Rehmann Capital Advisory Group Q3 2018 Filing

Filed November 20, 2018

Portfolio Value

$788.9B

Holdings

1,020

Report Date

Q3 2018

Filing Type

13F-HR

All Holdings (1,020 positions)

StockValue
SPYSPDRS&P500ETFTR
$431.4B
MDYSPDRS&PMIDCAP400ETFTR
$264.0B
JPMJPMORGANCHASE&CO
$11.3B
MMM3MCO
$8.9B
COSTCOSTCOWHSLCORPNEW
$8.9B
ORCLORACLECORP
$6.5B
XLBSELECTSECTORSPDRTR
$4.2B
XLESELECTSECTORSPDRTR
$4.1B
MDTMEDTRONICPLC
$3.6B
GSGOLDMANSACHSGROUPINC
$3.3B
GSGISHARESS&PGSCICOMMODITYI
$3.2B
LVLNSPDRSERIESTRUST
$3.2B
CSCOCISCOSYSINC
$3.1B
XOMEXXONMOBILCORP
$3.0B
XLFSELECTSECTORSPDRTR
$2.9B
IEMGISHARESINC
$2.9B
DOWDUPONTINC
$2.5B
GOOGLALPHABETINC
$2.1B
XLISELECTSECTORSPDRTR
$1.7B
DBCINVESCODBCOMMDYINDXTRCK
$1.7B
FDXFEDEXCORP
$1.6B
TAT&TINC
$1.4B
GOOGALPHABETINC
$1.1B
AQLTISHARESTR
$1.1B
MRKMERCK&COINC
$1.1B
LABORATORYCORPAMERHLDGS
$1.1B
PXFINVESCOEXCHNGTRADEDFDTR
$951.5M
IXUSISHARESTR
$676.5M
GMGENERALMTRSCO
$631.5M
SPDRSERIESTRUST
$580.6M
METAFACEBOOKINC
$432.5M
NVDANVIDIACORP
$411.0M
YUMCYUMCHINAHLDGSINC
$345.6M
FVCFIRSTTREXCHANGETRADEDFD
$314.7M
FVDFIRSTTRVALUELINEDIVIDIN
$305.1M
MINTPIMCOETFTR
$162.9M
BNDXVANGUARDCHARLOTTEFDS
$159.9M
EWJISHARESINC
$153.2M
EWUISHARESTR
$147.2M
DELLDELLTECHNOLOGIESINC
$138.4M
INVESCOEXCHTRDSLFIDXFD
$132.2M
TWTRUSDTWITTERINC
$113.3M
BACVERIZONCOMMUNICATIONSINC
$100.9M
DOCUSDPHYSICIANSRLTYTR
$97.8M
AMJEURJPMORGANCHASE&CO
$88.7M
BSJKINVESCOEXCHTRDSLFIDXFD
$83.8M
VCSHVANGUARDSCOTTSDALEFDS
$79.3M
ISTBISHARESTR
$76.2M
VODVODAFONEGROUPPLCNEW
$74.3M
BONDPIMCOETFTR
$64.8M
MIYBLACKROCKMUNIYLDMICHQLTY
$64.6M
VANECKVECTORSETFTR
$53.8M
IHDGWISDOMTREETR
$49.4M
LDURPIMCOETFTR
$48.9M
DXCDXCTECHNOLOGYCO
$46.3M
STIPISHARESTR
$45.4M
SMBVANECKVECTORSETFTR
$41.0M
TSLATESLAINC
$40.7M
VCITVANGUARDSCOTTSDALEFDS
$39.5M
NADNUVEENQUALITYMUNCPINCOME
$37.5M
BWXSPDRSERIESTRUST
$37.5M
PRAPROASSURANCECORP
$36.9M
DGROISHARESTR
$36.5M
PGXINVESCOEXCHNGTRADEDFDTR
$33.5M
SMFGSUMITOMOMITSUIFINLGROUPI
$31.6M
VANECKVECTORSETFTR
$29.7M
MOALTRIAGROUPINC
$29.7M
XLKSELECTSECTORSPDRTR
$28.4M
METMETLIFEINC
$28.4M
NZFNUVEENMUNICIPALCREDITINC
$28.2M
NVGNUVEENAMTFREEMUNCRINCF
$27.7M
DGRWWISDOMTREETR
$26.8M
KBESPDRSERIESTRUST
$26.6M
PGFINVESCOEXCHANGETRADEDFDT
$24.2M
AIVLWISDOMTREETR
$23.6M
USMVISHARESTR
$23.5M
MLNVANECKVECTORSETFTR
$23.1M
SHMSPDRSERTR
$21.2M
DESWISDOMTREETR
$19.8M
SIRIEURSIRIUSXMHLDGSINC
$19.7M
ISHARESTR
$18.7M
FEYECHFFIREEYEINC
$18.5M
PEOEXELONCORP
$18.3M
DUKDUKEENERGYCORPNEW
$17.8M
ISHARESTR
$17.6M
CMCSACOMCASTCORPNEW
$17.6M
7HPHPINC
$16.7M
GQ9SPDRGOLDTRUST
$16.2M
AQLTISHARESTR
$16.1M
FXNFIRSTTREXCHANGETRADEDFD
$16.0M
ISHARESTR
$15.9M
CONTROL4CORP
$15.6M
PDBCINVESCOACTIVELYMANAGDETF
$14.9M
EVHEVOLENTHEALTHINC
$14.7M
NTLAINTELLIATHERAPEUTICSINC
$14.4M
USOUNITEDSTATESOILFUNDLP
$14.4M
MUNIPIMCOETFTR
$14.3M
FCXFREEPORT-MCMORANINC
$14.1M
JCIJOHNSONCTLSINTLPLC
$14.0M
FLOTISHARESTR
$13.9M
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