PSG

Planning Solutions Group Portfolio holdings

AUM $194M
This Quarter Return
+2.61%
1 Year Return
3 Year Return
5 Year Return
10 Year Return
AUM
$194M
AUM Growth
+$194M
Cap. Flow
+$2.91M
Cap. Flow %
1.5%
Top 10 Hldgs %
49.3%
Holding
144
New
9
Increased
41
Reduced
50
Closed
4

Sector Composition

1 Financials 7.1%
2 Technology 5.17%
3 Consumer Staples 4.27%
4 Healthcare 4.12%
5 Consumer Discretionary 3.96%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
BRK.A icon
101
Berkshire Hathaway Class A
BRK.A
$1.09T
$318K 0.16%
1
VT icon
102
Vanguard Total World Stock ETF
VT
$51.6B
$311K 0.16%
4,134
JPST icon
103
JPMorgan Ultra-Short Income ETF
JPST
$33.1B
$306K 0.16%
6,067
+1,485
+32% +$74.9K
HON icon
104
Honeywell
HON
$139B
$305K 0.16%
1,745
+460
+36% +$80.4K
BAC.PRL icon
105
Bank of America Series L
BAC.PRL
$3.84B
$300K 0.15%
219
WM icon
106
Waste Management
WM
$91.2B
$287K 0.15%
2,491
TXN icon
107
Texas Instruments
TXN
$184B
$283K 0.15%
2,468
TXNM
108
TXNM Energy, Inc.
TXNM
$5.97B
$282K 0.15%
5,546
RY icon
109
Royal Bank of Canada
RY
$205B
$281K 0.14%
3,543
LPT
110
DELISTED
Liberty Property Trust
LPT
$272K 0.14%
5,443
-200
-4% -$9.99K
APLE icon
111
Apple Hospitality REIT
APLE
$3.1B
$265K 0.14%
16,735
VWO icon
112
Vanguard FTSE Emerging Markets ETF
VWO
$96.4B
$265K 0.14%
6,234
+821
+15% +$34.9K
ABBV icon
113
AbbVie
ABBV
$372B
$260K 0.13%
3,571
-250
-7% -$18.2K
CAT icon
114
Caterpillar
CAT
$196B
$255K 0.13%
1,874
-1,101
-37% -$150K
CMCSA icon
115
Comcast
CMCSA
$125B
$254K 0.13%
6,008
-77
-1% -$3.26K
RTN
116
DELISTED
Raytheon Company
RTN
$251K 0.13%
1,441
+89
+7% +$15.5K
WFC.PRL icon
117
WELLS FARGO 7.5% NON CUMV PERP CONV
WFC.PRL
$4.82B
$248K 0.13%
182
HD icon
118
Home Depot
HD
$405B
$246K 0.13%
1,185
-16
-1% -$3.32K
BP icon
119
BP
BP
$90.8B
$245K 0.13%
5,869
+748
+15% +$31.2K
LMT icon
120
Lockheed Martin
LMT
$106B
$237K 0.12%
+652
New +$237K
UAA icon
121
Under Armour
UAA
$2.14B
$237K 0.12%
9,349
-200
-2% -$5.07K
TRV icon
122
Travelers Companies
TRV
$61.1B
$234K 0.12%
1,562
-823
-35% -$123K
MDT icon
123
Medtronic
MDT
$119B
$229K 0.12%
2,349
RTX icon
124
RTX Corp
RTX
$212B
$229K 0.12%
1,762
MKC icon
125
McCormick & Company Non-Voting
MKC
$18.9B
$228K 0.12%
1,471