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Summit X, LLC

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

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
iSHARES TRUST IVVCommon102,07451,51441,961,137,00022,786,370,00010.85  Hist 03/31/2023
Apple Inc. AAPLCommon139,569-79023,018,594,0003,823,361,0005.950.00 Hist 03/31/2023
FIDELITY FREEDOM 2020 FBNDCommon365,908209,07116,831,782,0009,533,943,0004.35  Hist 03/31/2023
iSHARES TRUST QUALCommon108,217105,78713,425,949,00013,154,140,0003.47  Hist 03/31/2023
iSHARES TRUST EFGMSCI GRW IDX118,77984,79611,127,368,0008,391,741,0002.88  Hist 03/31/2023
MICROSOFT CORP MSFTCommon31,593579,109,423,0001,007,282,0002.350.00 Hist 03/31/2023
iSHARES TRUST MBBCommon86,26382,4728,171,826,0007,802,244,0002.11  Hist 03/31/2023
iSHARES TRUST ESGUCommon87,390-102,6127,904,294,000-8,038,160,0002.04  Hist 03/31/2023
iSHARES TRUST EFVMSCI VAL IDX157,58441,3237,647,622,0002,601,727,0001.98  Hist 03/31/2023
iSHARES TRUST IYWCommon81,63881,6387,577,051,0007,577,051,0001.96  Hist 03/31/2023
iShares, Inc. IEMGCommon150,16388,9407,326,382,0004,322,163,0001.89  Hist 03/31/2023
O REILLY AUTOMOTIVE INC ORLYCOM8,483-4507,202,074,0001,553,631,0001.860.01 Hist 03/31/2023
Mastercard Inc MACL A16,289-1,6015,920,157,000272,110,0001.53  Hist 03/31/2023
iSHARES TRUST GOVTCommon237,61396,7125,555,385,0002,187,743,0001.44  Hist 03/31/2023
VANGUARD BOND INDEX FUNDS BNDCommon69,652-70,3995,142,654,000-5,398,776,0001.33  Hist 03/31/2023
iSHARES TRUST TLTOPTION44,62944,6294,747,182,0004,747,182,0001.23  Hist 03/31/2023
FIDELITY FREEDOM 2020 FDLOCommon98,49298,4924,676,550,0004,676,550,0001.21  Hist 03/31/2023
PROCTER & GAMBLE Co PGCommon31,425-3854,672,465,00097,485,0001.210.00 Hist 03/31/2023
Alphabet Inc. GOOGLCOM42,86739,9974,447,688,000-1,869,598,0001.15  Hist 03/31/2023
VISA INC. VCL A17,840-1,5614,025,868,000203,483,0001.04  Hist 03/31/2023
EXXON MOBIL CORP XOMCommon31,3721433,440,196,000765,542,0000.890.00 Hist 03/31/2023
NVIDIA CORP NVDACommon12,212-15,8443,391,549,000-864,138,0000.880.00 Hist 03/31/2023
AbbVie Inc. ABBVCOM20,776-9843,311,200,000-42,767,0000.86  Hist 03/31/2023
AMAZON COM INC AMZNCommon31,784-10,3493,280,910,000-1,195,203,0000.85  Hist 03/31/2023
iSHARES TRUST IEFACommon45,550-42,3293,044,974,000-2,127,489,0000.79  Hist 03/31/2023
MCDONALDS CORP MCDCommon9,9381052,778,820,000350,344,0000.720.00 Hist 03/31/2023
UNITEDHEALTH GROUP INC UNHCommon5,615-7412,660,371,000-605,767,0000.690.00 Hist 03/31/2023
BERKSHIRE HATHAWAY INC BRK/BCommon8,4467212,612,748,000503,418,0000.68  Hist 03/31/2023
Walmart Inc. WMTCommon17,469142,576,119,000453,365,0000.670.00 Hist 03/31/2023
Walt Disney Co DISCommon25,5064,4802,553,855,000568,143,0000.660.00 Hist 03/31/2023
BlackRock Funds III TLHCommon20,00913,0132,291,975,0001,451,349,0000.59  Hist 03/31/2023
EMERSON ELECTRIC CO EMRCommon24,641-5462,147,254,000143,516,0000.560.00 Hist 03/31/2023
DoubleLine Income Solutions Fund DSLCOM185,03742,1702,103,909,000370,820,0000.54  Hist 03/31/2023
COCA COLA CO KOCommon33,155-1,7062,056,724,000-136,702,0000.53  Hist 03/31/2023
iSHARES TRUST EMBCommon23,32423,3242,012,372,0002,012,372,0000.52  Hist 03/31/2023
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