The portfolio, in order of biggest holding to least
WBA (Walgreen Boots Alliance)
PEP (Pepsi)
PG (Procter & Gamble)
HAS (Hasbro)
GPC (Genuine Parts)
MAT (Mattel)
MMM (3M)
KO (Coca Cola)
MAT (Mattel)
MMM (3M)
KO (Coca Cola)
T (AT&T)
ADP (Automatic Data Processing)
KMB (Kimberly Clark)
ADP (Automatic Data Processing)
KMB (Kimberly Clark)
K (Kellogg)
VZ (Verizon)
SYY (Sysco)
VZ (Verizon)
SYY (Sysco)
CVX (Chevron)
DPS (Dr. Pepper, Snapple)
CDK (CDK Global)
DPS (Dr. Pepper, Snapple)
CDK (CDK Global)
IBM (International Business Machines)
HYH (Halyard Health)
HYH (Halyard Health)
HPQ (Hewlett Packard, Inc)
6% GNMA (Government National Mortgage Association) Bonds
Stocks make up abt 25% of my assets. Other assets are CDs, a home mortgage and about 2% precious metals..
6% GNMA (Government National Mortgage Association) Bonds
Stocks make up abt 25% of my assets. Other assets are CDs, a home mortgage and about 2% precious metals..