Holdings Channel
Size ($ in 1000's)
At 12/31/2019: $577,446
At 09/30/2019: $540,602

Resources Management Corp CT ADV holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Resources Management Corp CT ADV 13F filings. Link to 13F filings: SEC filings

Resources Management Corp CT ADV Top Holdings
As of  12/31/2019

   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
APPLE INC 84,722 +2,361 $24,879
     AAPL84,722+2,361$24,879
MICROSOFT CORP 146,692 +341 $23,133
     MSFT146,692+341$23,133
JPMORGAN CHASE & CO 149,504 -2,200 $20,841
     JPM149,504-2,200$20,841
NEXTERA ENERGY INC 69,338 -140 $16,791
     NEE69,338-140$16,791
MCDONALD S CORP 78,404 +1,131 $15,493
     MCD78,404+1,131$15,493
JOHNSON & JOHNSON 100,277 -1,245 $14,627
     JNJ100,277-1,245$14,627
PROCTER & GAMBLE CO 101,136 +139 $12,632
     PG101,136+139$12,632
HOME DEPOT INC 57,219 +1,250 $12,496
     HD57,219+1,250$12,496
AMPHENOL CORP CLASS A 114,001 -175 $12,338
     APH114,001-175$12,338
PEPSICO INC 87,398 -245 $11,945
     PEP87,398-245$11,945
TJX COMPANIES INC 193,833 -580 $11,835
     TJX193,833-580$11,835
ACCENTURE PLC CLASS A 56,018 -230 $11,796
     ACN56,018-230$11,796
INTEL CORP 186,748 -1,160 $11,177
     INTC186,748-1,160$11,177
CHEVRON CORP 87,713 -114 $10,570
     CVX87,713-114$10,570
VF CORP 99,484 +140 $9,915
     VFC99,484+140$9,915
UNITED TECHNOLOGIES CORP 64,141 -25 $9,606
     UTX64,141-25$9,606
EXXON MOBIL CORPORATION 133,543 -3,623 $9,319
     XOM133,543-3,623$9,319
DANAHER CORP 59,272 +188 $9,097
     DHR59,272+188$9,097
PFIZER INC 231,937 -2,745 $9,087
     PFE231,937-2,745$9,087
WELLS FARGO & CO      $8,987
     WFC166,698-1,184$8,968
     WFC.PRW600+600$16
     WFC.PRN100+100$3
ILLINOIS TOOL WORKS INC 49,059 -81 $8,812
     ITW49,059-81$8,812
CVS HEALTH CORP 117,176 +2,001 $8,705
     CVS117,176+2,001$8,705
ABBVIE INC 93,479 +2,915 $8,277
     ABBV93,479+2,915$8,277
FISERV INC 70,381 -332 $8,138
     FISV70,381-332$8,138
TORONTO DOMINION BANK 137,842 -260 $7,737
     TD137,842-260$7,737
BLACKROCK INC 15,325 -60 $7,704
     BLK15,325-60$7,704
BRISTOL MYERS SQUIBB COMPANY      $6,576
     BMY100,743+35,885$6,467
     Right36,064+36,064$109
AT&T INC 164,534 +2,115 $6,430
     T164,534+2,115$6,430
BANK OF AMERICA CORPORATION 179,093 -148 $6,308
     BAC179,093-148$6,308
PNC FINANCIAL SERVICES GROUP INC 37,099 -165 $5,922
     PNC37,099-165$5,922
ALPHABET INC CLASS A 4,158 -14 $5,569
     GOOGL4,158-14$5,569
VANGUARD MATERIALS ETF (VAW) 40,148 -515 $5,385
     VAW40,148-515$5,385
HONEYWELL INTERNATIONAL INC 29,797 +42 $5,274
     HON29,797+42$5,274
UNITED PARCEL SERVICE INC UPS CLASS B 44,418 +340 $5,200
     UPS44,418+340$5,200
AUTOMATIC DATA PROCESSING INC 29,161 -168 $4,972
     ADP29,161-168$4,972
CISCO SYSTEMS INC 102,216 +1,427 $4,902
     CSCO102,216+1,427$4,902
VANGUARD FTSE DEVELOPED MARKETS ETF (VEA) 105,599 -3,895 $4,653
     VEA105,599-3,895$4,653
ABBOTT LABORATORIES 53,143 -550 $4,616
     ABT53,143-550$4,616
INTERNATIONAL BUSINESS MACHINES CORP 31,539 +391 $4,227
     IBM31,539+391$4,227
WALT DISNEY CO 27,516 +3,414 $3,980
     DIS27,516+3,414$3,980
VERIZON COMMUNICATIONS INC 64,637 +1,154 $3,969
     VZ64,637+1,154$3,969
GILEAD SCIENCES INC 58,831 -25 $3,823
     GILD58,831-25$3,823
ORACLE CORPORATION 67,858 -115 $3,595
     ORCL67,858-115$3,595
CONSTELLATION BRANDS INC CLASS A 18,471 +30 $3,505
     STZ18,471+30$3,505
UNITEDHEALTH GROUP INC 11,872 -408 $3,490
     UNH11,872-408$3,490
VANGUARD FTSE EMERGING MARKETS ETF (VWO) 78,442 -2,771 $3,488
     VWO78,442-2,771$3,488
SPDR S&P 500 ETF (SPY) 9,176 -275 $2,953
     SPY9,176-275$2,953
STRYKER CORPORATION 13,988 +5 $2,937
     SYK13,988+5$2,937
O REILLY AUTOMOTIVE INC 6,580 -85 $2,884
     ORLY6,580-85$2,884
DUKE ENERGY CORPORATION 31,442 +118 $2,868
     DUK31,442+118$2,868

See Full List: All Stocks Held By Resources Management Corp CT ADV
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Resources Management Corp CT ADV

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