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Reported Holdings Of The
Mccollum Christoferson Group LLC

Legal Name: MCCOLLUM CHRISTOFERSON GROUP, LLC

Period of report: Jun 30, 2019
Effectiveness Date: Jul 11, 2019

Security Shares Held / Principal Amount Market Value Option
Illumina Inc (452327109) 25,831 $9,510k
ECOLAB INC (278865100) 46,812 $9,243k
WEST PHARMACEUT SVS (955306105) 72,133 $9,027k
MICROSOFT CORP (594918104) 66,656 $8,929k
DISNEY WALT CO (254687106) 61,004 $8,519k
AptarGroup, Inc. (038336103) 65,211 $8,108k
COSTCO WHSL CORP (22160K105) 30,530 $8,068k
Apple Inc (037833100) 40,415 $7,999k
AMERICAN TOWER CORP NEW (03027X100) 38,801 $7,933k
NEOGEN CORP (640491106) 125,207 $7,777k
Verisk Analytics Inc (92345Y106) 52,602 $7,704k
JOHNSON & JOHNSON (478160104) 54,810 $7,634k
DANAHER CORP (235851102) 51,480 $7,358k
PEPSICO INC (713448108) 56,052 $7,350k
NORFOLK SOUTHERN (655844108) 36,450 $7,266k
NEXTERA ENERGY INC (65339F101) 35,400 $7,252k
Amazon.com Inc (023135106) 3,660 $6,931k
VISA INC COM CL A (92826C839) 39,876 $6,920k
CHURCH & DWIGHT INC (171340102) 93,048 $6,798k
ABBOTT LABS (002824100) 76,814 $6,460k
PROCTER & GAMBLE CO (742718109) 53,411 $5,857k
3M CO (88579Y101) 33,016 $5,723k
HILTON WRLDWDE HLDGS (43300A203) 57,606 $5,630k
MEDTRONIC PLC (G5960L103) 57,756 $5,625k
TRACTOR SUPPLY CO (892356106) 51,529 $5,606k
COLGATE PALMOLIVE CO (194162103) 77,250 $5,537k
MCCORMICK & CO INC (579780206) 35,607 $5,519k
ALIGN TECHNOLOGY INC (016255101) 20,023 $5,480k
PayPal Holdings Inc (70450Y103) 47,215 $5,404k
Guidewire Software Inc (40171V100) 51,690 $5,240k
SITEONE LANDSCAPE SUPPLY INC COM (82982L103) 70,293 $4,871k
GARTNER INC (366651107) 29,359 $4,725k
TREEHOUSE FOODS INC (89469A104) 86,530 $4,681k
AFLAC INC (001055102) 81,281 $4,455k
BB&T CORPORATION (054937107) 90,449 $4,444k
COMMERCE BANCSHARES (200525103) 70,614 $4,213k
ALPHABET INC (02079K305) 3,826 $4,143k
FLOWSERVE CORP (34354P105) 75,932 $4,001k
ANALOG DEVICES INC (032654105) 34,878 $3,937k
BROWN FORMAN CORP (115637209) 70,380 $3,901k
ENBRIDGE INC (29250N105) 102,003 $3,680k
ISHARES TR (464287176) 29,444 $3,400k
NOW INC (67011P100) 218,418 $3,224k
CLOROX CO (189054109) 14,960 $2,291k
VANGUARD INDEX FDS S&P 500 ETF SHS (922908363) 7,000 $1,884k
LITTELFUSE INC (537008104) 10,395 $1,839k
ISHARES TR (464287457) 16,435 $1,393k
SPDR SERIES TRUST (78464A656) 18,090 $1,024k
VANGUARD MALVERN FDS (922020805) 20,060 $989k
Exxon Mobil Corp (30231G102) 12,519 $959k
VANGUARD INDEX FDS SMALL CP ET (922908751) 5,498 $861k
ISHARES TR RUSSELL 2000 ETF (464287655) 4,367 $679k
DOMINION ENERGY INC (25746U109) 8,689 $672k
ISHARES (464287465) 8,242 $542k
ATLANTIC UN BANKSHAR (04911A107) 14,147 $500k
VANGUARD SCOTTSDALE FDS SHRT TRM CORP BD (92206C409) 5,275 $426k
VANGUARD INDEX FDS MID CAP ETF (922908629) 2,347 $392k
Berkshire Hathaway, Inc. (084670702) 1,658 $353k
PFIZER INC (717081103) 7,453 $323k
PIMCO ETF TR (72201R205) 5,350 $282k
WOODWARD INC (980745103) 2,300 $260k
INTL BUSINESS MCHN (459200101) 1,731 $239k
VANGUARD INDEX FDS TOTAL STK MKT (922908769) 1,561 $234k
HOME DEPOT INC (437076102) 1,110 $231k
VANGUARD INTL EQUITY INDEX F FTSE EMR MKT ETF (922042858) 5,000 $213k
M & T BK CORP (55261F104) 1,221 $208k
ISHARES (46429B747) 2,055 $207k
Alphabet Inc (02079K107) 190 $205k
MERCK & CO INC (58933Y105) 2,400 $201k

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