Spinnaker Trust Buys ishares Gold Trust, iShares 3-7 Year Treasury Bond ETF, Vanguard …

Portland, ME, based mostly Funding firm Spinnaker Belief buys ishares Gold Belief, iShares Three-7 12 months Treasury Bond ETF, Vanguard Supplies, The House Depot Inc, McDonald’s Corp, FactSet Analysis Methods Inc, Constellation Manufacturers Inc, VeriSign Inc, NVIDIA Corp, Eli Lilly and Co, Moody’s Company, PayPal Holdings Inc, Nordstrom Inc, Amazon.com Inc, Reserving Holdings Inc, S&P International Inc, Emerson Electrical Co, Boeing Co, Costco Wholesale Corp, Fastenal Co, BlackRock Inc, Keysight Applied sciences Inc, iShares North American Tech-Multimedia Networking, Cigna Corp, American Tower Corp, Roper Applied sciences Inc, Domino’s Pizza Inc, Baxter Worldwide Inc, Vanguard Actual Property, Vertex Prescription drugs Inc, Unum Group, Vanguard Complete Inventory Market, Previous Republic Worldwide Corp, sells SPDR Blackstone GSO Senior Mortgage, Vanguard Excessive Dividend Yield, DowDuPont Inc, ONEOK Inc, Eaton Vance Tax-Managed Purchase-Write Revenue Fund, Vanguard Mortgage-Backed Securities ETF, Normal Electrical Co, Vanguard FTSE Developed Markets through the Three-months ended 2019Q1, in response to the latest filings of the funding firm, Spinnaker Belief. As of 2019Q1, Spinnaker Belief owns 214 shares with a complete worth of $831 million. These are the small print of the buys and sells.

New Purchases: IAU, IEI, VAW, FDS, VRSN, PYPL, MCO, NVDA, JWN, SPGI, IGN, KEYS, BAX, ROP, FAST, DPZ, CI, BLK, VRTX, UNM, VNQ, Added Positions: IEMG, HD, FLOT, JPST, MCD, STZ, DFJ, LLY, UTX, BDX, PG, WMT, INTC, BKNG, GOOGL, EMR, BA, AMZN, AAPL, VNM, CVX, COST, JPM, AMT, VOX, AAXJ, V, MA, EMLP, ORCL, QCOM, VTI, EOG, IYC, BMY, FB, ORI, ULTA, UNH, T, AMGN, SCHW, ITA, DLR, D, UPS, LMT, USB, FLT, Lowered Positions: XLV, INDA, XLF, XLK, DWDP, XLP, ETB, MSFT, GE, VEA, IBM, GOOG, FTEC, CVS, XLI, XLRE, XLY, XLU, PFE, CSCO, JNJ, PEP, FISV, VOO, IHE, ICLN, GLD, NSRGY, A, SLB, STT, TGT, UNP, VO, SYK, GS, ANTM, GSK, KO, APD, HRS, IVV, MMP, BSV, DES, EXT, PNC, VZ, IHI, IJR, AFL, PM, Offered Out: SRLN, VYM, OKE, VMBS,

For the small print of SPINNAKER TRUST’s inventory buys and sells,
go to https://www.gurufocus.com/guru/spinnaker+belief/current-portfolio/portfolio

These are the highest 5 holdings of SPINNAKER TRUST3M Co (MMM) – 587,837 shares, 14.71% of the overall portfolio. Shares diminished by Zero.01%iShares Core MSCI EAFE (IEFA) – 899,108 shares, 6.58% of the overall portfolio. Shares added by Zero.23%SPDR Choose Sector Fund – Expertise (XLK) – 648,640 shares, 5.78% of the overall portfolio. Shares diminished by Three.69%SPDR Choose Sector Fund – Well being Care (XLV) – 359,919 shares, Three.98% of the overall portfolio. Shares diminished by eight.7percentiShares Core MSCI Rising Markets (IEMG) – 602,733 shares, Three.75% of the overall portfolio. Shares added by 9.94%New Buy: ishares Gold Belief (IAU)

Spinnaker Belief initiated holding in ishares Gold Belief. The acquisition costs had been between $12.26 and $12.84, with an estimated common worth of $12.49. The inventory is now traded at round $12.25. The impression to a portfolio resulting from this buy was 1.74%. The holding had been 1,166,791 shares as of .

New Buy: iShares Three-7 12 months Treasury Bond ETF (IEI)

Spinnaker Belief initiated holding in iShares Three-7 12 months Treasury Bond ETF. The acquisition costs had been between $120.92 and $123.41, with an estimated common worth of $121.72. The inventory is now traded at round $122.73. The impression to a portfolio resulting from this buy was 1.67%. The holding had been 112,549 shares as of .

New Buy: Vanguard Supplies (VAW)

Spinnaker Belief initiated holding in Vanguard Supplies. The acquisition costs had been between $108.45 and $125.69, with an estimated common worth of $119.88. The inventory is now traded at round $126.32. The impression to a portfolio resulting from this buy was Zero.56%. The holding had been 37,659 shares as of .

New Buy: FactSet Analysis Methods Inc (FDS)

Spinnaker Belief initiated holding in FactSet Analysis Methods Inc. The acquisition costs had been between $194 and $248.27, with an estimated common worth of $223.1. The inventory is now traded at round $272.59. The impression to a portfolio resulting from this buy was Zero.08%. The holding had been 2,710 shares as of .

New Buy: VeriSign Inc (VRSN)

Spinnaker Belief initiated holding in VeriSign Inc. The acquisition costs had been between $142.59 and $185.38, with an estimated common worth of $171.14. The inventory is now traded at round $197.47. The impression to a portfolio resulting from this buy was Zero.06%. The holding had been 2,884 shares as of .

New Buy: Moody’s Company (MCO)

Spinnaker Belief initiated holding in Moody’s Company. The acquisition costs had been between $136.18 and $181.99, with an estimated common worth of $163.94. The inventory is now traded at round $194.70. The impression to a portfolio resulting from this buy was Zero.05%. The holding had been 2,115 shares as of .

Added: The House Depot Inc (HD)

Spinnaker Belief added to a holding in The House Depot Inc by 39.30%. The acquisition costs had been between $168.61 and $192.39, with an estimated common worth of $183.33. The inventory is now traded at round $202.16. The impression to a portfolio resulting from this buy was Zero.21%. The holding had been 31,898 shares as of .

Added: McDonald’s Corp (MCD)

Spinnaker Belief added to a holding in McDonald’s Corp by 25.31%. The acquisition costs had been between $173.97 and $189.9, with an estimated common worth of $181.41. The inventory is now traded at round $197.12. The impression to a portfolio resulting from this buy was Zero.08%. The holding had been 16,626 shares as of .

Added: Constellation Manufacturers Inc (STZ)

Spinnaker Belief added to a holding in Constellation Manufacturers Inc by 21.35%. The acquisition costs had been between $150.94 and $175.33, with an estimated common worth of $168.34. The inventory is now traded at round $212.54. The impression to a portfolio resulting from this buy was Zero.07%. The holding had been 18,926 shares as of .

Added: Eli Lilly and Co (LLY)

Spinnaker Belief added to a holding in Eli Lilly and Co by 86.22%. The acquisition costs had been between $111.31 and $131.02, with an estimated common worth of $121.44. The inventory is now traded at round $119.60. The impression to a portfolio resulting from this buy was Zero.05%. The holding had been 6,745 shares as of .

Added: Boeing Co (BA)

Spinnaker Belief added to a holding in Boeing Co by 47.24%. The acquisition costs had been between $310.9 and $440.62, with an estimated common worth of $384.16. The inventory is now traded at round $379.05. The impression to a portfolio resulting from this buy was Zero.04%. The holding had been 2,565 shares as of .

Added: Reserving Holdings Inc (BKNG)

Spinnaker Belief added to a holding in Reserving Holdings Inc by 67.34%. The acquisition costs had been between $1649.49 and $1935.5, with an estimated common worth of $1785.18. The inventory is now traded at round $1876.32. The impression to a portfolio resulting from this buy was Zero.04%. The holding had been 415 shares as of .

Offered Out: SPDR Blackstone GSO Senior Mortgage (SRLN)

Spinnaker Belief bought out a holding in SPDR Blackstone GSO Senior Mortgage. The sale costs had been between $44.7 and $46.62, with an estimated common worth of $45.94.

Offered Out: Vanguard Excessive Dividend Yield (VYM)

Spinnaker Belief bought out a holding in Vanguard Excessive Dividend Yield. The sale costs had been between $76.7 and $86.72, with an estimated common worth of $83.44.

Offered Out: ONEOK Inc (OKE)

Spinnaker Belief bought out a holding in ONEOK Inc. The sale costs had been between $53.95 and $69.85, with an estimated common worth of $64.61.

Offered Out: Vanguard Mortgage-Backed Securities ETF (VMBS)

Spinnaker Belief bought out a holding in Vanguard Mortgage-Backed Securities ETF. The sale costs had been between $51.44 and $52.39, with an estimated common worth of $51.76.

Lowered: DowDuPont Inc (DWDP)

Spinnaker Belief diminished to a holding in DowDuPont Inc by 37.23%. The sale costs had been between $34.76 and $39.85, with an estimated common worth of $36.86. The inventory is now traded at round $37.96. The impression to a portfolio resulting from this sale was -Zero.18%. Spinnaker Belief nonetheless held 42,237 shares as of .

Lowered: Eaton Vance Tax-Managed Purchase-Write Revenue Fund (ETB)

Spinnaker Belief diminished to a holding in Eaton Vance Tax-Managed Purchase-Write Revenue Fund by 76.29%. The sale costs had been between $13.45 and $15.92, with an estimated common worth of $14.84. The inventory is now traded at round $15.98. The impression to a portfolio resulting from this sale was -Zero.08%. Spinnaker Belief nonetheless held 12,900 shares as of .

Lowered: Vanguard FTSE Developed Markets (VEA)

Spinnaker Belief diminished to a holding in Vanguard FTSE Developed Markets by 32.25%. The sale costs had been between $36.75 and $41.54, with an estimated common worth of $39.92. The inventory is now traded at round $42.00. The impression to a portfolio resulting from this sale was -Zero.05%. Spinnaker Belief nonetheless held 19,653 shares as of .

Lowered: Normal Electrical Co (GE)

Spinnaker Belief diminished to a holding in Normal Electrical Co by 36.97%. The sale costs had been between $7.28 and $10.88, with an estimated common worth of $9.four. The inventory is now traded at round $9.73. The impression to a portfolio resulting from this sale was -Zero.05%. Spinnaker Belief nonetheless held 82,313 shares as of .

Right here is the whole portfolio of SPINNAKER TRUST. Additionally take a look at:

1. SPINNAKER TRUST’s Undervalued Shares
2. SPINNAKER TRUST’s High Development Corporations, and
Three. SPINNAKER TRUST’s Excessive Yield shares
four. Shares that SPINNAKER TRUST retains shopping for

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