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Reported Holdings Of The
Altman Advisors Inc


Period of report: Jun 30, 2019
Effectiveness Date: Jul 12, 2019

Security Shares Held / Principal Amount Market Value Option Inc (023135106) 1,962 $3,715k
COSTAR GROUP INC (22160N109) 5,799 $3,213k
VISA INC COM CL A (92826C839) 18,336 $3,182k
JPMORGAN CHASE & CO (46625H100) 26,485 $2,961k
MICROSOFT CORP (594918104) 21,900 $2,934k
HOME DEPOT INC (437076102) 13,658 $2,840k
ZOETIS INC (98978V103) 24,395 $2,769k
TARGET CORPORATION (87612E106) 30,656 $2,655k
MCDONALDS CORP (580135101) 12,722 $2,642k
REALTY INCOME CORP (756109104) 37,447 $2,583k
VERIZON COMMUNICATIONS (92343V104) 44,507 $2,543k
CBOE GLOBAL MARKETS INC (12503M108) 24,220 $2,510k
BROADCOM INC (11135F101) 8,668 $2,495k
NEXTERA ENERGY INC (65339F101) 12,115 $2,482k
TD AMERITRADE HLDG CORP (87236Y108) 49,174 $2,455k
CLOROX CO (189054109) 16,030 $2,454k
AMGEN INC (031162100) 12,709 $2,342k
MASTERCARD INC (57636Q104) 8,713 $2,305k
UNITED TECHNOLOGIES (913017109) 17,420 $2,268k
DISNEY WALT CO (254687106) 16,111 $2,250k
WORKDAY INC COM USD0.001 CL A (98138H101) 10,744 $2,209k
QUALCOMM INC (747525103) 28,757 $2,188k
BECTON DICKINSON (075887109) 8,640 $2,177k
Bank of America Corp. (060505104) 74,068 $2,148k
CHENIERE ENERGY INC (16411R208) 31,055 $2,126k
ADOBE INC (00724F101) 7,132 $2,101k
ABBVIE INC (00287Y109) 28,460 $2,070k
AMERICAN TOWER CORP NEW (03027X100) 9,960 $2,036k
SHERWIN WILLIAMS CO (824348106) 4,408 $2,020k
ECOLAB INC (278865100) 10,190 $2,012k
UNITEDHEALTH GRP INC (91324P102) 8,244 $2,012k
Alphabet Inc (02079K107) 1,849 $1,999k
ULTA BEAUTY INC (90384S303) 5,589 $1,939k
WASTE CONNECTIONS INC (94106B101) 20,022 $1,914k
TEMPLETON GLOBAL INCOME FD (880198106) 298,601 $1,899k
FACTSET RESH SYS INC (303075105) 6,609 $1,894k
CONSTELLATION BRANDS (21036P108) 9,585 $1,888k
Domino's Pizza Inc (25754A201) 6,741 $1,876k
Intercontinental Exchange Inc (45866F104) 21,188 $1,821k
3M CO (88579Y101) 10,487 $1,818k
ELECTRONIC ARTS INC (285512109) 17,851 $1,808k
ALEXION PHARMACEUTICALS INC CO (015351109) 13,754 $1,801k
Netflix Inc (64110L106) 4,793 $1,761k
NVR INC (62944T105) 507 $1,709k
SVB FINANCIAL GROUP (78486Q101) 7,392 $1,660k
Boeing Co/The (097023105) 4,517 $1,644k
ADVANCED MICRO DEVICES INC (007903107) 48,821 $1,483k
IPG PHOTONICS CORP COM (44980X109) 9,359 $1,444k
LAM RESEARCH CORP (512807108) 6,581 $1,236k
L BRANDS INC (501797104) 46,600 $1,216k
BARCLAYS BANK PLC IPATH B SHRT TERM (06746P621) 43,366 $1,128k
NEWMARK GROUP INC (65158N102) 125,109 $1,123k
ABIOMED INC (003654100) 4,130 $1,076k
INTUITIVE SURGIC INC (46120E602) 2,033 $1,066k
PayPal Holdings Inc (70450Y103) 8,366 $958k
CME GROUP INC (12572Q105) 4,356 $846k
TE CONNECTIVITY (H84989104) 5,200 $498k
ALPHABET INC (02079K305) 456 $494k
DIAGEO P L C (25243Q205) 2,600 $448k
INTEL CORP (458140100) 7,800 $373k
COMCAST CORP (20030N101) 7,200 $304k
SPDR S&P 500 ETF TR TR UNIT (78462F103) 841 $246k
Booking Holdings, Inc. (09857L108) 130 $244k
SOUTHERN CO (842587107) 4,400 $243k
Facebook Inc (30303M102) 1,250 $241k
Exxon Mobil Corp (30231G102) 3,000 $230k

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