Current Holdings

 

Consumer Discretionary Consumer Staples Energy
  • Macy's - 600 shares
  • Time Warner Cable - 315 shares
  • McDonald's - 425 shares
  • NIKE - 285 shares
  • Wynn Resorts - 290 shares
  • Kellogg - 500 shares
  • Proctor & Gamble - 500 shares
  • Philip Morris - 370 shares
  • Campbell Soup - 630 shares
  • Total - 600 shares
  • Peabody - 790 shares
  • Chevron - 440 shares
  • Chesapeake - 750 shares
  • Murphy Oil - 655 shares
  • Halliburton - 630 shares

 

Financials Healthcare Industrials
  • U.S. Bancorp - 755 shares
  • PNC - 1100 shares
  • Chubb - 500 shares
  • JP Morgan Chase - 780 shares
  • Toronto-Dominion Bank - 355 shares
  • Abbott Labs - 500 shares
  • Express Scripts - 400 shares
  • Johnson &Johnson - 400 shares
  • Bristol-Myers Squibb - 680 shares
  • UnitedHealth Group - 750 shares
  • Watson Pharmaceuticals - 211 shares
  • CSX Corp - 1950 shares
  • Caterpillar - 450 shares
  • General Electric - 14500 shares
  • Illinois Tool Works - 750 shares
  • RR Donnelley - 2735 shares
  • 3M Co. - 190 shares

 

Information Technology Materials Telecom
  • Cognizant Technology - 850 shares
  • Intel - 2200 shares
  • Google - 60 shares
  • Microsoft - 2100 shares
  • Visa - 685 shares
  • Apple - 145 shares

 

  • Eastman Chemical - 450 shares
  • Alcoa - 2300 shares
  •  AT&T - 1400 shares
Utilities    

  • NRG Energy - 1330 shares
  • Duke Energy - 261 shares