Palisades Hudson Asset Management, L.P. Buys American Electric Power Co Inc, Leggett & Platt Inc, Union Pacific Corp, Sells SPDR S&P 500, Apple Inc, Deere

Fort Lauderdale, FL, based Investment company Palisades Hudson Asset Management, L.P. buys American Electric Power Co Inc, Leggett & Platt Inc, Union Pacific Corp, Yum China Holdings Inc, Pinnacle Financial Partners Inc, The Walt Disney Co, sells SPDR S&P 500, Apple Inc, Deere, Procter & Gamble Co, Alphabet Inc, Alphabet Inc, Boeing Co, Pfizer Inc, Merck Inc, Amazon.com Inc, Kimberly-Clark Corp, Fox Corp, Marriott International Inc, MicroStrategy Inc, Johnson & Johnson, Progressive Corp, Total System Services Inc, Gilead Sciences Inc, Wells Fargo, Texas Roadhouse Inc, Broadridge Financial Solutions Inc, Commerce Bancshares Inc, Biogen Inc, Abbott Laboratories, C.H. Robinson Worldwide Inc, Intuit Inc, Bank of America Corporation, Juniper Networks Inc, JPMorgan Chase, UnitedHealth Group Inc, Moody's Corporation, Intel Corp, AT&T Inc, Exxon Mobil Corp, Coca-Cola Co, Graco Inc, Nike Inc, McDonald's Corp, Comcast Corp, Philip Morris International Inc during the 3-months ended 2019Q1, according to the most recent filings of the investment company, Palisades Hudson Asset Management, L.P.. As of 2019Q1, Palisades Hudson Asset Management, L.P. owns 96 stocks with a total value of $142 million. These are the details of the buys and sells.

For the details of Palisades Hudson Asset Management, L.P.'s stock buys and sells, go to https://www.gurufocus.com/guru/palisades+hudson+asset+management%2C+l.p./current-portfolio/portfolio

These are the top 5 holdings of Palisades Hudson Asset Management, L.P.
  1. iShares Core S&P 500 (IVV) - 70,542 shares, 14.17% of the total portfolio. Shares reduced by 0.44%
  2. SPDR S&P 500 (SPY) - 53,819 shares, 10.73% of the total portfolio. Shares reduced by 57.47%
  3. iShares S&P SmallCap 600 Value (IJS) - 96,973 shares, 10.10% of the total portfolio. Shares reduced by 11.01%
  4. iShares Core S&P Small-Cap (IJR) - 140,784 shares, 7.67% of the total portfolio. Shares reduced by 13.2%
  5. Vanguard Total Stock Market (VTI) - 68,353 shares, 6.98% of the total portfolio. Shares added by 0.40%
New Purchase: Leggett & Platt Inc (LEG)

Palisades Hudson Asset Management, L.P. initiated holding in Leggett & Platt Inc. The purchase prices were between $35.45 and $46.07, with an estimated average price of $41.95. The stock is now traded at around $42.99. The impact to a portfolio due to this purchase was 0.16%. The holding were 5,422 shares as of .

New Purchase: American Electric Power Co Inc (AEP)

Palisades Hudson Asset Management, L.P. initiated holding in American Electric Power Co Inc. The purchase prices were between $72.77 and $85.98, with an estimated average price of $79.4. The stock is now traded at around $83.57. The impact to a portfolio due to this purchase was 0.16%. The holding were 2,708 shares as of .

New Purchase: Union Pacific Corp (UNP)

Palisades Hudson Asset Management, L.P. initiated holding in Union Pacific Corp. The purchase prices were between $132.68 and $171.33, with an estimated average price of $160.69. The stock is now traded at around $176.76. The impact to a portfolio due to this purchase was 0.15%. The holding were 1,250 shares as of .

New Purchase: Yum China Holdings Inc (YUMC)

Palisades Hudson Asset Management, L.P. initiated holding in Yum China Holdings Inc. The purchase prices were between $32.88 and $44.91, with an estimated average price of $39.27. The stock is now traded at around $44.30. The impact to a portfolio due to this purchase was 0.15%. The holding were 4,692 shares as of .

New Purchase: Pinnacle Financial Partners Inc (PNFP)

Palisades Hudson Asset Management, L.P. initiated holding in Pinnacle Financial Partners Inc. The purchase prices were between $46.1 and $59.55, with an estimated average price of $55.13. The stock is now traded at around $57.47. The impact to a portfolio due to this purchase was 0.14%. The holding were 3,755 shares as of .

Added: The Walt Disney Co (DIS)

Palisades Hudson Asset Management, L.P. added to a holding in The Walt Disney Co by 33.23%. The purchase prices were between $106.33 and $115.25, with an estimated average price of $111.74. The stock is now traded at around $133.32. The impact to a portfolio due to this purchase was 0.08%. The holding were 4,394 shares as of .

Sold Out: Deere & Co (DE)

Palisades Hudson Asset Management, L.P. sold out a holding in Deere & Co. The sale prices were between $144.05 and $165.97, with an estimated average price of $159.68.

Sold Out: Procter & Gamble Co (PG)

Palisades Hudson Asset Management, L.P. sold out a holding in Procter & Gamble Co. The sale prices were between $90.44 and $104.05, with an estimated average price of $97.18.

Sold Out: Merck & Co Inc (MRK)

Palisades Hudson Asset Management, L.P. sold out a holding in Merck & Co Inc. The sale prices were between $72.92 and $83.17, with an estimated average price of $78.33.

Sold Out: Kimberly-Clark Corp (KMB)

Palisades Hudson Asset Management, L.P. sold out a holding in Kimberly-Clark Corp. The sale prices were between $107.87 and $123.9, with an estimated average price of $116.23.

Sold Out: Fox Corp (FOXA)

Palisades Hudson Asset Management, L.P. sold out a holding in Fox Corp. The sale prices were between $34.63 and $49.69, with an estimated average price of $36.46.

Sold Out: MicroStrategy Inc (MSTR)

Palisades Hudson Asset Management, L.P. sold out a holding in MicroStrategy Inc. The sale prices were between $126.57 and $149.62, with an estimated average price of $138.29.



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