Brick & Kyle, Associates as of March 31, 2019
Portfolio Holdings for Brick & Kyle, Associates
Brick & Kyle, Associates holds 64 positions in its portfolio as reported in the March 2019 quarterly 13F filing
Company (Ticker) | Portfolio Weight | Valued At | Change in Shares | Share Count | Share Price |
---|---|---|---|---|---|
Amazon (AMZN) | 6.6 | $6.4M | 3.6k | 1780.89 | |
Microsoft Corporation (MSFT) | 5.3 | $5.2M | 44k | 117.93 | |
Apple (AAPL) | 4.6 | $4.5M | 24k | 189.93 | |
Merck & Co (MRK) | 4.4 | $4.3M | 51k | 83.18 | |
Alphabet Inc Class A cs (GOOGL) | 4.1 | $4.0M | 3.4k | 1176.88 | |
McDonald's Corporation (MCD) | 3.9 | $3.8M | 20k | 189.91 | |
Boeing Company (BA) | 3.8 | $3.7M | 9.8k | 381.37 | |
Visa (V) | 3.8 | $3.7M | 24k | 156.17 | |
JPMorgan Chase & Co. (JPM) | 3.7 | $3.6M | 36k | 101.24 | |
Abbvie (ABBV) | 3.6 | $3.5M | 44k | 80.58 | |
Walt Disney Company (DIS) | 3.4 | $3.3M | 30k | 111.02 | |
Johnson & Johnson (JNJ) | 3.4 | $3.3M | 24k | 139.81 | |
Zimmer Holdings (ZBH) | 3.2 | $3.2M | 25k | 127.70 | |
Illinois Tool Works (ITW) | 2.8 | $2.7M | 19k | 143.52 | |
Prudential Financial (PRU) | 2.8 | $2.7M | 29k | 91.89 | |
Home Depot (HD) | 2.7 | $2.7M | 14k | 191.87 | |
Verizon Communications (VZ) | 2.4 | $2.3M | 39k | 59.13 | |
Southern Company (SO) | 2.1 | $2.0M | 39k | 51.69 | |
At&t (T) | 2.0 | $2.0M | 64k | 31.36 | |
Vanguard Small-Cap ETF (VB) | 2.0 | $1.9M | 13k | 152.83 | |
Procter & Gamble Company (PG) | 1.8 | $1.7M | 17k | 104.04 | |
Chevron Corporation (CVX) | 1.6 | $1.6M | 13k | 123.20 | |
Alerian Mlp Etf | 1.6 | $1.6M | 156k | 10.03 | |
FedEx Corporation (FDX) | 1.6 | $1.5M | 8.4k | 181.44 | |
United Technologies Corporation | 1.6 | $1.5M | 12k | 128.86 | |
Micron Technology (MU) | 1.5 | $1.4M | 35k | 41.32 | |
Bank of America Corporation (BAC) | 1.4 | $1.4M | 51k | 27.59 | |
iShares Russell Midcap Index Fund (IWR) | 1.4 | $1.3M | 25k | 53.96 | |
Schlumberger (SLB) | 1.0 | $934k | 21k | 43.56 | |
Financial Select Sector SPDR (XLF) | 1.0 | $935k | 36k | 25.71 | |
Harris Corporation | 0.9 | $927k | 5.8k | 159.69 | |
First Trust DJ STOX Sel Div 30 IDX (FDD) | 0.9 | $839k | 65k | 12.83 | |
Honeywell International (HON) | 0.8 | $826k | 5.2k | 158.97 | |
Celgene Corporation | 0.8 | $825k | 8.8k | 94.29 | |
Alphabet Inc Class C cs (GOOG) | 0.8 | $819k | 698.00 | 1173.35 | |
Altria (MO) | 0.8 | $791k | 14k | 57.46 | |
Citigroup (C) | 0.7 | $673k | 11k | 62.26 | |
Pepsi (PEP) | 0.7 | $658k | 5.4k | 122.56 | |
Allianzgi Equity & Conv In | 0.5 | $528k | 25k | 21.50 | |
Nextera Energy (NEE) | 0.5 | $495k | 2.6k | 193.21 | |
3M Company (MMM) | 0.5 | $475k | 2.3k | 207.60 | |
Emerson Electric (EMR) | 0.5 | $446k | 6.5k | 68.50 | |
BlackRock Enhanced Dividend Achievers Tr (BDJ) | 0.4 | $418k | 49k | 8.55 | |
Pfizer (PFE) | 0.4 | $414k | 9.7k | 42.47 | |
Lockheed Martin Corporation (LMT) | 0.4 | $360k | 1.2k | 300.50 | |
iShares NASDAQ Biotechnology Index (IBB) | 0.3 | $341k | 3.1k | 111.80 | |
Coca-Cola Company (KO) | 0.3 | $329k | 7.0k | 46.83 | |
Costco Wholesale Corporation (COST) | 0.3 | $321k | 1.3k | 242.08 | |
NVIDIA Corporation (NVDA) | 0.3 | $322k | 1.8k | 179.59 | |
Exxon Mobil Corporation (XOM) | 0.3 | $316k | 3.9k | 80.67 | |
Waste Management (WM) | 0.3 | $308k | 3.0k | 103.81 | |
MetLife (MET) | 0.3 | $314k | 7.4k | 42.58 | |
CSX Corporation (CSX) | 0.3 | $307k | 4.1k | 74.88 | |
Vanguard Total Stock Market ETF (VTI) | 0.3 | $290k | 2.0k | 144.78 | |
Union Pacific Corporation (UNP) | 0.3 | $283k | 1.7k | 167.16 | |
Wells Fargo & Company (WFC) | 0.3 | $255k | 5.3k | 48.26 | |
Amgen (AMGN) | 0.3 | $249k | 1.3k | 189.93 | |
Ark Etf Tr web x.o etf (ARKW) | 0.3 | $255k | 4.9k | 51.83 | |
PNC Financial Services (PNC) | 0.2 | $224k | 1.8k | 122.47 | |
General Mills (GIS) | 0.2 | $226k | 4.4k | 51.66 | |
PPL Corporation (PPL) | 0.2 | $228k | 7.2k | 31.79 | |
Cisco Systems (CSCO) | 0.2 | $217k | 4.0k | 53.91 | |
Eaton Vance Enhanced Equity Income Fund (EOI) | 0.2 | $211k | 15k | 14.35 | |
International Business Machines (IBM) | 0.2 | $202k | 1.4k | 140.77 |