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Mark Hillman - Hillman Focused Q4-2011 Fund Portfolio

Mark Hillman - Hillman Focused Q4-2011 Fund Investing Strategies By Dividend Yield – Stock Capital, Investment. Here is a current portfolio update of Mark Hillman - Hillman Focused - portfolio movements as of Q4/2011 (December 31, 2011). In total, he has 20 stocks with a total portfolio worth of USD 11,411,000.

Mark Hillman’s fund positions as of Q4/2011 with actual share movements:

Sym - Stock
Portfolio Weight
Recent activity
Reported Price*
RTN - Raytheon Co.
5.77
Buy
$48.38
GE - General Electric
5.65
0
$17.92
PFE - Pfizer Inc.
5.36
Reduce 23.31%
$21.63
XOM - Exxon Mobil Corp.
5.35
Reduce 11.11%
$84.72
AAPL - Apple Inc.
5.33
Reduce 16.67%
$405.33
BAC - Bank of America Corp.
5.27
Add 104.73%
$5.56
WU - Western Union Co.
5.21
Reduce 9.19%
$18.25
T - AT&T Inc.
5.19
Reduce 16.24%
$30.20
MSFT - Microsoft Corp.
5.16
Reduce 9.56%
$25.95
DD - Du Pont (E.I.)
5.14
0
$45.78
BA - Boeing Co.
5.14
Reduce 15.79%
$73.38
GS - Goldman Sachs Group
5.07
Add 39.13%
$90.47
JNJ - Johnson & Johnson
5
Reduce 20.91%
$65.52
AXP - American Express
5
Reduce 15.38%
$47.19
CSCO - Cisco Systems
4.88
Reduce 15.38%
$18.08
JPM - JPMorgan Chase & Co.
4.86
0
$33.23
RIG - Transocean Inc.
4.85
Add 54.84%
$38.40
IR - Ingersoll-Rand Plc
4.29
0
$30.43
GLW - Corning Inc.
3.88
0
$12.99
HPQ - Hewlett-Packard
3.59
0
$25.79





Related Stock Ticker:
RTN, GE, PFE, XOM, AAPL, BAC, WU, T, MSFT, DD, BA, GS, JNJ, AXP, CSCO, JPM, RIG, IR, GLW, HPQ