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Holdings

FIRST MERCANTILE TRUST CO

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

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
SCHWAB US LC ETF SCHXETF817,225-156,55185,015,000-16,364,00011.26  Hist 09/30/2021
SCHWAB STRATEGIC TRUST SCHMCommon597,909-98,06945,836,000-8,651,0006.07  Hist 09/30/2021
SMART CHOICE AUTOMOTIVE GROUP INC SCHACMN351,572-51,21935,192,000-6,742,0004.66  Hist 09/30/2021
VANGUARD TAX-MANAGED FUNDS VEAFD590,375-96,51429,808,000-5,589,0003.95  Hist 09/30/2021
VANGUARD SCOTTSDALE FUNDS VGITCommon559,353-74,00137,784,000-5,264,0005.00  Hist 09/30/2021
VANGUARD SPECIALIZED FUNDS VIGCommon142,934-25,10621,955,000-4,133,0002.91  Hist 09/30/2021
VANGUARD INTERNATIONAL EQUITY INDEX FUNDS VWOCommon343,948-32,39917,200,000-3,203,0002.28  Hist 09/30/2021
Schwab US Dividend Equity ETF SCHDETF225,499-34,10116,742,000-2,911,0002.22  Hist 09/30/2021
TWILIO INC TWLOCL A430-7,238137,000-2,885,0000.02  Hist 09/30/2021
Trade Desk, Inc. TTDCommon1,550-35,750109,000-2,776,0000.01  Hist 09/30/2021
VANGUARD SCOTTSDALE FUNDS VGLTCommon195,793-29,47617,173,000-2,659,0002.27  Hist 09/30/2021
NIKE, Inc. NKECommon8,832-16,6741,282,000-2,659,0000.17  Hist 09/30/2021
iSHARES TRUST HEFACommon392,905-66,10413,512,000-2,393,0001.79  Hist 09/30/2021
VANGUARD WHITEHALL FUNDS VIGICommon124,854-24,53110,891,000-2,184,0001.44  Hist 09/30/2021
Block, Inc. SQCommon2,745-8,242658,000-2,020,0000.09  Hist 09/30/2021
PayPal Holdings, Inc. PYPLCOM8,909-5,3682,319,000-1,843,0000.310.00 Hist 09/30/2021
iShares, Inc. IGFCommon251,393-42,31211,539,000-1,811,0001.53  Hist 09/30/2021
VANGUARD SCOTTSDALE FUNDS VCITCommon181,412-16,62917,128,000-1,729,0002.27  Hist 09/30/2021
VANGUARD SCOTTSDALE FUNDS VCLTCommon94,802-12,87710,009,000-1,516,0001.33  Hist 09/30/2021
Edwards Lifesciences Corp EWCommon958-14,617108,000-1,505,0000.010.00 Hist 09/30/2021
UNITEDHEALTH GROUP INC UNHCommon8,842-3,3743,455,000-1,436,0000.460.00 Hist 09/30/2021
Public Storage PSACommon270-3,72180,000-1,120,0000.010.00 Hist 09/30/2021
VISA INC. VCL A7,148-3,5481,592,000-909,0000.21  Hist 09/30/2021
VANGUARD SCOTTSDALE FUNDS VMBSCommon378,426-15,34320,166,000-868,0002.67  Hist 09/30/2021
iSHARES TRUST USHYCommon120,195-17,8334,989,000-763,0000.66  Hist 09/30/2021
EXACT SCIENCES CORP EXASCommon20,342-1,3451,942,000-754,0000.260.01 Hist 09/30/2021
DIAGEO PLC DEOSPON ADR NEW12,328-3,7582,379,000-705,0000.31  Hist 09/30/2021
ZILLOW GROUP, INC. ZCommon14,550-1,4501,282,000-674,0000.170.01 Hist 09/30/2021
WELLS FARGO & COMPANY/MN WFCCommon19,686-14,152914,000-619,0000.120.00 Hist 09/30/2021
STARBUCKS CORP SBUXCommon1,110-5,385122,000-604,0000.020.00 Hist 09/30/2021
LIN Media LLC LINCOMMON STOCK6,094-1,6281,788,000-445,0000.24  Hist 09/30/2021
AMERICAN TOWER CORP /MA/ AMTCOM5,130-1,5491,361,000-443,0000.180.00 Hist 09/30/2021
PELOTON INTERACTIVE, INC. PTONCommon9,500-725827,000-441,0000.110.00 Hist 09/30/2021
ServiceNow, Inc. NOWCOM3,691-1,2822,296,000-437,0000.300.00 Hist 09/30/2021
AMAZON COM INC AMZNCommon1,654-475,434,000-418,0000.720.00 Hist 09/30/2021
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