0001317733-14-000003.txt : 20140402
0001317733-14-000003.hdr.sgml : 20140402
20140402113248
ACCESSION NUMBER: 0001317733-14-000003
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20140331
FILED AS OF DATE: 20140402
DATE AS OF CHANGE: 20140402
EFFECTIVENESS DATE: 20140402
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Exchange Capital Management, Inc.
CENTRAL INDEX KEY: 0001317733
IRS NUMBER: 382901720
STATE OF INCORPORATION: MI
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-11274
FILM NUMBER: 14736787
BUSINESS ADDRESS:
STREET 1: 303 DETROIT STREET
STREET 2: SUITE #203
CITY: ANN ARBOR
STATE: MI
ZIP: 48104
BUSINESS PHONE: 734-761-6500
MAIL ADDRESS:
STREET 1: 303 DETROIT STREET
STREET 2: SUITE #203
CITY: ANN ARBOR
STATE: MI
ZIP: 48104
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
true
false
0001317733
XXXXXXXX
03-31-2014
03-31-2014
Exchange Capital Management, Inc.
303 DETROIT STREET
SUITE #203
ANN ARBOR
MI
48104
13F HOLDINGS REPORT
028-11274
N
Chris Georgandellis
Portfolio Manager
734-761-6500
Chris Georgandellis
Ann ARbor
MI
04-02-2014
0
236
217932
false
INFORMATION TABLE
2
form13fInfoTable.xml
FORM 13F INFORMATION TABLE
Accenture PLC Cl A
SHS CLASS A
G1151C101
17
207
SH
SOLE
207
0
0
Seagate Technology
SHS
g7945M107
18
329
SH
SOLE
329
0
0
Ace Limited
SHS
H0023R105
16
158
SH
SOLE
158
0
0
Check Pt Software Tech
ORD
M22465104
3729
55138
SH
SOLE
55138
0
0
Aflac Inc
COM
001055102
15
239
SH
SOLE
239
0
0
AT&T Inc.
COM
00206R102
61
1726
SH
SOLE
1726
0
0
Abbott Labs
COM
002824100
17
438
SH
SOLE
438
0
0
Agrium Inc.
COM
008916108
3200
32817
SH
SOLE
32817
0
0
Alcatel-Lucent Spon ADR
SPONSORED ADR
013904305
0
19
SH
SOLE
19
0
0
Altria Group Inc
COM
02209S103
81
2166
SH
SOLE
1970
0
196
AmazonCom
COM
023135106
2865
8519
SH
SOLE
8510
0
9
America Movil SAB de C.V. Spon ADR
SPON ADR L SHS
02364W105
5
251
SH
SOLE
251
0
0
American Electric Power
COM
025537101
8
159
SH
SOLE
0
0
159
American Express Co
COM
025816109
3525
39148
SH
SOLE
39148
0
0
American International Group
COM NEW
026874784
4105
82090
SH
SOLE
82015
0
75
American Reality Investors Inc
COM
029174109
1
144
SH
SOLE
144
0
0
Ameriprise Financial Inc.
COM
03076c106
17
155
SH
SOLE
155
0
0
Amgen Inc
COM
031162100
3945
31986
SH
SOLE
31986
0
0
Annaly Mortgage Management Inc.
COM
035710409
11
1000
SH
SOLE
0
0
1000
Apache Corp
COM
037411105
2285
27549
SH
SOLE
27549
0
0
Apple Inc.
COM
037833100
495
923
SH
SOLE
901
0
22
Applied Materials Inc
COM
038222105
12
610
SH
SOLE
610
0
0
Audience Inc.
COM
05070J102
4
300
SH
SOLE
300
0
0
Automatic Data Processing
COM
053015103
28
366
SH
SOLE
366
0
0
BCE Inc
COM NEW
05534B760
7
172
SH
SOLE
0
0
172
Bank of America Corp
COM
060505104
3
200
SH
SOLE
0
0
200
Bank of Montreal USA
COM
063671101
8
112
SH
SOLE
0
0
112
Bank of Nova Scotia
COM
064149107
7
120
SH
SOLE
0
0
120
Barclays Bank PLC
ADS7.75%PFD S4
06739H511
30
1150
SH
SOLE
1150
0
0
Beam Inc.
COM
073730103
18
220
SH
SOLE
220
0
0
Berkshire Hathaway Cl B
CL B NEW
084670702
4139
33121
SH
SOLE
33121
0
0
BlackRock, Inc.
COM
09247x101
4231
13455
SH
SOLE
13455
0
0
Blackrock Municipal Target Term
COM SHS BEN IN
09257P105
10
500
SH
SOLE
0
0
500
Block (H & R)
COM
093671105
17
562
SH
SOLE
562
0
0
Bristol-Myers Squibb Co
COM
110122108
68
1316
SH
SOLE
1316
0
0
Buckeye Partners - LP
UNIT LTD PARTN
118230101
15
200
SH
SOLE
200
0
0
CMS Energy
COM
125896100
70
2379
SH
SOLE
2379
0
0
CST Brands Inc.
COM
12646r105
2772
88737
SH
SOLE
88737
0
0
CVS Caremark Corp
COM
126650100
4420
59041
SH
SOLE
59041
0
0
Canadian National Railway
COM
136375102
4835
85994
SH
SOLE
85994
0
0
Celgene Corporation
COM
151020104
14
100
SH
SOLE
100
0
0
CenturyLink Inc.
COM
156700106
0
1
SH
SOLE
1
0
0
Cerner Corp
COM
156782104
3643
64770
SH
SOLE
64770
0
0
Cheniere Energy Inc.
COM NEW
16411R208
5623
101585
SH
SOLE
101560
0
25
Chesapeake Energy Corp
COM
165167107
13
500
SH
SOLE
500
0
0
Chevron Corp
COM
166764100
66
552
SH
SOLE
491
0
61
Chicago Bridge & Iron Co.
N Y REGISTRY SH
167250109
4274
49037
SH
SOLE
49027
0
10
The Clorox Company
DEL COM
189054109
35
400
SH
SOLE
400
0
0
Coca-Cola Co
COM
191216100
104
2680
SH
SOLE
2680
0
0
Cognizant Technology Solutions Corp.
CL A
192446102
32
640
SH
SOLE
640
0
0
Comcast Corp Cl A
CL A
20030N101
2
48
SH
SOLE
48
0
0
Comerica Inc
COM
200340107
1
10
SH
SOLE
10
0
0
Comverse Inc.
COM
20585P105
21
600
SH
SOLE
0
0
600
Conocophillips
COM
20825C104
18
250
SH
SOLE
250
0
0
Constellation Brands Inc
CL A
21036P108
60
706
SH
SOLE
706
0
0
Cushing Rty & Income Fd Com Sh Ben Int
COM SH BEN INT
23164R104
18
1000
SH
SOLE
0
0
1000
DR Horton Inc
COM
23331A109
3285
151750
SH
SOLE
151705
0
45
DTE Energy Company
COM
233331107
24
328
SH
SOLE
240
0
88
Darden Restaurants Inc.
COM
237194105
7
141
SH
SOLE
0
0
141
Deere & Co
COM
244199105
4
40
SH
SOLE
40
0
0
Delta Air Lines Inc New
COM NEW
247361702
5606
161798
SH
SOLE
161312
0
486
PowerShares DB Gold Double Short
PS GOLD DS ETN
25154h756
5
762
SH
SOLE
762
0
0
Diamond Offshore Drilling
COM
25271C102
7
136
SH
SOLE
0
0
136
Walt Disney Co
COM DISNEY
254687106
5344
66739
SH
SOLE
66739
0
0
Dominion Resources Company
COM
25746U109
8
116
SH
SOLE
0
0
116
Domino's Pizza
COM
25754a201
141
1838
SH
SOLE
1838
0
0
Duffs & Phelps Global Util Inc
COM
26433C105
10
500
SH
SOLE
0
0
500
Electronics for Imaging
COM
286082102
80
1847
SH
SOLE
0
0
1847
Emerson Electric Co
COM
291011104
47
700
SH
SOLE
700
0
0
Energy Transfer Equity L.P.
COM UT LTD PTN
29273v100
8
141
SH
SOLE
0
0
141
Enterprise Products Part.
COM
293792107
8
118
SH
SOLE
0
0
118
Exact Sciences Corp.
COM
30063P105
14
1000
SH
SOLE
0
0
1000
Expeditors International of Washington
COM
302130109
2463
62154
SH
SOLE
62154
0
0
Exxon Mobil Corp
COM
30231G102
3678
37657
SH
SOLE
37657
0
0
Facebook Inc.
CL A
30303M102
30
500
SH
SOLE
500
0
0
First Solar Inc
COM
336433107
4469
64040
SH
SOLE
63930
0
110
Financial Federal Corp
COM
33738C103
21
1000
SH
SOLE
0
0
1000
Firstenergy Corp
COM
337932107
0
0
SH
SOLE
0
0
0
Ford Motor Co
COM PAR $0.01
345370860
4617
295942
SH
SOLE
295652
0
290
Fortune Brands Home Security Inc.
COM
34964C106
9
220
SH
SOLE
220
0
0
Franklin Res Inc
COM
354613101
2896
53455
SH
SOLE
53455
0
0
Frontier Communications Corp
COM
35906A108
0
3
SH
SOLE
3
0
0
Generac Holdings, Inc.
COM
368736104
14
230
SH
SOLE
230
0
0
General Dynamics Corp
COM
369550108
62
573
SH
SOLE
573
0
0
General Electric Co
COM
369604103
47
1824
SH
SOLE
1824
0
0
General Mills Inc
COM
370334104
16
310
SH
SOLE
310
0
0
General Motors Corp
COM
37045v100
1
16
SH
SOLE
16
0
0
General Motors Class A 07/10/16
W EXP 07/10/2016
37045V118
0
13
SH
SOLE
13
0
0
General Motors Class B 07/10/19
W EXP 07/10/2019
37045V126
0
13
SH
SOLE
13
0
0
Google Inc.
CL A
38259p508
5102
4578
SH
SOLE
4576
0
2
HCA Inc
COM
40412C101
477
9090
SH
SOLE
9090
0
0
HSBC Holdings PLC- Spon ADR
ADR NEW
404280406
7
136
SH
SOLE
0
0
136
Harris Corporation
COM
413875105
3549
48505
SH
SOLE
48505
0
0
Health Care REIT Inc
COM
42217K106
8
140
SH
SOLE
0
0
140
Hologic, Inc.
COM
436440101
24
1137
SH
SOLE
1137
0
0
Home Depot Inc
COM
437076102
12
154
SH
SOLE
154
0
0
Honeywell International Inc
COM
438516106
21
230
SH
SOLE
230
0
0
Illinois Tool Works
COM
452308109
16
197
SH
SOLE
197
0
0
Ilumina Inc.
COM
452327109
30
200
SH
SOLE
0
0
200
ING Infrastructure Industrials
COM
45685U100
7
400
SH
SOLE
0
0
400
Intel Corp
COM
458140100
21
800
SH
SOLE
800
0
0
IBM Corp
COM
459200101
13
68
SH
SOLE
68
0
0
iShares MSCI Japan Index Fund
MSCI JAPAN
464286848
24
2150
SH
SOLE
2150
0
0
iShares S&P 100 Index Fund
S&P 100 IDX FD
464287101
557
6725
SH
SOLE
6725
0
0
iShares Morningstar Core Index
LRGE CORE INDX
464287127
539
4872
SH
SOLE
4847
0
25
iShares Barclays TIP Bond Fund
BARCLYS TIPS BD
464287176
3030
27030
SH
SOLE
26891
0
139
iShares S&P 500 Index Fund
ETF
464287200
172
916
SH
SOLE
556
0
360
iShares Lehman Aggregate Bond Fund
CORE TOTUSBD ETF
464287226
4
35
SH
SOLE
35
0
0
iShares MSCI Emerging Markets Index
MSCI EMERG MKT
464287234
35
864
SH
SOLE
800
0
64
iShares Investop Corporate Bond Fund
IBOXX INV CPBD
464287242
61
525
SH
SOLE
525
0
0
iShares MSCI EAFE Index Fund
MSCI EAFE INDEX
464287465
7458
110975
SH
SOLE
110135
0
840
iShares Russell Midcap Index
RUSSELL MIDCAP
464287499
25
161
SH
SOLE
161
0
0
iShares S&P Midcap 400 Index Fund
ETF
464287507
77
558
SH
SOLE
558
0
0
iShares NASDAQ Biotechnology Index Fund
NASDQ BIO INDX
464287556
15
65
SH
SOLE
65
0
0
iShares S&P Midcap 400/ Growth
S&P MC 400 GRW
464287606
2101
13741
SH
SOLE
13164
0
577
iShares Russell 2000
RUSSELL 2000
464287655
72
615
SH
SOLE
12
0
603
iShares S&P Midcap 400/ Value
S&P MIDCP VALU
464287705
19
160
SH
SOLE
160
0
0
iShares DJ US Telecommunications
DJ US TELECOMM
464287713
14
475
SH
SOLE
475
0
0
iShares S&P SM Cap 600 Index FD
CORE S&P SCP ETF
464287804
6096
55352
SH
SOLE
54385
0
967
iShares S&P Smallcap 600/Value
S&P SMLCP VALU
464287879
48
426
SH
SOLE
426
0
0
iShares S&P Smallcap 600/Growth
S&P SMLCP GROW
464287887
51
431
SH
SOLE
431
0
0
iShares Barclays Agency Bond Fund
AGENCY BD FD
464288166
884
7921
SH
SOLE
7921
0
0
iShares S&P Global Infrastrucure Indx Fd
S&P GLO INFRAS
464288372
14
335
SH
SOLE
335
0
0
iShares S&P National AMT-Free Bond Fund
S&P NTL AMTFREE
464288414
31
290
SH
SOLE
290
0
0
iShares iBoxx $ High Yield Corporate Bond
HIGH YLD CORP
464288513
67
713
SH
SOLE
713
0
0
iShares Intermediate Gov't/Credit
BARCLYS INTER GV
464288612
184
1676
SH
SOLE
1676
0
0
iShares Barclays Intermediate Credit Bond
BARCLYS INTER CR
464288638
4148
38037
SH
SOLE
38037
0
0
iShares Barclays 3-7 Year Treasury Bond
BARCLYS 3-7 YR
464288661
1544
12792
SH
SOLE
12792
0
0
iShares S&P Global Materials
S&P GLB MTRLS
464288695
15
238
SH
SOLE
238
0
0
iShares Morningstar Small - CA
ETF
464288703
73
591
SH
SOLE
591
0
0
JP Morgan Chase & Co
COM
46625H100
3806
62699
SH
SOLE
62674
0
25
Javelin Mortgage Investment Corp
COM
47200B104
17
1250
SH
SOLE
0
0
1250
Johnson & Johnson
COM
478160104
3910
39802
SH
SOLE
39802
0
0
KT Corp SP Adr
SPONSORED ADR
48268K101
6
408
SH
SOLE
408
0
0
Kellogg Company
COM
487836108
16
255
SH
SOLE
255
0
0
Kimberly-Clark Corp
COM
494368103
72
654
SH
SOLE
654
0
0
Kinder Morgan Energy Partners LP
UT LTD PARTNER
494550106
7
95
SH
SOLE
0
0
95
Kinder Morgan Inc. $17 05/25/17
*W EXP 05/25/201
49456B119
0
140
SH
SOLE
140
0
0
Kraft Foods Inc
COM
50076Q106
47
834
SH
SOLE
834
0
0
LRR Energy LP
COM
50214A104
4
225
SH
SOLE
0
0
225
LSI Logic Corp
COM
502161102
0
4
SH
SOLE
4
0
0
Laboratory Corporation of America Holdings
NOTE
50540r409
2232
22731
SH
SOLE
22731
0
0
Lifevantage Corp.
COM
53222k106
0
250
SH
SOLE
250
0
0
Eli Lilly And Co
COM
532457108
30
518
SH
SOLE
370
0
148
LinkedIn Corporation
COM CL A
53578A108
36
195
SH
SOLE
195
0
0
Lockheed Martin Corp
COM
539830109
292
1788
SH
SOLE
1735
0
53
Lorillard Inc.
COM
544147101
26
473
SH
SOLE
324
0
149
Lowe's Companies Inc
COM
548661107
7
137
SH
SOLE
137
0
0
Lululemon Athletica
COM
550021109
5
100
SH
SOLE
100
0
0
MGM Resorts International
COM
552953101
3
100
SH
SOLE
100
0
0
Markwest Energy Partners LP
UNIT LTD PARTN
570759100
65
1000
SH
SOLE
1000
0
0
Mattel Inc
COM
577081102
14
349
SH
SOLE
349
0
0
McDonalds Corp
COM
580135101
3369
34365
SH
SOLE
34365
0
0
Medidata Solutions Inc.
COM
58471A105
10
188
SH
SOLE
188
0
0
Merck & Co., Inc.
COM
58933Y105
27
482
SH
SOLE
332
0
150
Microsoft Corp
COM
594918104
83
2030
SH
SOLE
2030
0
0
Microchip Technology Inc
COM
595017104
8
171
SH
SOLE
0
0
171
Mondelez International Inc.
CL A
609207105
87
2506
SH
SOLE
2506
0
0
Monster Worldwide Inc.
COM
611742107
1
100
SH
SOLE
0
0
100
National Oilwell Varco Inc.
COM
637071101
2892
37141
SH
SOLE
37141
0
0
Novartis AG - ADR
SPONSORED ADR
66987V109
13
150
SH
SOLE
150
0
0
Occidental Petroleum Corp
COM
674599105
84
880
SH
SOLE
880
0
0
Oceaneering Intl Inc
COM
675232102
4194
58368
SH
SOLE
58368
0
0
Oracle Corp
COM
68389X105
2724
66575
SH
SOLE
66575
0
0
PPL Corporation
COM
69351T106
10
300
SH
SOLE
300
0
0
Patterson Companies Inc
COM
703395103
2423
58032
SH
SOLE
58032
0
0
Paychex Inc
COM
704326107
9
210
SH
SOLE
210
0
0
Pepsico Inc
COM
713448108
3138
37584
SH
SOLE
37584
0
0
Pfizer Inc
COM
717081103
73
2275
SH
SOLE
2275
0
0
Philip Morris International Inc.
COM
718172109
2751
33602
SH
SOLE
33602
0
0
Phillips 66
COM
718546104
10
125
SH
SOLE
125
0
0
Pimco Dynamic CR Income F
COM SHS
72202D106
90
4000
SH
SOLE
0
0
4000
Plains All Amer Pipeline LP
UNIT LTD PARTN
726503105
8
148
SH
SOLE
0
0
148
Potbelly Corp
COM ADDED
73754y100
4
200
SH
SOLE
0
0
200
Powershares QQQ Tr Unit Ser 1
UNIT SER 1
73935A104
28
315
SH
SOLE
315
0
0
Powershares DB Commodity Index
UNIT BEN INT
73935S105
17
647
SH
SOLE
307
0
340
PowerShares Dynamic Lg Cap Gr Portfolio
DYNM LRG CP GR
73935x609
2367
90979
SH
SOLE
87704
0
3275
PowerShares Aero & Defense
AERSPC DEF PTF
73935x690
21
650
SH
SOLE
650
0
0
Powershares Dynamic Large Cap Value
DYMN LRG CP VL
73935X708
2368
81412
SH
SOLE
78562
0
2850
PowerShares Developed Markets Leaders
DWA DEVEL MKTS
73936q108
1394
51728
SH
SOLE
49588
0
2140
PowerShares FTSE RAFI Developed Mkts ex-US
DEV MKTS EX-US
73936t789
8
190
SH
SOLE
190
0
0
Powershares Build America Bond Portfolio
BUILD AMER ETF
73937b407
1418
49368
SH
SOLE
49368
0
0
Procter & Gamble Co
COM
742718109
56
692
SH
SOLE
692
0
0
Proshares Ultra S&P 500
TR PSHS ULT S&P 500
74347R107
39
369
SH
SOLE
0
0
369
Proshares Ulta Russell 2000 ETF
TR PSHS ULTRUSS2000
74347R842
38
435
SH
SOLE
0
0
435
Qualcomm Inc
COM
747525103
4667
59176
SH
SOLE
59176
0
0
Raytheon Company
COM NEW
755111507
24
242
SH
SOLE
242
0
0
Resmed Inc
COM
761152107
8
180
SH
SOLE
180
0
0
Royal Dutch Shell Cl B ADR
SPON ADR B
780259107
16
200
SH
SOLE
100
0
100
Royal Dutch Shell PLC-ADR A
SPONS ADR A
780259206
0
2
SH
SOLE
0
0
2
Rydex S&P Equal Weight
GUG S&P500 EQ WT
78355W106
41
568
SH
SOLE
568
0
0
Guggenheim S&P Midcap 400 Pure Growth
GUG S&P MC400 PG
78355W601
24
194
SH
SOLE
194
0
0
S&P 500 Dep Receipt
TR UNIT
78462F103
5884
31461
SH
SOLE
30454
0
1007
streetTRACKS Gold Trust
GOLD SHS
78463v107
42
341
SH
SOLE
341
0
0
SPDR MSCI ACWI EX-US
MSCI ACWI EXUS
78463X848
334
9317
SH
SOLE
9238
0
79
SPDR Barclays Capital High Yield Bond Fund
BRC HGH YLD BD
78464a417
8477
205161
SH
SOLE
204030
0
1131
SPDR Barclays Short Term Municipal Bond
NUVN BR SHT MUNI
78464a425
29
1200
SH
SOLE
1200
0
0
SPDR DJ Wilshire Total Market
DJ TTL MKT ETF
78464A805
484
3421
SH
SOLE
3421
0
0
SPDR DJIA Trust
UT SER 1
78467X109
2
14
SH
SOLE
0
0
14
SPDR S&P Midcap 400 ETF Trus
UTSER1 S&PDCRP
78467Y107
3410
13608
SH
SOLE
13053
0
555
Schlumberger Ltd
COM
806857108
11
110
SH
SOLE
110
0
0
Charles Schwab Corp
NEW COM
808513105
5
195
SH
SOLE
195
0
0
Materials Select Sector SPDR
SBI MATERIALS
81369Y100
12
250
SH
SOLE
250
0
0
Health Care Select Sector SPDR
SBI HEALTHCARE
81369Y209
414
7080
SH
SOLE
6790
0
290
Consumer Staples SPDR
SBI CONS STPLS
81369Y308
19
450
SH
SOLE
450
0
0
Consumer Discretionary Select Sector SPDR
SBI MATERIALS
81369Y407
391
6044
SH
SOLE
5794
0
250
Energy Select Sector SPDR
SBI INT-ENERGY
81369Y506
33
370
SH
SOLE
370
0
0
Financial Select Sector SPDR
SBI INT-ENERGY
81369Y605
395
17682
SH
SOLE
16952
0
730
Industrial Select Sector SPDR
SBI INT-ENERGY
81369Y704
378
7228
SH
SOLE
6918
0
310
Technology Select Sector SPDR
TECHNOLOGY
81369Y803
1476
40618
SH
SOLE
40148
0
470
Utilities Select Sector SPDR
SBI INT-UTILS
81369Y886
45
1080
SH
SOLE
1080
0
0
Sequenom Inc
COM NEW
817337405
4
1500
SH
SOLE
0
0
1500
Sirius XM Holdings Inc.
COM ADDED
82968B103
1
300
SH
SOLE
300
0
0
Stryker Corp
COM
863667101
15
180
SH
SOLE
180
0
0
Sturm Ruger & Company
COM
864159108
9
150
SH
SOLE
150
0
0
Sysco Corp
COM
871829107
2849
78864
SH
SOLE
78864
0
0
Teco Energy Corp
COM
872375100
5
310
SH
SOLE
310
0
0
3M Co
COM
88579Y101
9
70
SH
SOLE
70
0
0
Tortoise Power and Energy
COM
89147X104
26
1006
SH
SOLE
0
0
1006
Tractor Supply Company
COM
892356106
11
150
SH
SOLE
150
0
0
Travelers Group
COM
89417e109
87
1023
SH
SOLE
1023
0
0
Twitter Inc.
COM ADDED
90184L102
10
224
SH
SOLE
124
0
100
United Technologies Corp
COM
913017109
4605
39415
SH
SOLE
39415
0
0
Valero Energy Corp
COM
91913Y100
4956
93324
SH
SOLE
93255
0
69
Vanguard High Dividend Yield
HIGH DIV YLD
921946406
107
1695
SH
SOLE
1695
0
0
Vanguard Total World Stock Index
GLB EX US ETF
922042742
15
250
SH
SOLE
250
0
0
Vanguard Nat Res LLC Com Unit Rep
COM UNIT
92205F106
60
2000
SH
SOLE
2000
0
0
Vanguard Growth
FDS GROWTH ETF
922908736
108
1154
SH
SOLE
1154
0
0
Vanguard Total Stock Market VIPERs
TOTAL STK MKT
922908769
99
1012
SH
SOLE
1000
0
12
Verizon Communications Inc
COM
92343V104
16
336
SH
SOLE
336
0
0
Verint Systems, Inc.
COM
92343X100
37
778
SH
SOLE
0
0
778
Visa Inc.
COM CL A
92826C839
5602
25950
SH
SOLE
25950
0
0
Vodafone Group PLC -Spon ADR
SPONS ADR NEW
92857W209
0
4
SH
SOLE
4
0
0
Waste Management Inc
DEL COM
94106L109
84
2000
SH
SOLE
2000
0
0
Wells Fargo Company
COM
949746101
3632
73019
SH
SOLE
73019
0
0
Windstream Holdings Inc.
COM
97382A101
7
874
SH
SOLE
874
0
0