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Over the course of the semester, we find and present new companies to invest in, and currently held companies to either sell or invest more in. A majority of our portfolio maintains a conservative balance, while a small portion is positioned for higher risk and return. The following listings will be updated periodically and may not reflect current holdings.
Apple Inc (AAPL) Abbott Labratories (ABT) Amgen Inc (AMGN) Citi Group (C) Caterpillar (CAT) Chesapeake Energy (CHK) Cisco Systems (CSCO) Chevron Corp (CVX) Duke Energy (DUK) Eaton Corp (ETN) General Electric (GE) Goldman Sachs (GS) GasFrac Energy Services (GSFVF) Home Depot (HD) International Business Machines (IBM) Johnson & Johnson (JNJ) Kraft Foods (KFT) Limelight Networks (LLNW) Merck & Company (MRK) Occidental Petroleum (OXY) Philip Morris (PM) Prudential Financial (PM) Raytheon Company (RTN) Texas Instruments (TXN) Visa Inc (V) Verizon Communications (VZ) Watson Pharmaceuticals (WPI)
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