AmericaFirst Quantitative Trust - AmericaFirst Defensive Growth & Income Portfolio, Series 2 Activity Q2 2017-Q2 2017

Q2 2017
 Value Shares↓ Weighting
SH NewProshares TR Short S&P 500$2,831,00084,5053.57%
KMB NewKimberly-Clark Corporation$1,941,00015,0302.45%
ESRX NewExpress Scripts Holding Co$1,529,00023,5641.93%
DEO NewDiageo PLC$1,441,00012,0251.82%
WMB NewWilliams Companies Inc. (The)$1,425,00047,0461.80%
BAYRY NewBayer AG$1,414,00010,8861.78%
JCOM NewJ2 Global Inc. -$1,408,00016,5431.78%
TDG NewTransdigm Group Incorporated Transdigm Group Inc.$1,336,0004,9691.68%
MDU NewMdu Resources Group Inc.$1,330,00050,7751.68%
OTTR NewOtter Tail Corporation$1,320,00033,3441.66%
AET NewAetna Inc.$1,304,0008,5901.64%
ORA NewOrmat Technologies Inc.$1,297,00022,1031.64%
T NewAT&T Inc$1,263,00033,4791.59%
EGN NewEnergen Corporation$1,258,00025,0221.59%
CI NewCigna Corporation$1,251,0007,4721.58%
UNH NewUnitedhealth Group Incorporated$1,238,0006,6791.56%
MIDD NewThe Middleby Corporation$1,235,00010,1641.56%
BGS NewB&G Foods Inc.$1,228,00034,5081.55%
ABBV NewAbbvie Inc.$1,220,00016,8261.54%
SPKKY NewSpark New Zealand Limited ADS$1,216,00087,7811.53%
NSC NewNorfolk Southern Corporation$1,192,0009,7941.50%
GD NewGeneral Dynamics Corporation$1,160,0005,8541.46%
CHD NewChurch & Dwight Company Inc.$1,139,00021,9521.44%
ADM NewArcher-Daniels-Midland Company$1,136,00027,4581.43%
CLX NewClorox Company (The)$1,084,0008,1351.37%
BG NewBunge Limited Bunge Limited$1,026,00013,7581.29%
DPS NewDr Pepper Snapple Group Inc.$1,020,00011,1911.29%
NewUs Treasury Bond6.125 08/15/2029$1,010,000725,0001.27%
NewUs Treasury Bond5.500 08/15/2028$1,007,000770,0001.27%
NewUnited States Treasury Note/Bond2.25% 2/15/2027$995,0001,000,0001.25%
NewFederal Farm Credit Bank3.17% 04/24/2029$990,0001,000,0001.25%
NewUS Treasury Note2% 2/15/2025$986,0001,000,0001.24%
NewUnited Sates Treasury Bond4.75% 2/15/2041$983,000730,0001.24%
K NewKellogg Co$983,00014,1491.24%
NLY NewAnnaly Capital Management$956,00079,3331.20%
ENR NewEnergizer Holdings Inc.$944,00019,6501.19%
AGNC NewAgnc Investment Corp.$920,00043,2361.16%
DLR NewDigital Realty Trust Increit$913,0008,0831.15%
NewFederated Prime Obligations$907,0001,351,2211.14%
POR NewPortland General Electric Co$884,00019,3581.12%
APU NewAmeriGas Partners LP$824,00018,2591.04%
MMP NewMagellan Midstream Partners, LPreit$796,00011,1741.00%
NewPseg Power Llc8.625% 4/15/2031$645,000500,0000.81%
NewWells Fargo Bk Natl As5.95% 8/26/2036$629,000500,0000.79%
MPX NewMarine Products Corp$603,00038,6310.76%
TM NewToyota Motor Corp$569,0005,4200.72%
NewAlliance One Intl Inc9.875% 7/15/2021$566,000650,0000.71%
NewUS Treasury Bond5.0% 05/15/2037$549,000400,0000.69%
NewGeneral Electric Corp6.750 03/15/2032$548,000400,0000.69%
COH NewCoach Inc.$526,00011,1090.66%
PG NewProcter & Gamble Company$522,0005,9940.66%
NewTarget Corp7.000 07/15/2031$519,000400,0000.65%
LMT NewLockheed Martin Corporation$515,0001,8550.65%
HRB NewH&R Block Inc.$514,00016,6210.65%
NewFrontier Communications Corp9% 8/15/2031$514,000640,0000.65%
NewQwest Communication6.875% 9/15/2033$504,000500,0000.64%
TSS NewTotal System Services Inc.$501,0008,6050.63%
RGR NewSturm Ruger & Company Inc.$488,0007,8520.62%
LPT NewLiberty Property Trustreit$486,00011,9480.61%
FNF NewFNF Group$485,00010,8100.61%
SYY NewSysco Corp.$480,0009,5430.60%
LRCX NewLam Research Corporation$472,0003,3360.60%
JNJ NewJohnson & Johnson$466,0003,5220.59%
LLL NewL3 Technologies Inc.$465,0002,7830.59%
OHI NewOmega Healthcare Investors Inc.$461,00013,9610.58%
STWD NewStarwood Property Trust Inc.reit$456,00020,3830.58%
DRI NewDarden Restaurants Inc$455,0005,0310.57%
SRE NewSempra Energy$447,0003,9630.56%
NewScientific Games Interna10% 12/01/2022$439,000400,0000.55%
ED NewConsolidated Edison Inc$438,0005,4210.55%
PEP NewPepsico Inc.$435,0003,7630.55%
INTC NewIntel Corporation$431,00012,7650.54%
CINF NewCincinnati Financial Corp$422,0005,8250.53%
EIX NewEdison International$413,0005,2880.52%
NewNrg Energy Inc$411,000400,0000.52%
NewDeutsch Bank Ag7.5% 12/29/2049$410,000400,0000.52%
PSEC NewProspect Capital Corp$378,00046,5660.48%
NewRent-A-Center Inc6.625% 11/15/2020$375,000400,0000.47%
EEP NewEnbridge Energy Partners LP$355,00022,1560.45%
NewWindstream Services Llc7.75% 10/15/2020$343,000340,0000.43%
NewNavient Corp$328,000315,0000.41%
BA NewBoeing Company (The)$327,0001,6550.41%
TUP NewTupperware Brands Corp.$327,0004,6600.41%
NewLeucadia National Corp5.5% 10/18/2023$321,000300,0000.40%
NewTenet Healthcare Corp.$318,000300,0000.40%
NewAMC Entertainment Inc.5.75% 06/15/2025$312,000300,0000.39%
NewSelect Medical Corporation6.375% 6/1/2021$308,000300,0000.39%
MO NewAltria Group Inc$305,0004,0970.38%
TEVA NewTeva Pharmaceutical Industries Limited ADS$303,0009,1100.38%
NewQvc Inc.4.375% 03/15/2023$303,000300,0000.38%
NewDenbury6.375% 8/15/2021$300,000500,0000.38%
GSK NewGlaxoSmithKline PLC$299,0006,9340.38%
TSN NewTyson Foods Inc.$297,0004,7400.37%
NewFrontier Communications11.0% 09/15/2025$278,000300,0000.35%
NRZ NewNew Residential Investment Corp$268,00017,2350.34%
CAT NewCaterpillar Inc$194,0001,8080.24%
IVZ NewInvesco Ltd$193,0005,4760.24%
CMI NewCummins Inc.$180,0001,1090.23%
SWK NewStanley Black & Decker Inc.$178,0001,2620.22%
KO NewCoca-Cola Co/The$177,0003,9520.22%
ETN NewEaton Corp PLC$176,0002,2620.22%
ZION NewZions Bancorporation$175,0003,9940.22%
EMN NewEastman Chemical Co$174,0002,0760.22%
PNM NewPNM Resources Inc$173,0004,5330.22%
TSE NewTrinseo S.A. Ordinary Shares$172,0002,5000.22%
LUK NewLeucadia National Corporation$169,0006,4520.21%
PH NewParker-Hannifin Corporation$167,0001,0460.21%
WPP NewWPP Plc ADS$162,0001,5330.20%
MSGN NewMSG Networks Inc.$161,0007,1840.20%
RNR NewRenaissancere Holdings Ltd.$161,0001,1600.20%
WSTC NewWest Corporation$160,0006,8690.20%
CACQ NewCaesars Acquisition Co$160,0008,3920.20%
GIS NewGeneral Mills Inc.$158,0002,8430.20%
LYB NewLyondellBasell Industries NV$155,0001,8390.20%
AMCX NewAMC Networks Inc. - Class A$153,0002,8590.19%
SWM NewSchweitzer-Mauduit International Inc$151,0004,0500.19%
URI NewUnited Rentals Inc.$151,0001,3410.19%
EWBC NewEast West Bancorp Inc.$149,0002,5500.19%
DE NewDeere & Co$147,0001,1910.18%
TNH NewTerra Nitrogen Co LP$147,0001,7070.18%
APLP NewArchrock Partners L.P.$146,0009,7750.18%
FDP NewFresh Del Monte Produce Inc$144,0002,8320.18%
MTD NewMettler-Toledo International Inc$87,0001470.11%
NVR NewNVR, Inc.$87,000360.11%
PVH NewPVH Corp.$86,0007510.11%
YUM NewYum! Brands Inc$85,0001,1520.11%
MNST NewMonster Beverage Corporation$84,0001,6850.11%
MCD NewMcdonald's Corporation$83,0005400.10%
AAMRQ NewAmerican Airlines Group Inc$81,00080,9290.10%
UAL NewUnited Continental Holdings Inc$80,0001,0690.10%
CHKP NewCheck Point Software Technologies Ltd$79,0007280.10%
NewIllinois Tool Works Inc.$79,0005500.10%
MSCI NewMSCI Inc.$78,0007540.10%
CDNS NewCadence Design Systems, Inc.$78,0002,3260.10%
HCA NewHCA Holdings Inc$78,0008950.10%
V NewVisa Inc.$78,0008290.10%
MSI NewMotorola Solutions Inc.$77,0008820.10%
RE NewEverest Re Group Ltd$77,0003020.10%
GRMN NewGarmin Ltd.$76,0001,4820.10%
HOG NewHarley-Davidson, Inc.$72,0001,3410.09%
NewTarget Corporation$71,0001,3590.09%
SYMC NewSymantec Corporation$68,0002,3900.09%
ORLY NewO'Reilly Automotive, Inc.$67,0003070.08%
AZO NewAutoZone Inc$63,0001100.08%

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