart Inc by 1659.36%. The acquisition costs have been between $127.53 and $148.97, with an estimated common value of $139.05. The inventory is now traded at round $140.770000. The impression to a portfolio as a consequence of this buy was 0.91%. The holding have been 53,203 shares as of 2021-03-31.

Added: Financial institution of New York Mellon Corp (BK)

Motco added to a holding in Financial institution of New York Mellon Corp by 10885.40%. The acquisition costs have been between $39.82 and $47.86, with an estimated common value of $43.95. The inventory is now traded at round $46.070000. The impression to a portfolio as a consequence of this buy was 0.78%. The holding have been 125,673 shares as of 2021-03-31.

Added: WEC Power Group Inc (WEC)

Motco added to a holding in WEC Power Group Inc by 1931.00%. The acquisition costs have been between $80.64 and $94.79, with an estimated common value of $87.11. The inventory is now traded at round $96.731000. The impression to a portfolio as a consequence of this buy was 0.49%. The holding have been 42,001 shares as of 2021-03-31.

Added: SPDR DoubleLine Whole Return Tactical ETF (TOTL)

Motco added to a holding in SPDR DoubleLine Whole Return Tactical ETF by 425.80%. The acquisition costs have been between $48.07 and $49.04, with an estimated common value of $48.63. The inventory is now traded at round $48.460000. The impression to a portfolio as a consequence of this buy was 0.06%. The holding have been 12,167 shares as of 2021-03-31.

Added: S&P World Inc (SPGI)

Motco added to a holding in S&P World Inc by 1367.61%. The acquisition costs have been between $305.95 and $361.74, with an estimated common value of $332.91. The inventory is now traded at round $376.680000. The impression to a portfolio as a consequence of this buy was 0.05%. The holding have been 1,042 shares as of 2021-03-31.

Offered Out: BTC iShares Forex Hedged MSCI EAFE ETF (HEFA)

Motco offered out a holding in BTC iShares Forex Hedged MSCI EAFE ETF. The sale costs have been between $30.49 and $33.1, with an estimated common value of $31.87.

Offered Out: iShares Russell 2000 Worth ETF (IWN)

Motco offered out a holding in iShares Russell 2000 Worth ETF. The sale costs have been between $129.67 and $169.1, with an estimated common value of $150.78.

Offered Out: Parsley Power Inc (PE)

Motco offered out a holding in Parsley Power Inc. The sale costs have been between $14.15 and $16.93, with an estimated common value of $15.88.

Offered Out: iShares S&P 100 ETF (OEF)

Motco offered out a holding in iShares S&P 100 ETF. The sale costs have been between $168.91 and $179.89, with an estimated common value of $175.78.

Offered Out: Textron Inc (TXT)

Motco offered out a holding in Textron Inc. The sale costs have been between $45.26 and $56.08, with an estimated common value of $50.67.

Offered Out: Consolidated Edison Inc (ED)

Motco offered out a holding in Consolidated Edison Inc. The sale costs have been between $65.65 and $75.45, with an estimated common value of $70.36.

Right here is the whole portfolio of MOTCO. Additionally try:

1. MOTCO’s Undervalued Shares
2. MOTCO’s High Development Corporations, and
3. MOTCO’s Excessive Yield shares
4. Shares that MOTCO retains shopping for

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