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Reported Holdings Of The
Santori & Peters Inc

Legal Name: SANTORI & PETERS, INC.

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

Security Shares Held / Principal Amount Market Value Option
WABTEC (929740108) 603,772 $43,326k
AMETEK INC (031100100) 268,011 $24,346k
ISHARES TR (46432F396) 78,622 $9,324k
ISHARES TR (46429B697) 113,113 $6,982k
INVESCO ACTIVELY MANAGD ETF (46090A887) 116,854 $5,885k
VANGUARD CHARLOTTE FDS (92203J407) 78,386 $4,491k
SCHWAB U.S. LARGE-CAP GROWTH ETF (808524300) 30,097 $2,504k
PIMCO ETF TR (72201R833) 21,016 $2,138k
BARCLAYS ETN SHILLER CAPE ETN (06742A669) 13,789 $1,870k
TRIMTABS ALL CAP U.S. FREE-CASH-FLOW ETF (89628W302) 46,477 $1,729k
SCHWAB STRATEGIC TR (808524201) 23,180 $1,627k
INVESCO ETF TR (46137V530) 11,199 $1,532k
KOPPERS HOLDINGS INC (50060P106) 50,316 $1,477k
INVESCO EXCHNG TRADED FD TR (46138E354) 25,452 $1,400k
PFIZER INC (717081103) 30,208 $1,308k
SCHWAB STRATEGIC TRUST (808524409) 20,794 $1,167k
INVESCO EXCHANGE TRADED FD T (46137V258) 16,855 $1,095k
INVESCO EXCHNG TRADED FD TR (46138G102) 22,456 $1,077k
FIRST TR NASDAQ100 TECH INDE (337345102) 12,086 $1,033k
INVESCO EXCHANGETRAD (46137V357) 8,981 $968k
GENESEE & WYO INC (371559105) 7,657 $765k
DOMINION ENERGY INC (25746U109) 9,739 $753k
FIRST TR VALUE LINE DIVID IN (33734H106) 21,066 $710k
COCA-COLA CO (191216100) 13,436 $684k
HOME DEPOT INC (437076102) 3,257 $677k
AT&T INC (00206R102) 20,101 $673k
THE HERSHEY COMPANY (427866108) 4,963 $665k
PPL CORP (69351T106) 19,951 $618k
JPMORGAN CHASE & CO (46625H100) 5,387 $602k
Berkshire Hathaway, Inc. (084670702) 2,764 $589k
DUKE ENERGY CORP (26441C204) 6,609 $583k
PNC FINL SVCS GRP (693475105) 4,027 $552k
ISHARES TR MIN VOL EAFE ETF (46429B689) 7,414 $538k
ISHARES TR U.S. MED DVC ETF (464288810) 2,205 $530k
INVESCO EXCHNG TRADED FD TR (46138E230) 15,538 $525k
VANGUARD GROUP (921908844) 4,496 $517k
Vanguard Russell 1000 Growth (92206C680) 3,117 $505k
MICROSOFT CORP (594918104) 3,750 $502k
AES CORP (00130H105) 29,420 $493k
NORFOLK SOUTHERN (655844108) 2,433 $485k
CLOROX CO (189054109) 2,990 $457k
Bristol-Myers Squibb Co (110122108) 9,393 $426k
Apple Inc (037833100) 2,014 $398k
CONSOLDTD EDISON INC (209115104) 4,433 $388k
ALLIANT ENERGY CORP (018802108) 7,852 $385k
Exxon Mobil Corp (30231G102) 4,981 $381k
VANGUARD INDEX FDS S&P 500 ETF SHS (922908363) 1,365 $367k
ANNALY CAP MGMT INC (035710409) 39,810 $363k
NEWELL BRANDS INC (651229106) 23,440 $361k
MOLSON COORS BREWING CO (60871R209) 6,283 $351k
SPDR SERIES TRUST (78464A201) 5,518 $336k
AMGEN INC (031162100) 1,706 $314k
OUTFRONT MEDIA INC (69007J106) 12,040 $310k
VIACOM INC NEW (92553P201) 10,037 $299k
VERIZON COMMUNICATIONS (92343V104) 5,083 $290k
GEO GROUP INC (36162J106) 13,764 $289k
AQUA AMERICA INC (03836W103) 6,828 $282k
COLGATE PALMOLIVE CO (194162103) 3,869 $277k
CONAGRA BRANDS INC (205887102) 10,251 $271k
QUEST DIAGNOSTICS (74834L100) 2,621 $266k
COTY INC (222070203) 18,081 $242k
PUBLIC STORAGE (74460D109) 992 $236k
CELGENE CORP (151020104) 2,551 $235k
MERCK & CO INC (58933Y105) 2,805 $235k
HOST HOTELS & RESRTS (44107P104) 12,477 $227k
VANGUARD BD INDEX FD INC (921937819) 2,612 $225k
JOHNSON & JOHNSON (478160104) 1,615 $224k
INTEL CORP (458140100) 4,653 $222k
IRON MOUNTAIN INC (46284V101) 7,005 $219k
ACCENTURE PLC IRELAND (G1151C101) 1,175 $217k
SCHWAB STRATEGIC TRUST (808524730) 7,487 $215k
TRAVELERS CO(THE) (89417E109) 1,418 $212k
PARK HOTELS RESORTS (700517105) 7,611 $209k
GENERAL ELECTRIC CO (369604103) 17,861 $187k

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