Nov 22, 2020 – Vestor Capital, Llc Buys eBay Inc, SELECT SECTOR SPDR, Fb Inc, Sells AT&T Inc, Fiserv Inc, Honeywell Worldwide Inc

Chicago, IL, primarily based Funding firm Vestor Capital, Llc (Present Portfolio) buys eBay Inc, SELECT SECTOR SPDR, Fb Inc, PayPal Holdings Inc, Johnson & Johnson, sells AT&T Inc, Fiserv Inc, Honeywell Worldwide Inc, ISHARES TRUST, ISHARES TRUST throughout the 3-months ended 2020Q3, based on the newest filings of the funding firm, Vestor Capital, Llc. As of 2020Q3, Vestor Capital, Llc owns 132 shares with a complete worth of $705 million. These are the main points of the buys and sells.

  • New Purchases: EBAY, TSM, DLTR, NFLX, VTI, AJG, TSLA, CRM, VIG, CSCO, VV, TMUS, SYK, RTX, OPK, LH, EEM, GLIBA,
  • Added Positions: XLF, FB, PYPL, JNJ, XLC, JPM, AMD, SOXX, V, IGV, AMAT, CRWD, NET, UNP, AMZN, GOOG, ABT, AVGO, LLY, KSU, MCK, GPN, CTVA, MSFT, HD, AZO, PEP, APD, IBM, SBUX, GOOGL, MRK, MMC, LMT, COST, QQQ, STZ, CGC, WBA, DIS,
  • Decreased Positions: T, FISV, HON, IJR, IJH, USB, MDT, EFA, MA, EWJ, SCZ, PKI, UNH, DON, TMO, PG, VNQ, BDX, IVW, IVV, MCD, ADBE, NVDA, VPU, BRK.B, DES, KO, WM, BAC, VWO, DLN, FOCS, TGT, SPY, XEL, MDLZ, INTC, EXC, ABBV, PSX, PM, GILD, XOM, D, BP, BA, WTFC, ADSK, MO, MMM,
  • Bought Out: MU, EWU, ELAN, AXP, CME, IWF, HDV, VUG, KRG, IXN, XLY, ALL, MDY, IWM, XB6, WEC, WFC, PETS, ORLY, DE, AFG,

For the main points of VESTOR CAPITAL, LLC’s inventory buys and sells,
go to https://www.gurufocus.com/guru/vestor+capitalpercent2C+llc/current-portfolio/portfolio

These are the highest 5 holdings of VESTOR CAPITAL, LLC

  1. Apple Inc (AAPL) – 485,591 shares, 7.97% of the entire portfolio. Shares decreased by 0.3%
  2. Microsoft Corp (MSFT) – 259,175 shares, 7.73% of the entire portfolio. Shares added by 1.62%
  3. Visa Inc (V) – 139,370 shares, 3.95% of the entire portfolio. Shares added by 18.52%
  4. Fb Inc (FB) – 101,326 shares, 3.76% of the entire portfolio. Shares added by 47.80%
  5. Abbott Laboratories (ABT) – 209,697 shares, 3.24% of the entire portfolio. Shares added by 8.56%

New Buy: eBay Inc (EBAY)

Vestor Capital, Llc initiated holding in eBay Inc. The acquisition costs have been between $48.61 and $59.27, with an estimated common worth of $55.04. The inventory is now traded at round $48.99. The affect to a portfolio as a consequence of this buy was 1.96%. The holding have been 264,968 shares as of .

New Buy: Taiwan Semiconductor Manufacturing Co Ltd (TSM)

Vestor Capital, Llc initiated holding in Taiwan Semiconductor Manufacturing Co Ltd. The acquisition costs have been between $56.82 and $85.85, with an estimated common worth of $75.77. The inventory is now traded at round $95.33. The affect to a portfolio as a consequence of this buy was 0.46%. The holding have been 40,069 shares as of .

New Buy: Greenback Tree Inc (DLTR)

Vestor Capital, Llc initiated holding in Greenback Tree Inc. The acquisition costs have been between $85.97 and $104.24, with an estimated common worth of $94.04. The inventory is now traded at round $94.97. The affect to a portfolio as a consequence of this buy was 0.32%. The holding have been 24,911 shares as of .

New Buy: Netflix Inc (NFLX)

Vestor Capital, Llc initiated holding in Netflix Inc. The acquisition costs have been between $466.93 and $556.55, with an estimated common worth of $497.66. The inventory is now traded at round $488.24. The affect to a portfolio as a consequence of this buy was 0.3%. The holding have been 4,162 shares as of .

New Buy: VANGUARD INDEX FDS (VTI)

Vestor Capital, Llc initiated holding in VANGUARD INDEX FDS. The acquisition costs have been between $157.44 and $181.24, with an estimated common worth of $168.12. The inventory is now traded at round $183.23. The affect to a portfolio as a consequence of this buy was 0.04%. The holding have been 1,751 shares as of .

New Buy: Tesla Inc (TSLA)

Vestor Capital, Llc initiated holding in Tesla Inc. The acquisition costs have been between $223.93 and $498.32, with an estimated common worth of $353.47. The inventory is now traded at round $489.61. The affect to a portfolio as a consequence of this buy was 0.03%. The holding have been 480 shares as of .

Added: SELECT SECTOR SPDR (XLF)

Vestor Capital, Llc added to a holding in SELECT SECTOR SPDR by 15982.71%. The acquisition costs have been between $22.68 and $25.49, with an estimated common worth of $24.32. The inventory is now traded at round $27.18. The affect to a portfolio as a consequence of this buy was 1.23%. The holding have been 361,861 shares as of .

Added: Fb Inc (FB)

Vestor Capital, Llc added to a holding in Fb Inc by 47.80%. The acquisition costs have been between $230.12 and $303.91, with an estimated common worth of $257.89. The inventory is now traded at round $269.70. The affect to a portfolio as a consequence of this buy was 1.22%. The holding have been 101,326 shares as of .

Added: PayPal Holdings Inc (PYPL)

Vestor Capital, Llc added to a holding in PayPal Holdings Inc by 72.97%. The acquisition costs have been between $169.81 and $210.82, with an estimated common worth of $188.22. The inventory is now traded at round $192.67. The affect to a portfolio as a consequence of this buy was 1.14%. The holding have been 97,033 shares as of .

Added: Johnson & Johnson (JNJ)

Vestor Capital, Llc added to a holding in Johnson & Johnson by 108.31%. The acquisition costs have been between $140.38 and $153.83, with an estimated common worth of $147.87. The inventory is now traded at round $146.36. The affect to a portfolio as a consequence of this buy was 0.97%. The holding have been 88,295 shares as of .

Added: SELECT SECTOR SPDR (XLC)

Vestor Capital, Llc added to a holding in SELECT SECTOR SPDR by 5930.42%. The acquisition costs have been between $55.2 and $65.14, with an estimated common worth of $59.2. The inventory is now traded at round $63.88. The affect to a portfolio as a consequence of this buy was 0.95%. The holding have been 114,578 shares as of .

Added: JPMorgan Chase & Co (JPM)

Vestor Capital, Llc added to a holding in JPMorgan Chase & Co by 54.12%. The acquisition costs have been between $91.28 and $103.82, with an estimated common worth of $98.2. The inventory is now traded at round $114.57. The affect to a portfolio as a consequence of this buy was 0.94%. The holding have been 197,251 shares as of .

Bought Out: Micron Expertise Inc (MU)

Vestor Capital, Llc bought out a holding in Micron Expertise Inc. The sale costs have been between $42.66 and $52.64, with an estimated common worth of $48.39.

Bought Out: ISHARES TRUST (EWU)

Vestor Capital, Llc bought out a holding in ISHARES TRUST. The sale costs have been between $25.07 and $27.41, with an estimated common worth of $26.33.

Bought Out: Elanco Animal Well being Inc (ELAN)

Vestor Capital, Llc bought out a holding in Elanco Animal Well being Inc. The sale costs have been between $21.1 and $29.13, with an estimated common worth of $25.32.

Bought Out: American Categorical Co (AXP)

Vestor Capital, Llc bought out a holding in American Categorical Co. The sale costs have been between $90.57 and $107.27, with an estimated common worth of $98.42.

Bought Out: CME Group Inc (CME)

Vestor Capital, Llc bought out a holding in CME Group Inc. The sale costs have been between $162.35 and $177.03, with an estimated common worth of $168.41.

Bought Out: ISHARES TRUST (IWF)

Vestor Capital, Llc bought out a holding in ISHARES TRUST. The sale costs have been between $194.24 and $233.36, with an estimated common worth of $210.34.

Right here is the whole portfolio of VESTOR CAPITAL, LLC. Additionally take a look at:

1. VESTOR CAPITAL, LLC’s Undervalued Shares
2. VESTOR CAPITAL, LLC’s High Development Firms, and
3. VESTOR CAPITAL, LLC’s Excessive Yield shares
4. Shares that VESTOR CAPITAL, LLC retains shopping for

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