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Strategic Blueprint, LLC

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

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
SPDR SERIES TRUST ONEKCommon550,378-151,60026,500,679,000-5,074,280,0002.73  Hist 03/31/2023
JPS INDUSTRIES INC JPSTCommon48,369-69,2672,433,942,000-3,463,164,0000.25  Hist 03/31/2023
iSHARES TRUST ESGUCommon349,677-59,42631,628,266,000-3,043,204,0003.26  Hist 03/31/2023
PFIZER INC PFECommon42,607-45,0421,738,360,000-2,752,779,0000.180.00 Hist 03/31/2023
HOME DEPOT, INC. HDCommon7,956-8,0372,347,930,000-2,703,765,0000.240.00 Hist 03/31/2023
Invesco Exchange-Traded Fund Trust II EELVExchange Traded Fund28,333-104,966658,176,000-2,409,037,0000.07  Hist 03/31/2023
VANGUARD INDEX FUNDS VTICommon36,539-14,1117,457,645,000-2,226,195,0000.77  Hist 03/31/2023
iSHARES TRUST STIPCommon6,639-19,981658,785,000-1,922,291,0000.07  Hist 03/31/2023
SELECT SECTOR SPDR TRUST XLESBI INT-ENERGY27,501-18,7852,277,904,000-1,770,725,0000.23  Hist 03/31/2023
INVESCO ACTIVELY MANAGED ETF GSYEXCHANGE TRADED FUND4,865-33,446241,301,000-1,653,575,0000.02  Hist 03/31/2023
PIMCO ETF TR TTL RTN ACTV BONDETF9,207-18,050854,041,000-1,612,172,0000.09  Hist 03/31/2023
SSGA Active Trust TOTLCommon13,976-39,976573,424,000-1,586,820,0000.06  Hist 03/31/2023
ADVANCED MICRO DEVICES INC AMDCommon10,503-25,6791,029,350,000-1,314,126,0000.11  Hist 03/31/2023
iSHARES TRUST SHYGCommon20,835-30,637868,409,000-1,236,281,0000.09  Hist 03/31/2023
INVESCO QQQ TRUST, SERIES 1 QQQETF11,434-6,5273,669,560,000-1,112,999,0000.38  Hist 03/31/2023
iSHARES TRUST VLUECommon18,279-12,1891,692,453,000-1,084,401,0000.17  Hist 03/31/2023
CVS HEALTH Corp CVSCommon44,377-2,1683,297,678,000-1,039,860,0000.34  Hist 03/31/2023
iSHARES TRUST EEMVCommon47,146-20,7472,572,737,000-1,028,993,0000.26  Hist 03/31/2023
ISHARES U S ETF TR COMTETF9,259-31,992250,270,000-912,584,0000.03  Hist 03/31/2023
SMART CHOICE AUTOMOTIVE GROUP INC SCHACMN36,933-17,2051,548,601,000-644,529,0000.16  Hist 03/31/2023
iSHARES TRUST IXGCommon11,099-6,793765,912,000-491,538,0000.08  Hist 03/31/2023
iSHARES TRUST ICSHCommon21,005-9,0311,055,501,000-447,513,0000.11  Hist 03/31/2023
iSHARES TRUST EUSBCommon6,420-9,546277,519,000-396,253,0000.03  Hist 03/31/2023
NEXTERA ENERGY INC FPLcommon51,804-5253,993,038,000-381,691,0000.410.00 Hist 03/31/2023
iSHARES TRUST GOVTCommon162,471-18,6803,798,569,000-317,183,0000.39  Hist 03/31/2023
iSHARES TRUST FALNCommon14,232-12,744359,644,000-304,245,0000.04  Hist 03/31/2023
iShares High Dividend ETF JDR HDVETF2,763-2,716280,925,000-290,186,0000.03  Hist 03/31/2023
FIRST TR EXCHNG TRADED FD VI UCONExchange Traded Fund43,675-10,3531,057,372,000-245,240,0000.11  Hist 03/31/2023
Innovator ETFs Trust USEPCommon85,555-12,4442,352,540,000-234,634,0000.24  Hist 03/31/2023
HUNTINGTON BANCSHARES INC /MD/ HBANCommon58,808-3,071658,648,000-213,843,0000.07  Hist 03/31/2023
MOSAIC CO MOSCOM39,790-6,4371,825,565,000-202,413,0000.190.01 Hist 03/31/2023
HONEYWELL INTERNATIONAL INC HONCommon7,443-1171,422,588,000-197,570,0000.150.00 Hist 03/31/2023
TRUIST FINANCIAL CORP BBTCommon10,117-2,338344,996,000-190,937,0000.04  Hist 03/31/2023
iSHARES TRUST ESGECommon22,080-7,287695,076,000-187,988,0000.07  Hist 03/31/2023
Innovator ETFs Trust UJULCommon12,590-7,134340,433,000-167,543,0000.04  Hist 03/31/2023
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