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Holdings

MONEY CONCEPTS CAPITAL CORP

Changes: All | New | Increased | Decreased | Sold Out

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
Apple Inc. AAPLCommon144,069-166,40323,795,152,000-16,544,495,0001.330.00 Hist 03/31/2023
AbbVie Inc. ABBVCOM98,963-86,37015,845,447,000-14,106,167,0000.88  Hist 03/31/2023
SPDR SERIES TRUST THRKCommon110,038-229,8935,322,380,000-10,752,963,0000.30  Hist 03/31/2023
JPS INDUSTRIES INC JPSTCommon226,859-17,6852,079,055,000-10,179,954,0000.12  Hist 03/31/2023
Franklin Templeton ETF Trust FLLVCommon16,907-202,1801,211,808,000-8,913,010,0000.07  Hist 03/31/2023
ABBOTT LABORATORIES ABTCommon64,172-74,3936,501,305,000-8,711,850,0000.36  Hist 03/31/2023
Victory Portfolios II CFOCommon141,479-16,4781,477,059,000-8,633,784,0000.08  Hist 03/31/2023
MICROSOFT CORP MSFTCommon102,850-56,63129,862,236,000-8,384,564,0001.670.00 Hist 03/31/2023
JOHNSON & JOHNSON JNJCommon205,140-23,27932,066,212,000-8,284,123,0001.79  Hist 03/31/2023
PFIZER INC PFECommon649,541-27,52326,551,046,000-8,141,742,0001.480.01 Hist 03/31/2023
PROCTER & GAMBLE Co PGCommon208,316-48,69231,272,075,000-7,680,030,0001.740.01 Hist 03/31/2023
ELI LILLY & Co LLYCommon83,822-16,27529,368,341,000-7,251,180,0001.640.01 Hist 03/31/2023
State Street Global Advisors Ltd. TLOCommon21,640-245,0811,616,039,000-6,126,874,0000.09  Hist 03/31/2023
UNITED PARCEL SERVICE INC UPSCommon1,761-34,800341,844,000-6,013,882,0000.02  Hist 03/31/2023
AMAZON COM INC AMZNCommon53,170-76,7085,514,396,000-5,395,380,0000.31  Hist 03/31/2023
SPDR INDEX SHS FDS CWICommon15,795-258,6891,322,699,000-5,281,395,0000.07  Hist 03/31/2023
WisdomTree Trust NTSXCommon16,824-179,3331,176,250,000-5,189,038,0000.07  Hist 03/31/2023
GILEAD SCIENCES, INC. GILDCommon237,141-48,30319,750,805,000-4,754,706,0001.100.02 Hist 03/31/2023
FIRST TRUST EXCHANGE-TRADED FUND VI RDVYCommon15,645-99,812337,660,000-4,733,219,0000.02  Hist 03/31/2023
J P MORGAN EXCHANGE TRADED F JCPBCommon13,668-109,8301,016,182,000-4,656,089,0000.06  Hist 03/31/2023
EXXON MOBIL CORP XOMCommon3,636-41,279398,964,000-4,555,226,0000.020.00 Hist 03/31/2023
NVIDIA CORP NVDACommon2,977-29,879826,984,000-3,974,608,0000.050.00 Hist 03/31/2023
Pacer Funds Trust PTLCCommon45,049-73,883646,042,000-3,812,721,0000.04  Hist 03/31/2023
Walmart Inc. WMTCommon27,314-25,9004,060,956,000-3,484,222,0000.230.00 Hist 03/31/2023
CARDINAL HEALTH INC CAHCommon410,222-38,16431,108,388,000-3,359,033,0001.74  Hist 03/31/2023
HOME DEPOT, INC. HDCommon25,220-8,8887,510,644,000-3,262,824,0000.420.00 Hist 03/31/2023
INVESCO EXCH TRADED FD TR II PBTPCommon8,568-147,388694,127,000-3,109,644,0000.04  Hist 03/31/2023
Duke Energy CORP DUKCOM272,729-13,91026,489,451,000-3,031,680,0001.480.04 Hist 03/31/2023
JPMORGAN CHASE & CO JPMCommon31,451-21,3404,134,061,000-2,945,168,0000.23  Hist 03/31/2023
SPDR Barclays Intermediate Term Corporate Bond ETF ITRcommon14,028-105,695934,211,000-2,876,572,0000.05  Hist 03/31/2023
FIRST TR VALUE LINE DIVID IN FVDSHS35,569-55,361782,947,000-2,846,052,0000.04  Hist 03/31/2023
BERKSHIRE HATHAWAY INC BRK/BCommon3,520-9,1021,086,870,000-2,812,084,0000.06  Hist 03/31/2023
COCA COLA CO KOCommon473,308-31,90529,471,662,000-2,664,989,0001.64  Hist 03/31/2023
CHEVRON CORP CVXCommon21,560-11,1983,561,992,000-2,317,660,0000.200.00 Hist 03/31/2023
Alphabet Inc. GOOGCOM17,622-28,2401,832,792,000-2,236,575,0000.10  Hist 03/31/2023
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