- New Purchases: CVET, JPST, TAK, WAB, TEUM, EVN, 9MGM, FEM, XLC,
- Added Positions: DIS, DISCA, SNV, IWM, PAI, PFE, MSFT, HON, LMT, CVS, V, MRK, XBI, BAC, ITA, T, GOOG, PYPL, BABA, NTAP, UNH, MMM, KO, DEA, C, MGP, YUMC, FBT, YUM, WRB, WBK, SLB, DISCK, SLYG, MDYG, AMGN, ADM, WMB, TJX, CRON, RVT, JEQ, STOR, GCV, BX, DG, FPE,
- Reduced Positions: VTR, AGN, BP, MKC, HEZU, EWG, ACN, JNJ, FTSM, EXG, DVN, AWK, HSIC, BRK.B, CMCSA, STZ, PEP, LYG, LOW, GOOGL, FDX, FB, VWO, BA, BMY, KHC, DWDP, BK, EOG, CFG, DUK, AMAT, IBB, GLD, IIM, STT, CRM, SYK, TD, EWJ, INSI, OAK, RTN, GPC, GE, CB, CI, XOM, IP, LLY, K, APA, MPW, LILAK, LBRDK, BATRA, LBRDA, AA, FWONA, LEXEA, GTX, KRE, MO, AIG, ARCC, EZU, BNS, EFA, REZI, XRAY, LTRPA, ZBH, WY, HPT, VLO, GEO, LGF.B, NOV, PCH, GSK, LBTYA, FWONK, EMN, GLIBA, KMI, ASCMA, DFS, LBTYK, QRTEA, QCOM,
- Sold Out: FOXA, MCR, CTSH, FOX, VVC, BHGE, ARNC, CRC, BUD, IPN1, EVJ, APC, GG, BTI, FEP,
For the details of M&R CAPITAL MANAGEMENT INC's stock buys and sells, go to https://www.gurufocus.com/guru/m%26r+capital+management+inc/current-portfolio/portfolio
These are the top 5 holdings of M&R CAPITAL MANAGEMENT INC- Apple Inc (AAPL) - 92,952 shares, 4.48% of the total portfolio. Shares added by 0.50%
- Visa Inc (V) - 93,105 shares, 3.56% of the total portfolio. Shares added by 1.08%
- Berkshire Hathaway Inc (BRK.B) - 69,360 shares, 3.50% of the total portfolio. Shares reduced by 1.29%
- Church & Dwight Co Inc (CHD) - 187,224 shares, 3.28% of the total portfolio.
- The Walt Disney Co (DIS) - 93,998 shares, 3.10% of the total portfolio. Shares added by 911.06%
M&r Capital Management Inc initiated holding in JPMorgan Ultra-Short Income. The purchase prices were between $50.09 and $50.4, with an estimated average price of $50.26. The stock is now traded at around $50.43. The impact to a portfolio due to this purchase was 0.08%. The holding were 6,820 shares as of .
New Purchase: Covetrus Inc (CVET)M&r Capital Management Inc initiated holding in Covetrus Inc. The purchase prices were between $31.52 and $46.19, with an estimated average price of $36.15. The stock is now traded at around $32.96. The impact to a portfolio due to this purchase was 0.08%. The holding were 10,334 shares as of .
New Purchase: Takeda Pharmaceutical Co Ltd (TAK)M&r Capital Management Inc initiated holding in Takeda Pharmaceutical Co Ltd. The purchase prices were between $16.7 and $21.52, with an estimated average price of $20.07. The stock is now traded at around $18.39. The impact to a portfolio due to this purchase was 0.01%. The holding were 2,177 shares as of .
New Purchase: Taronis Technologies Inc (9MGM)M&r Capital Management Inc initiated holding in Taronis Technologies Inc. The purchase prices were between $0.17 and $4.26, with an estimated average price of $1.79. The stock is now traded at around $0.54. The impact to a portfolio due to this purchase was less than 0.01%. The holding were 1 shares as of .
New Purchase: Westinghouse Air Brake Technologies Corp (WAB)M&r Capital Management Inc initiated holding in Westinghouse Air Brake Technologies Corp. The purchase prices were between $67.3 and $78.06, with an estimated average price of $72.15. The stock is now traded at around $73.82. The impact to a portfolio due to this purchase was less than 0.01%. The holding were 56 shares as of .
New Purchase: First Trust Emerging Markets AlphaDEX Fund (FEM)M&r Capital Management Inc initiated holding in First Trust Emerging Markets AlphaDEX Fund. The purchase prices were between $22.46 and $25.72, with an estimated average price of $24.76. The stock is now traded at around $24.85. The impact to a portfolio due to this purchase was less than 0.01%. The holding were 59 shares as of .
Added: The Walt Disney Co (DIS)M&r Capital Management Inc added to a holding in The Walt Disney Co by 911.06%. 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 $139.30. The impact to a portfolio due to this purchase was 2.79%. The holding were 93,998 shares as of .
Added: Discovery Inc (DISCA)M&r Capital Management Inc added to a holding in Discovery Inc by 13931.54%. The purchase prices were between $24.74 and $29.3, with an estimated average price of $27.8. The stock is now traded at around $31.63. The impact to a portfolio due to this purchase was 0.71%. The holding were 96,537 shares as of .
Added: Synovus Financial Corp (SNV)M&r Capital Management Inc added to a holding in Synovus Financial Corp by 619.65%. The purchase prices were between $31.99 and $39.98, with an estimated average price of $36.65. The stock is now traded at around $37.01. The impact to a portfolio due to this purchase was 0.38%. The holding were 51,455 shares as of .
Added: iShares Russell 2000 (IWM)M&r Capital Management Inc added to a holding in iShares Russell 2000 by 33.60%. The purchase prices were between $132.25 and $158.24, with an estimated average price of $150.07. The stock is now traded at around $159.03. The impact to a portfolio due to this purchase was 0.12%. The holding were 12,723 shares as of .
Added: Western Asset Investment Grade Income Fund Inc (PAI)M&r Capital Management Inc added to a holding in Western Asset Investment Grade Income Fund Inc by 2236.92%. The purchase prices were between $13.2 and $14.97, with an estimated average price of $14.06. The stock is now traded at around $14.50. The impact to a portfolio due to this purchase was 0.1%. The holding were 30,380 shares as of .
Added: Lockheed Martin Corp (LMT)M&r Capital Management Inc added to a holding in Lockheed Martin Corp by 995.89%. The purchase prices were between $258.08 and $309.47, with an estimated average price of $292.83. The stock is now traded at around $328.59. The impact to a portfolio due to this purchase was 0.05%. The holding were 800 shares as of .
Sold Out: Fox Corp (FOXA)M&r Capital Management Inc 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: MFS Charter Income Trust (MCR)M&r Capital Management Inc sold out a holding in MFS Charter Income Trust. The sale prices were between $7.33 and $7.9, with an estimated average price of $7.71.
Sold Out: Fox Corp (FOX)M&r Capital Management Inc sold out a holding in Fox Corp. The sale prices were between $34.59 and $49.61, with an estimated average price of $36.43.
Sold Out: Cognizant Technology Solutions Corp (CTSH)M&r Capital Management Inc sold out a holding in Cognizant Technology Solutions Corp. The sale prices were between $61.1 and $74.5, with an estimated average price of $69.91.
Sold Out: Vectren Corp (VVC)M&r Capital Management Inc sold out a holding in Vectren Corp. The sale prices were between $71.78 and $72.38, with an estimated average price of $72.05.
Sold Out: California Resources Corp (CRC)M&r Capital Management Inc sold out a holding in California Resources Corp. The sale prices were between $17.04 and $27.57, with an estimated average price of $21.6.
Reduced: Ventas Inc (VTR)M&r Capital Management Inc reduced to a holding in Ventas Inc by 95.26%. The sale prices were between $56.92 and $65.25, with an estimated average price of $62.44. The stock is now traded at around $59.90. The impact to a portfolio due to this sale was -0.94%. M&r Capital Management Inc still held 3,000 shares as of .
Reduced: Allergan PLC (AGN)M&r Capital Management Inc reduced to a holding in Allergan PLC by 89.49%. The sale prices were between $132.09 and $160.79, with an estimated average price of $144.95. The stock is now traded at around $146.30. The impact to a portfolio due to this sale was -0.25%. M&r Capital Management Inc still held 827 shares as of .
Reduced: BP PLC (BP)M&r Capital Management Inc reduced to a holding in BP PLC by 26.8%. The sale prices were between $37.92 and $44.53, with an estimated average price of $41.89. The stock is now traded at around $43.02. The impact to a portfolio due to this sale was -0.16%. M&r Capital Management Inc still held 42,926 shares as of .
Reduced: McCormick & Co Inc (MKC)M&r Capital Management Inc reduced to a holding in McCormick & Co Inc by 31.76%. The sale prices were between $121.19 and $150.63, with an estimated average price of $134.92. The stock is now traded at around $153.37. The impact to a portfolio due to this sale was -0.14%. M&r Capital Management Inc still held 7,918 shares as of .
Reduced: First Trust Enhanced Short Maturity ETF (FTSM)M&r Capital Management Inc reduced to a holding in First Trust Enhanced Short Maturity ETF by 68.03%. The sale prices were between $59.84 and $60.09, with an estimated average price of $59.97. The stock is now traded at around $60.11. The impact to a portfolio due to this sale was -0.07%. M&r Capital Management Inc still held 2,195 shares as of .
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