Roth IRA

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30
Positions
629.20224
Shares Owned
$19,234.64
Cost Basis
$257.87
Earned Dividends
-$3,565.32 (-18.54%)
Total Gain/Loss

Portfolio Holdings

*To learn more about a particular holding, simply click on the Company’s Logo below*

Holding

MMM

AXP

AWK

AAPL

T

CAT

SCHW

COST

CVS

DIS

D

JNJ

JPM

LEG

MSFT

MNR

NNN

PEI

PEP

PFE

PPL

O

RCL

SPG

STAG

STOR

KHC

UGI

VZ

WM

Share Count

1.98604

4.87284

5.6732

1.49551

32.79575

2.65925

18.01612

0.86818

2.35268

2.4645

8.41806

2.1488

10.65227

8.63532

3.28912

144.60444

17.42182

192.75119

2.32684

5.35798

19.47286

19.33782

31.92316

4.59765

25.5165

22.70579

5.17816

16.18501

14.01963

1.47575

Cost Basis

$339.11

$560.39

$697.99

$403.86

$1,253.20

$348.08

$714.08

$259.22

$160.81

$320.09

$691.66

$296.41

$1,228.89

$385.24

$356.31

$2,072.38

$944.67

$371.72

$318.79

$201.38

$645.34

$1,451.89

$1,200

$500

$770.84

$815.69

$135

$757.70

$849.34

$169.25


change log – March 10th – Entered into 2 new positions (RCL & SPG) by selling MSFT shares at a gain to even out position weight.