Van Hulzen Asset Management, LLC Q1 2017 Filing

Filed May 15, 2017

Portfolio Value

$218.4B

Holdings

126

Report Date

Q1 2017

Filing Type

13F-HR

All Holdings (126 positions)

#StockSharesValue% PortfolioType
1
AAPLApple
108,531$15.6B7.14%
2
METAFacebook
51,850$7.4B3.37%
3
GEGeneral Electric
233,711$7.0B3.19%
4
TIPiShares TIP Fund
58,129$6.7B3.05%
5
WMTWalMart
89,167$6.4B2.94%
6
PFFiShares US Pref Index Fund
142,423$5.5B2.52%
7
Allergan
23,019$5.5B2.52%
8
XOMExxonMobil
62,985$5.2B2.37%
9
SLViShares Silver Trust
285,820$4.9B2.26%
10
IAUUSDiShares Gold Trust
371,987$4.5B2.05%
11
INTCIntel
119,246$4.3B1.97%
12
NKENike
76,683$4.3B1.96%
13
BACVerizon Communications
85,685$4.2B1.91%
14
ACNAccenture Limited
33,825$4.1B1.86%
15
ABBVAbbvie Inc
60,481$3.9B1.80%
16
CSCOCisco
115,982$3.9B1.80%
17
SOSouthern Company
76,255$3.8B1.74%
18
METMetlife
69,300$3.7B1.68%
19
Eaton
49,038$3.6B1.67%
20
LYBLyondeBasell Industries
38,610$3.5B1.61%
21
KOCoca Cola
82,276$3.5B1.60%
22
GMGeneral Motors
96,420$3.4B1.56%
23
DBLDoubleLine Credit Fund
142,834$3.4B1.56%
24
WELLWelltower
45,800$3.2B1.49%
25
BKBank of New York
62,933$3.0B1.36%
26
CMCSAComcast
76,440$2.9B1.32%
27
PFEPfizer
82,469$2.8B1.29%
28
WBAWalgreens Boots Alliance
31,685$2.6B1.20%
29
BRK/BBerkshire Hathaway
15,420$2.6B1.18%
30
CLColgate Palmolive
34,602$2.5B1.16%
31
LUVSouthwest Airlines
46,500$2.5B1.14%
32
COSTCostco
14,819$2.5B1.14%
33
DDominion Resources
31,506$2.4B1.12%
34
SPYS&P 500 Unit Trust
10,348$2.4B1.12%
35
BENFranklin Resources
56,680$2.4B1.09%
36
TSLATesla Motors
8,505$2.4B1.08%
37
IJRiShares S&P Small-Cap ETF
33,548$2.3B1.06%
38
SBUXStarbucks
39,664$2.3B1.06%
39
OXYOccidental Petroleum
36,101$2.3B1.05%
40
GOOGLGoogle A Shares
2,604$2.2B1.01%
41
GILDGilead Sciences
31,943$2.2B0.99%
42
TDToronto Dominion Bank
41,208$2.1B0.95%
43
DECKDecker's Outdoor
32,425$1.9B0.89%
44
GISGeneral Mills
30,500$1.8B0.82%
45
PPLPPL Corporation
48,089$1.8B0.82%
46
SLBSchlumberger
21,700$1.7B0.78%
47
FIVEFive Below
39,135$1.7B0.78%
48
CMGChipotle Mexican Grill
3,679$1.6B0.75%
49
ROPRoper Industries
7,765$1.6B0.73%
50
CVXChevron
14,872$1.6B0.73%
51
NTRSNorthern Trust
15,695$1.4B0.62%
52
TLTiShares LT Treasury Fund
10,760$1.3B0.59%
53
FITBFifth Third Bancorp
47,339$1.2B0.55%
54
CHGGChegg
127,000$1.1B0.49%
55
CQPCheniere Energy Partners
32,418$1.0B0.48%
56
PGProcter & Gamble
11,631$1.0B0.48%
57
DHRDanaher
11,680$999.0M0.46%
58
USBUS Bancorp
18,963$977.0M0.45%
59
IBMIBM
5,583$972.0M0.45%
60
NXPINXP Semiconductor
9,325$965.0M0.44%
61
UTXZUnited Technologies
8,420$945.0M0.43%
62
Pattern Energy Group
46,050$927.0M0.42%
63
XLBMaterials Select Sector ETF
17,511$918.0M0.42%
64
DGDollar General
12,200$851.0M0.39%
65
VVisa
9,030$802.0M0.37%
66
AMZNAmazon
890$789.0M0.36%
67
IFNIndia Fund
30,915$785.0M0.36%
68
AMBAAmbarella
14,295$782.0M0.36%
69
AWRAmerican States Water
17,111$758.0M0.35%
70
MPTMedical Properties Trust
58,450$753.0M0.34%
71
IVViShares S&P 500 Index
2,898$688.0M0.32%
72
AGQProShares UltraPro Short
37,800$648.0M0.30%
73
VEEVVeeva Systems
12,620$647.0M0.30%
74
MOAltria Group
8,500$607.0M0.28%
75
Gold Miners ETF Trust
26,201$598.0M0.27%
76
FMCFMC Corporation
8,485$590.0M0.27%
77
JNJJohnson & Johnson
4,280$533.0M0.24%
78
BACBank of America
22,238$525.0M0.24%
79
HSYHershey
4,665$510.0M0.23%
80
EFAiShares MSCI EAFE Index
7,970$496.0M0.23%
81
STZConstellation Brands
3,015$489.0M0.22%
82
MPCMarathon Petroleum
9,605$485.0M0.22%
83
EightpointThree Energy
34,532$469.0M0.21%
84
BABAAlibaba
4,200$453.0M0.21%
85
ORealty Income
7,450$443.0M0.20%
86
BANXStoneCastle Financial
21,600$435.0M0.20%
87
MCDMcDonalds
3,343$433.0M0.20%
88
MSFTMicrosoft
6,419$423.0M0.19%
89
MCKMckesson HBOC
2,800$415.0M0.19%
90
DISWalt Disney
3,582$406.0M0.19%
91
BBTUSDBB&T
8,705$389.0M0.18%
92
JCIJohnson Controls Intl
9,022$380.0M0.17%
93
FNMAFannie Mae
142,000$369.0M0.17%
94
ESSEssex Property Trust
1,555$360.0M0.16%
95
CAMPEURCalAmp
21,265$357.0M0.16%
96
Kate Spade
15,000$348.0M0.16%
97
Tortoise MLP Fund
16,770$348.0M0.16%
98
TXRHTexas Roadhouse
7,800$347.0M0.16%
99
WhiteWave Foods
6,000$337.0M0.15%
100
FCXFreeport-McMoran
23,340$312.0M0.14%
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