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M Holdings Securities Inc - 2017-07-21

Best Moves - 2017-07-21
Rank Company Symbol Result (K)
1 Chevron Corp CVX $480
2 Tri-National Development Crp TNA $436
3 Check Point Software Tech CHKP $93
4 Bank Of America Corp BAC $59
5 Csx Corp CSX $57
6 Ssandc Technologies Holdings SSNC $46
7 National Grid Plc NGG $42
8 Qualcomm Inc QCOM $39
9 Fintech Communications Ltd FTC $26
10 Ulta Salon Cosmetics And Fragr ULTA $24
11 Henry Schein Inc HSIC $23
12 American Express Co AXP $13
13 Constellation Brands Inc-A STZ $11
14 Five Star Quality Care FVE $10
15 Amazoncom Inc AMZN $9

 

Owner Company Symbol Date Shares Change Price Change Result (K)
M Holdings Securities Inc Chevron Corp CVX 2017-03-31 -46,481 $-10.33 $480
M Holdings Securities Inc Woodsvilla Ltd WOOD 2017-03-31 -616 $4.03 $-2
M Holdings Securities Inc Intel Corp INTC 2017-03-31 -2,076 $-0.20 $0
M Holdings Securities Inc Atandt Inc T 2017-03-31 -892 $-0.98 $0
M Holdings Securities Inc Delta Air Lines Inc DAL 2017-03-31 -8 $-3.23 $0
M Holdings Securities Inc Home Depot Inc HD 2017-03-31 -181 $12.75 $-2
M Holdings Securities Inc Kinder Morgan Inc KMI 2017-03-31 -7,481 $1.03 $-7
M Holdings Securities Inc Facebook Inc-A FB 2017-03-31 -155 $27.00 $-4
M Holdings Securities Inc Visa Inc-Class A Shares V 2017-03-31 84 $10.85 $0
M Holdings Securities Inc Interworld Digital Ltd IWD 2017-03-31 4 $2.91 $0
M Holdings Securities Inc Boeing Cothe BA 2017-03-31 -19 $21.18 $0
M Holdings Securities Inc Star Defence Systems Ltd SDS 2017-03-31 27,165 $-1.66 $-45
M Holdings Securities Inc Manulife Financial Corp MFC 2017-03-31 -1,372 $-0.08 $0
M Holdings Securities Inc 3m Co MMM 2017-03-31 -567 $12.76 $-7
M Holdings Securities Inc United Technologies Corp UTX 2017-03-31 -1,011 $2.59 $-2
M Holdings Securities Inc Firsthand Technology Value SVVC 2017-03-31 0 $0.29 $0
M Holdings Securities Inc Perficient Inc PRFT 2017-03-31 0 $-0.13 $0
M Holdings Securities Inc Philip Morris International PM 2017-03-31 -43,281 $21.41 $-926
M Holdings Securities Inc Cisco Systems Inc CSCO 2017-03-31 -5,787 $3.58 $-20
M Holdings Securities Inc Public Service Enterprise Gp PEG 2017-03-31 -600 $0.47 $0
M Holdings Securities Inc Apple Inc AAPL 2017-03-31 -137 $27.84 $-3
M Holdings Securities Inc Bristol-Myers Squibb Co BMY 2017-03-31 1,029 $-4.06 $-4
M Holdings Securities Inc Viglacera Thang Long TLT 2017-03-31 135 $1.58 $0
M Holdings Securities Inc Union Pacific Corp UNP 2017-03-31 -3 $2.24 $0
M Holdings Securities Inc Budapest Real Estate Plc BIF 2017-03-31 0 $0.36 $0
M Holdings Securities Inc Altria Group Inc MO 2017-03-31 -362 $3.80 $-1
M Holdings Securities Inc Oracle Corp ORCL 2017-03-31 -765 $6.16 $-4
M Holdings Securities Inc John Keells Holdings Plc JKH 2017-03-31 0 $11.91 $0
M Holdings Securities Inc Yum Brands Inc YUM 2017-03-31 -93 $0.57 $0
M Holdings Securities Inc Stryker Corp SYK 2017-03-31 12 $11.84 $0
M Holdings Securities Inc Unitedhealth Group Inc UNH 2017-03-31 -38 $3.97 $0
M Holdings Securities Inc Dhampur Sugar Mills Ltd DSM 2017-03-31 135 $0.24 $0
M Holdings Securities Inc Duke Energy Corp DUK 2017-03-31 -1,847 $4.39 $-8
M Holdings Securities Inc Vunani Ltd VUG 2017-03-31 289 $10.18 $2
M Holdings Securities Inc Titan Petrochemicals Group L TIP 2017-03-31 1,915 $1.48 $2
M Holdings Securities Inc Pixium Vision Sa PXH 2017-03-31 -2,667 $1.69 $-4
M Holdings Securities Inc Morgan Stanley MS 2017-03-31 83 $0.59 $0
M Holdings Securities Inc Dht Holdings Inc DHT 2017-03-31 0 $0.33 $0
M Holdings Securities Inc Wal-Mart Stores Inc WMT 2017-03-31 -410 $2.96 $-1
M Holdings Securities Inc Coca-Cola Cothe KO 2017-03-31 -714 $0.98 $0
M Holdings Securities Inc Nextera Energy Inc NEE 2017-03-31 -1,242 $8.91 $-11
M Holdings Securities Inc Cincinnati Financial Corp CINF 2017-03-31 319 $-3.48 $-1
M Holdings Securities Inc Target Corp TGT 2017-03-31 -154 $-17.04 $2
M Holdings Securities Inc Thermo Fisher Scientific Inc TMO 2017-03-31 0 $12.5 $0
M Holdings Securities Inc Illinois Tool Works ITW 2017-03-31 -128 $10.01 $-1
M Holdings Securities Inc Starbucks Corp SBUX 2017-03-31 -120 $2.87 $0
M Holdings Securities Inc Harris Corp HRS 2017-03-31 0 $8.80 $0
M Holdings Securities Inc Schlumberger Ltd SLB 2017-03-31 -6 $-5.85 $0
M Holdings Securities Inc Citigroup Inc C 2017-03-31 12,670 $0.39 $4
M Holdings Securities Inc St Joe Cothe JOE 2017-03-31 0 $-1.95 $0
M Holdings Securities Inc Metlife Inc MET 2017-03-31 -853 $-1.07 $0
M Holdings Securities Inc Tjx Companies Inc TJX 2017-03-31 -89 $3.95 $0
M Holdings Securities Inc Toll Brothers Inc TOL 2017-03-31 598 $5.11 $3
M Holdings Securities Inc Wireless Group Plc MDY 2017-03-31 562 $10.69 $6
M Holdings Securities Inc Gilead Sciences Inc GILD 2017-03-31 1,015 $-3.69 $-3
M Holdings Securities Inc Chicago Bridge And Iron Co Nv CBI 2017-03-31 350 $-1.00 $0
M Holdings Securities Inc General Electric Co GE 2017-03-31 46,594 $-1.8 $-83
M Holdings Securities Inc Netflix Inc NFLX 2017-03-31 12 $24.01 $0
M Holdings Securities Inc Mcdonalds Corp MCD 2017-03-31 -594 $7.89 $-4
M Holdings Securities Inc Wells Fargo And Co WFC 2017-03-31 -1,829 $0.55 $-1
M Holdings Securities Inc Edwards Lifesciences Corp EW 2017-03-31 62 $0.37 $0
M Holdings Securities Inc Cognizant Tech Solutions-A CTSH 2017-03-31 -150 $3.49 $0
M Holdings Securities Inc Venture Incubator Sa VTI 2017-03-31 269 $6.00 $1
M Holdings Securities Inc Hcp Inc HCP 2017-03-31 3 $1.56 $0
M Holdings Securities Inc United Parcel Service-Cl B UPS 2017-03-31 -969 $-7.34 $7
M Holdings Securities Inc Air Products And Chemicals Inc APD 2017-03-31 -193 $-8.53 $1
M Holdings Securities Inc Ford Motor Co F 2017-03-31 -4,186 $-0.49 $2
M Holdings Securities Inc Exxon Mobil Corp XOM 2017-03-31 -51 $-8.25 $0
M Holdings Securities Inc Discover Financial Services DFS 2017-03-31 -287 $-3.70 $1
M Holdings Securities Inc Automatic Data Processing ADP 2017-03-31 107 $-0.39 $0
M Holdings Securities Inc Pepsico Inc PEP 2017-03-31 -212 $7.23 $-1
M Holdings Securities Inc Huntsman Corp HUN 2017-03-31 0 $5.46 $0
M Holdings Securities Inc Abbott Laboratories ABT 2017-03-31 -678 $6.00 $-4
M Holdings Securities Inc Washington Federal Inc WAFD 2017-03-31 82 $-1.25 $0
M Holdings Securities Inc Vicem Materials Transport Ce VTV 2017-03-31 384 $2.36 $0
M Holdings Securities Inc Freeport-Mcmoran Inc FCX 2017-03-31 150 $0.17 $0
M Holdings Securities Inc Conocophillips COP 2017-03-31 2,514 $-0.27 $0
M Holdings Securities Inc Diageo Plc DEO 2017-03-31 -500 $11.64 $-5
M Holdings Securities Inc Procter And Gamble Cothe PG 2017-03-31 -37,650 $5.77 $-217
M Holdings Securities Inc Vadilal Enterprises Ltd VDE 2017-03-31 422 $-7.97 $-3
M Holdings Securities Inc Jk Tyre And Industries Ltd JKI 2017-03-31 64 $3.96 $0
M Holdings Securities Inc Ebay Inc EBAY 2017-03-31 0 $3.88 $0
M Holdings Securities Inc Shyam Telecom Ltd SHY 2017-03-31 -4,500 $0.07 $0
M Holdings Securities Inc Jpmorgan Chase And Co JPM 2017-03-31 -1,035 $1.55 $-1
M Holdings Securities Inc Verizon Communications Inc VZ 2017-03-31 661 $-4.63 $-3
M Holdings Securities Inc Centurylink Inc CTL 2017-03-31 18,922 $-0.21 $-3
M Holdings Securities Inc First American Financial FAF 2017-03-31 760 $2.65 $2
M Holdings Securities Inc Assured Guaranty Ltd AGO 2017-03-31 0 $-0.66 $0
M Holdings Securities Inc Amgen Inc AMGN 2017-03-31 18 $17.86 $0
M Holdings Securities Inc Premium Intl Finance Ltd PRF 2017-03-31 -3,259 $2.92 $-9
M Holdings Securities Inc Johnson And Johnson JNJ 2017-03-31 -33,601 $9.34 $-313
M Holdings Securities Inc Norfolk Southern Corp NSC 2017-03-31 3 $3.90 $0
M Holdings Securities Inc Pfizer Inc PFE 2017-03-31 2,393 $1.73 $4
M Holdings Securities Inc First Connecticut Bancorp FBNK 2017-03-31 0 $2.15 $0
M Holdings Securities Inc Walt Disney Cothe DIS 2017-03-31 -204 $9.17 $-1
M Holdings Securities Inc Emerson Electric Co EMR 2017-03-31 -198 $4.11 $0
M Holdings Securities Inc Cvs Health Corp CVS 2017-03-31 -502 $-0.41 $0
M Holdings Securities Inc Atta Global Group Bhd AGG 2017-03-31 -352 $0.43 $0
M Holdings Securities Inc Prudential Financial Inc PRU 2017-03-31 164 $2.62 $0
M Holdings Securities Inc Indo Gulf Industries Ltd IGE 2017-03-31 4,709 $-1.68 $-7
M Holdings Securities Inc Dornod Khudaldaa Jsc DES 2017-03-31 714 $-2.10 $-1
M Holdings Securities Inc Intl Business Machines Corp IBM 2017-03-31 -3,502 $8.15 $-28
M Holdings Securities Inc Leucadia National Corp LUK 2017-03-31 0 $2.75 $0
M Holdings Securities Inc Comcast Corp-Class A CMCSA 2017-03-31 3,473 $-31.46 $-109
M Holdings Securities Inc Mongolian Resource Corp Ltd MUB 2017-03-31 945 $0.77 $0
M Holdings Securities Inc Timken Co TKR 2017-03-31 0 $5.5 $0
M Holdings Securities Inc Bank Of America Corp BAC 2017-03-31 40,069 $1.49 $59
M Holdings Securities Inc Du Pont Ei De Nemours DD 2017-03-31 182 $6.93 $1
M Holdings Securities Inc Vajra Bearings Ltd VB 2017-03-31 -177 $4.32 $0
M Holdings Securities Inc Accenture Plc-Cl A ACN 2017-03-31 20 $2.75 $0
M Holdings Securities Inc Isaria Wohnbau Ag IWB 2017-03-31 -4,075 $6.79 $-27
M Holdings Securities Inc Microsoft Corp MSFT 2017-03-31 -23,463 $3.72 $-87
M Holdings Securities Inc Mondelez International Inc-A MDLZ 2017-03-31 514 $-1.25 $0
M Holdings Securities Inc Alaska Air Group Inc ALK 2017-03-31 62 $3.49 $0
M Holdings Securities Inc John Keells Plc JKL 2017-03-31 230 $1.39 $0
M Holdings Securities Inc Danaher Corp DHR 2017-03-31 18 $7.69 $0
M Holdings Securities Inc Be Aerospace Inc BEAV 2017-03-31 0 $-52.15 $0
M Holdings Securities Inc Felcor Lodging Trust Inc FCH 2017-03-31 0 $-0.50 $0
M Holdings Securities Inc Vinati Organics Ltd VO 2017-03-31 -33 $7.61 $0
M Holdings Securities Inc Colgate-Palmolive Co CL 2017-03-31 21 $7.75 $0
M Holdings Securities Inc Qualcomm Inc QCOM 2017-03-31 -5,034 $-7.86 $39
M Holdings Securities Inc Lowes Cos Inc LOW 2017-03-31 -48,335 $11.09 $-536
M Holdings Securities Inc Ecolab Inc ECL 2017-03-31 -139 $8.12 $-1
M Holdings Securities Inc Honeywell International Inc HON 2017-03-31 -913 $9.02 $-8
M Holdings Securities Inc Abbvie Inc ABBV 2017-03-31 -3,376 $2.54 $-8
M Holdings Securities Inc Keycorp KEY 2017-03-31 -126 $-0.49 $0
M Holdings Securities Inc Amazoncom Inc AMZN 2017-03-31 73 $136.67 $9
M Holdings Securities Inc Merck And Co Inc MRK 2017-03-31 -2,840 $4.67 $-13
M Holdings Securities Inc Teva Pharmaceutical TEVA 2017-03-31 4,902 $-4.16 $-20
M Holdings Securities Inc Dominos Pizza Inc DPZ 2017-03-31 19 $25.06 $0
M Holdings Securities Inc Cigna Corp CI 2017-03-31 0 $13.10 $0
M Holdings Securities Inc Enbridge Inc ENB 2017-03-31 6,089 $-0.28 $-1
M Holdings Securities Inc Check Point Software Tech CHKP 2017-03-31 5,145 $18.20 $93
M Holdings Securities Inc American Express Co AXP 2017-03-31 2,676 $5.03 $13
M Holdings Securities Inc Constellation Brands Inc-A STZ 2017-03-31 1,359 $8.76 $11
M Holdings Securities Inc Ulta Salon Cosmetics And Fragr ULTA 2017-03-31 801 $30.29 $24
M Holdings Securities Inc Inno-Gene Sa IGN 2017-03-31 4,498 $1.88 $8
M Holdings Securities Inc Nvidia Corp NVDA 2017-03-31 4,100 $2.19 $8
M Holdings Securities Inc Ssandc Technologies Holdings SSNC 2017-03-31 6,840 $6.8 $46
M Holdings Securities Inc National Grid Plc NGG 2017-03-31 8,267 $5.15 $42
M Holdings Securities Inc Bt Group Plc BT 2017-03-31 12,900 $-2.94 $-37
M Holdings Securities Inc Kimco Realty Corp KIM 2017-03-31 13,300 $-3.07 $-40
M Holdings Securities Inc Brinker International Inc EAT 2017-03-31 9,900 $-5.57 $-55
M Holdings Securities Inc Xl Energy Ltd XLE 2017-03-31 3,949 $-5.42 $-21
M Holdings Securities Inc Csx Corp CSX 2017-03-31 5,446 $10.62 $57
M Holdings Securities Inc Copart Inc CPRT 2017-03-31 5,471 $-24.445 $-133
M Holdings Securities Inc Henry Schein Inc HSIC 2017-03-31 1,276 $18.26 $23
M Holdings Securities Inc Fintech Communications Ltd FTC 2017-03-31 7,335 $3.60 $26
M Holdings Securities Inc Five Star Quality Care FVE 2017-03-31 -19,657 $-0.55 $10
M Holdings Securities Inc Slovnaft As SLV 2017-03-31 -11,625 $2.14 $-24
M Holdings Securities Inc Micron Technology Inc MU 2017-03-31 -10,689 $6.98 $-74
M Holdings Securities Inc Spectra Energy Corp SE 2017-03-31 -6,225 $0.00 $0
M Holdings Securities Inc Caterpillar Inc CAT 2017-03-31 -5,255 $0.02 $0
M Holdings Securities Inc Union Construction And Inves UCI 2017-03-31 -13,463 $-0.09 $1
M Holdings Securities Inc Tri-National Development Crp TNA 2017-03-31 -9,035 $-48.265 $436