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BB&T SECURITIES, LLC

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

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
SPDR SERIES TRUST FLRNCommon197,909-798,1526,091,000-24,517,0000.06  Hist 09/30/2019
KIMBERLY CLARK CORP KMBCommon161,910-146,13123,038,000-18,017,0000.210.05 Hist 09/30/2019
State Street Global Advisors Ltd. TLOCommon9,148-436,375376,000-16,625,0000.00  Hist 09/30/2019
JOHNSON & JOHNSON JNJCommon790,361-58,989102,262,000-16,035,0000.940.03 Hist 09/30/2019
ALPS ETF Trust RFCICommon777,403-650,55219,626,000-15,987,0000.18  Hist 09/30/2019
iSHARES TRUST IBDKCommon147,400-603,2993,663,000-15,006,0000.03  Hist 09/30/2019
CHURCH & DWIGHT CO INC /DE/ CHDCommon15,104-200,7861,138,000-14,635,0000.010.01 Hist 09/30/2019
WASTE MANAGEMENT INC WMCommon257,363-118,26329,612,000-13,724,0000.270.06 Hist 09/30/2019
COOPER COMPANIES, INC. COOCommon5,297-39,3031,574,000-13,451,0000.010.01 Hist 09/30/2019
CISCO SYSTEMS, INC. CSCOCommon1,574,595-89,55077,815,000-13,263,0000.710.04 Hist 09/30/2019
CHINA MOBILE LTD /ADR/ CHLCommon6,857-286,558283,000-13,006,0000.00  Hist 09/30/2019
MICROSOFT CORP MSFTCommon1,164,630-139,481161,992,000-12,707,0001.480.02 Hist 09/30/2019
FIRST TR EXCH TRD ALPHA FD I FDTCommon103,641-231,9945,433,000-12,674,0000.05  Hist 09/30/2019
HONEYWELL INTERNATIONAL INC HONCommon421,837-57,85171,437,000-12,312,0000.650.06 Hist 09/30/2019
3M CO MMMCommon105,254-62,98617,304,000-11,859,0000.160.02 Hist 09/30/2019
American Water Works Company, Inc. AWKCOM31,015-104,2743,849,000-11,845,0000.040.02 Hist 09/30/2019
Air Products & Chemicals, Inc. APDCommon62,919-50,94813,974,000-11,801,0000.130.03 Hist 09/30/2019
ALPS ETF Trust RFDACommon585,171-327,94319,173,000-10,279,0000.18  Hist 09/30/2019
CSX CORP CSXCommon84,098-123,4475,826,000-10,231,0000.05  Hist 09/30/2019
ALPS ETF Trust RFFCCommon610,984-295,16420,130,000-10,099,0000.18  Hist 09/30/2019
VANGUARD INDEX FUNDS VTICommon651,558-71,09998,368,000-10,095,0000.90  Hist 09/30/2019
ELI LILLY & Co LLYCommon62,177-91,6416,956,000-10,084,0000.060.01 Hist 09/30/2019
ABBOTT LABORATORIES ABTCommon1,091,141-109,30091,314,000-9,643,0000.840.06 Hist 09/30/2019
iSHARES TRUST EEMCommon258,896-208,52210,576,000-9,480,0000.10  Hist 09/30/2019
RPM INTERNATIONAL INC/DE/ RPMCommon37,586-156,8022,587,000-9,292,0000.020.03 Hist 09/30/2019
PPG INDUSTRIES INC PPGCommon13,547-79,7491,605,000-9,283,0000.010.01 Hist 09/30/2019
VANGUARD INTERNATIONAL EQUITY INDEX FUNDS VWOCommon556,903-179,97122,409,000-8,930,0000.21  Hist 09/30/2019
ALTRIA GROUP, INC. MOCommon607,016-90,81424,710,000-8,332,0000.230.03 Hist 09/30/2019
VANGUARD TAX-MANAGED FUNDS VEAFD902,046-183,55337,067,000-8,213,0000.34  Hist 09/30/2019
EXXON MOBIL CORP XOMCommon790,478-38,92755,783,000-7,773,0000.510.02 Hist 09/30/2019
WD 40 CO WDFCCommon10,018-49,9061,839,000-7,691,0000.020.07 Hist 09/30/2019
RFDI RFDICOMMON144,320-133,2838,064,000-7,684,0000.07  Hist 09/30/2019
NOVO NORDISK A S NVOADR104,647-150,3015,403,000-7,609,0000.05  Hist 09/30/2019
EMERSON ELECTRIC CO EMRCommon148,819-113,5129,912,000-7,590,0000.090.02 Hist 09/30/2019
NORFOLK SOUTHERN CORP NSCCommon103,881-27,71718,675,000-7,557,0000.170.04 Hist 09/30/2019
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