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Reported Holdings Of The
BTR Capital Management Inc

Legal Name: BTR CAPITAL MANAGEMENT INC

Period of report: Jun 30, 2019
Effectiveness Date: Jul 18, 2019

Security Shares Held / Principal Amount Market Value Option
MICROSOFT CORP (594918104) 182,200 $24,408k
Apple Inc (037833100) 93,772 $18,559k
JPMORGAN CHASE & CO (46625H100) 164,688 $18,412k
DISNEY WALT CO (254687106) 130,749 $18,258k
VISA INC COM CL A (92826C839) 97,741 $16,963k
PEPSICO INC (713448108) 127,522 $16,722k
Thermo Fisher Scientific Inc (883556102) 54,640 $16,047k
AMERICAN WTR WKS CO (030420103) 134,349 $15,584k
ALPHABET INC (02079K305) 14,248 $15,428k
Chevron Corp (166764100) 118,249 $14,715k
CROWN CASTLE INTL (22822V101) 101,261 $13,199k
ETF MANAGERS TR (26924G201) 307,005 $12,210k
QUALCOMM INC (747525103) 158,167 $12,032k
LOWES CO (548661107) 117,244 $11,831k
MERCK & CO INC (58933Y105) 138,733 $11,633k
UNITED TECHNOLOGIES (913017109) 87,006 $11,328k
ISHARES TR U.S. MED DVC ETF (464288810) 44,702 $10,761k
AL (00912X302) 236,036 $9,758k
PROCTER & GAMBLE CO (742718109) 81,170 $8,900k
ABBOTT LABS (002824100) 105,614 $8,882k
SPDR SERIES TRUST (78464A870) 97,296 $8,534k
PFIZER INC (717081103) 196,786 $8,525k
UNITEDHEALTH GRP INC (91324P102) 33,783 $8,243k
MID-AMER APT CMNTYS (59522J103) 66,222 $7,798k
STARWOOD PPTY TR (85571B105) 335,443 $7,621k
ISHARES (464288778) 164,101 $7,532k
METLIFE INC (59156R108) 151,260 $7,513k
RAYTHEON (755111507) 41,189 $7,162k
Booking Holdings, Inc. (09857L108) 3,754 $7,038k
CINEMARK HOLDINGS (17243V102) 194,505 $7,022k
JOHNSON & JOHNSON (478160104) 49,546 $6,901k
DISCOVER FINL SVCS (254709108) 88,645 $6,878k
JACOBS ENGR GROUP (469814107) 74,333 $6,273k
Weyerhaeuser Co (962166104) 220,429 $5,806k
AMERICAN GROWTH FUND F-3 (399874775) 105,573 $5,318k
CVS HEALTH CORP (126650100) 95,463 $5,202k
KINDER MORGAN INC (49456B101) 229,049 $4,783k
PENTAIR PLC (G7S00T104) 122,347 $4,551k
CITIGROUP INC (172967424) 64,897 $4,545k
EOG Resources Inc (26875P101) 46,389 $4,322k
Exxon Mobil Corp (30231G102) 55,992 $4,291k
MFS VALUE FUND CL I (552983694) 98,993 $4,116k
HOME DEPOT INC (437076102) 19,621 $4,081k
ALPS ALERIAN MLP ETF (00162Q866) 312,970 $3,083k
Schlumberger Ltd (806857108) 75,189 $2,988k
CSX CORP (126408103) 37,420 $2,895k
SPDR S&P 500 ETF TR TR UNIT (78462F103) 9,750 $2,857k
WISDOMTREE TR (97717X701) 42,714 $2,826k
AMERICAN NEW PERSPECTIVE FD F3 (648018778) 61,527 $2,755k
VANGUARD WORLD FDS INF TECH ET (92204A702) 12,254 $2,584k
DuPont de Nemours Inc (26614N102) 33,945 $2,548k
Berkshire Hathaway, Inc. (084670702) 9,997 $2,131k
TRAVELERS CO(THE) (89417E109) 13,539 $2,024k
SELECT SECTOR SPDR TR SBI INT-FINL (81369Y605) 73,135 $2,019k
COSTCO WHSL CORP (22160K105) 7,383 $1,951k
AT&T INC (00206R102) 57,299 $1,920k
GILEAD SCIENCES INC (375558103) 28,194 $1,905k
JPMORGAN INCOME BUILDER FUND (4812A3254) 175,117 $1,863k
UNITED PARCEL SERVIC (911312106) 17,803 $1,839k
ECOLAB INC (278865100) 9,245 $1,825k
Lockheed Martin Corp (539830109) 4,851 $1,764k
VERIZON COMMUNICATIONS (92343V104) 30,745 $1,757k
INVESCO ETF TR II (46138E628) 34,265 $1,729k
WASTE MGMT INC DEL (94106L109) 14,465 $1,669k
ISHARES (464287556) 14,783 $1,613k
BARON SMALL CAP FUND (068278803) 48,580 $1,567k
Dow Inc (260557103) 31,568 $1,557k
ABBVIE INC (00287Y109) 20,283 $1,475k
Boeing Co/The (097023105) 3,892 $1,417k
ORACLE CORP (68389X105) 24,581 $1,400k
NEXTERA ENERGY INC (65339F101) 6,630 $1,358k
COCA-COLA CO (191216100) 25,907 $1,319k
INTEL CORP (458140100) 27,291 $1,306k
MCDONALDS CORP (580135101) 5,996 $1,245k
UNION PAC CORP (907818108) 7,120 $1,204k
ISHARES TR RUS MID CAP ETF (464287499) 21,040 $1,176k
EATON VANCE DIV BUILDER I (277905634) 80,622 $1,173k
VANGUARD INDEX FDS TOTAL STK MKT (922908769) 7,776 $1,167k
VANGUARD INTL EQUITY INDEX F (922042775) 22,570 $1,151k
INVESCO ETF TR (46137V142) 31,345 $1,116k
ISHARES (464287465) 15,965 $1,049k
EVERSOURCE ENERGY (30040W108) 13,843 $1,049k
CONSTELLATION BRANDS (21036P108) 5,107 $1,006k
VANECK VECTORS ETF TR (92189F718) 67,480 $1,000k
HONEYWELL INTL INC (438516106) 5,442 $950k
Alphabet Inc (02079K107) 858 $927k
EMERSON ELEC CO (291011104) 13,325 $889k
MONDRIAN INTL VALUE EQUITY FD (36381Y108) 61,955 $886k
ADP (053015103) 5,252 $868k
SELECT SECTOR SPDR TR SBI INT-UTILS (81369Y886) 13,643 $814k
DUKE ENERGY CORP (26441C204) 9,023 $796k
MATTHEWS ASIA DIVIDEND FUND (577125107) 45,782 $771k
SELECT SECTOR SPDR (81369Y100) 12,880 $753k
WELLS FARGO CO NEW (949746101) 15,655 $741k
KIMBERLY CLARK CORP (494368103) 5,552 $740k
VANGUARD 500 INDEX FUND (922908108) 2,708 $735k
ISHARES TR CORE S&P500 ETF (464287200) 2,431 $717k
Deere & Co (244199105) 4,236 $702k
SELECT SECTOR SPDR TR SBI HEALTHCARE (81369Y209) 7,315 $678k
SCHWAB S&P 500 INDEX FUN (808509855) 14,735 $669k
INVESCO DYNAMIC PHARMACEUTICAL (46137V662) 10,400 $626k
COLGATE PALMOLIVE CO (194162103) 8,126 $582k
3M CO (88579Y101) 3,348 $580k
SCHWAB STRATEGIC TR (808524201) 8,130 $571k
STARBUCKS CORP (855244109) 6,745 $565k
DEVON ENERGY CORP (25179M103) 19,345 $552k
MONDELEZ INTL INC (609207105) 9,825 $530k
ENTERPRISE PRODS (293792107) 18,042 $521k
INTL BUSINESS MCHN (459200101) 3,751 $517k
UNIVERSAL DISPLAY CP (91347P105) 2,750 $517k
T ROWE PRICE EQUITY INCOME FD (779547108) 16,167 $505k
COMCAST CORP (20030N101) 11,719 $495k
ADOBE INC (00724F101) 1,625 $479k
DANAHER CORP (235851102) 3,243 $463k
STRYKER CORP (863667101) 2,240 $460k
American Express Co. (025816109) 3,560 $439k
Bank of America Corp. (060505104) 15,126 $439k
WALMART INC COM (931142103) 3,941 $435k
NOVO-NORDISK AS (670100205) 8,320 $425k
ConocoPhillips (20825C104) 6,849 $418k
WALGREENS BOOTS ALLI (931427108) 7,350 $402k
GENUINE PARTS CO (372460105) 3,803 $394k
BECTON DICKINSON (075887109) 1,492 $376k
MATTHEWS PACIFIC TIGER FUND (577130107) 12,759 $369k
HCP INC (40414L109) 11,367 $364k
ENBRIDGE INC (29250N105) 9,750 $352k
ISHARES TR RUSSELL 2000 ETF (464287655) 2,252 $350k
NORFOLK SOUTHERN (655844108) 1,751 $349k
NATIONAL RETAIL PPTYS INC (637417106) 6,350 $337k
PRICE T ROWE GROWTH STOCK FD (741479109) 4,771 $328k
AMGEN INC (031162100) 1,772 $327k
US BANCORP DEL (902973304) 6,225 $326k
ENERGY TRANSFER LP (29273V100) 21,525 $303k
SEMPRA ENERGY (816851109) 2,149 $295k
SPDR SERIES TRUST (78464A730) 10,780 $294k
LILLY ELI & CO (532457108) 2,542 $282k
SCHWAB 1000 FUND (808517106) 4,086 $271k
NESTLE S A (641069406) 2,608 $270k
TORCHMARK CORP (891027104) 3,004 $269k
MOODYS CORP (615369105) 1,367 $267k
PRUDENTIAL FINL (744320102) 2,625 $265k
BOSTON PARTNERS LONG/SHORT (74925K581) 17,287 $264k
CLEARBRIDGE LARGE CAP (52469H784) 4,950 $261k
WEC ENERGY GROUP INC COM (92939U106) 3,117 $260k
CHUBB LIMITED (H1467J104) 1,656 $244k
WELLTOWER INC (95040Q104) 2,926 $239k
Charles Schwab Corp/The (808513105) 5,887 $237k
COGNIZANT TECH SOLNS (192446102) 3,725 $236k
TCW GALILEO FDS INC (87234N765) 28,119 $236k
DODGE& COX STK FUND (256219106) 1,233 $231k
SELECT SECTOR SPDR (81369Y803) 2,950 $230k
Phillips 66 (718546104) 2,420 $226k
PHILIP MORRIS INTL (718172109) 2,866 $225k
CISCO SYSTEMS INC (17275R102) 4,031 $221k
BIO RAD LABS INC (090572207) 690 $216k
CALIFORNIA WTR SVC (130788102) 4,200 $213k
BAXTER INTL INC (071813109) 2,575 $211k
BNY MELLON MIDCAP INDEX FUND (05588M209) 6,213 $210k
TEXAS INSTRUMENTS (882508104) 1,830 $210k
INGERSOLL-RAND PLC (G47791101) 1,624 $206k
VENTAS INC (92276F100) 2,948 $201k
ISHARES (464287168) 2,010 $200k
PIMCO INCOME FD INS CLASS (72201F490) 10,949 $133k
BIODELIVERY SCI INTL (09060J106) 10,000 $47k
ADAMIS PHARMACUTCALS (00547W208) 10,000 $13k

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