0001140468-20-000006.txt : 20200813
0001140468-20-000006.hdr.sgml : 20200813
20200813153426
ACCESSION NUMBER: 0001140468-20-000006
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20200630
FILED AS OF DATE: 20200813
DATE AS OF CHANGE: 20200813
EFFECTIVENESS DATE: 20200813
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: CYPRESS CAPITAL MANAGEMENT LLC
CENTRAL INDEX KEY: 0001140468
IRS NUMBER: 510405735
STATE OF INCORPORATION: DE
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-06501
FILM NUMBER: 201099051
BUSINESS ADDRESS:
STREET 1: 3801 KENNETT PIKE
STREET 2: SUITE C200A
CITY: GREENVILLE
STATE: DE
ZIP: 19807
BUSINESS PHONE: 3024298436
MAIL ADDRESS:
STREET 1: 3801 KENNETT PIKE
STREET 2: SUITE C200A
CITY: GREENVILLE
STATE: DE
ZIP: 19807
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
false
false
0001140468
XXXXXXXX
06-30-2020
06-30-2020
CYPRESS CAPITAL MANAGEMENT LLC
3801 KENNETT PIKE
SUITE C200A
GREENVILLE
DE
19807
13F HOLDINGS REPORT
028-06501
N
Kelly Wellborn
President
302429-8410
Kelly A Wellborn
Greenville
DE
08-13-2020
0
161
612926
false
INFORMATION TABLE
2
13f063020.xml
3M Company
COM
88579Y101
3330
21346
SH
SOLE
21346
0
0
AT&T Corp New
COM
00206r102
6458
213637
SH
SOLE
213637
0
0
Abbott Laboratories
COM
002824100
17775
194415
SH
SOLE
194415
0
0
Accenture PLC-Cl A
COM
G1151c101
1385
6448
SH
SOLE
6448
0
0
Adobe Systems Inc
COM
00724F101
271
623
SH
SOLE
623
0
0
Agilent Technologies Inc
COM
00846U101
12046
136308
SH
SOLE
136308
0
0
Air Products & Chemicals Inc
COM
009158106
247
1025
SH
SOLE
1025
0
0
Alphabet Inc - Class A
COM
02079K305
16557
11676
SH
SOLE
11676
0
0
Alphabet Inc - Class C
COM
02079K107
1500
1061
SH
SOLE
1061
0
0
Amazon.com Inc
COM
023135106
1371
497
SH
SOLE
497
0
0
American Express Company
COM
025816109
209
2191
SH
SOLE
2191
0
0
Amgen Inc
COM
031162100
733
3106
SH
SOLE
3106
0
0
Analog Devices
COM
032654105
2917
23789
SH
SOLE
23789
0
0
Anthem Inc
COM
036752103
1025
3899
SH
SOLE
3899
0
0
Apple Computer
COM
037833100
3836
10516
SH
SOLE
10516
0
0
Automatic Data Processing
COM
053015103
615
4128
SH
SOLE
4128
0
0
Berkshire Hathaway Inc - Class
COM
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65885
SH
SOLE
65885
0
0
Berkshire Hathaway Inc-CL A
COM
084670108
535
2
SH
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0
Booking Holdings Inc
COM
09857L108
565
355
SH
SOLE
355
0
0
Bristol-Myers Squibb Co
COM
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426
7245
SH
SOLE
7245
0
0
CVS Health Corporation
COM
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12035
SH
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12035
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Caterpillar Inc
COM
149123101
369
2920
SH
SOLE
2920
0
0
Chevron Corp
COM
166764100
5615
62926
SH
SOLE
62926
0
0
Chubb Ltd
COM
H1467J104
306
2419
SH
SOLE
2419
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Cisco Systems Inc
COM
17275R102
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399663
SH
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Citizens Financial Group
COM
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233485
SH
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233485
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Coca-Cola Co
COM
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SH
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167560
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Comcast Corp-Class A
COM
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332087
SH
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332087
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ConocoPhillips
COM
20825C104
730
17373
SH
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17373
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Constellation Brands Inc-A
COM
21036p108
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23220
SH
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23220
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Consumer Discretionary Select
COM
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1450
11351
SH
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11351
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0
Consumer Staples Select Sector
COM
81369y308
1259
21475
SH
SOLE
21475
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Corteva Inc
COM
22052L104
1398
52171
SH
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52171
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0
Crown Castle International Cor
COM
22822v101
1392
8320
SH
SOLE
8320
0
0
DXC Technology Company
COM
23355L106
581
35242
SH
SOLE
35242
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0
Danaher Corp
COM
235851102
13374
75632
SH
SOLE
75632
0
0
Dassault Systemes S-Spon ADR
COM
237545108
1403
8132
SH
SOLE
8132
0
0
Disney (Walt) Co
COM
254687106
1429
12815
SH
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12815
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Dominion Energy Inc
COM
25746U109
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184045
SH
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Dow US
COM
260557103
4069
99819
SH
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99819
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DuPont de Nemours Inc
COM
26614N102
1865
35107
SH
SOLE
35107
0
0
Eaton Corp
COM
G29183103
1110
12690
SH
SOLE
12690
0
0
Ecolab Inc
COM
278865100
2361
11869
SH
SOLE
11869
0
0
Electronic Arts Inc
COM
285512109
9105
68950
SH
SOLE
68950
0
0
Emerson Electric Co
COM
291011104
299
4818
SH
SOLE
4818
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0
Energy Select Sector SPDR
COM
81369y506
1672
44173
SH
SOLE
44173
0
0
Enterprise Products Partners L
COM
293792107
565
31100
SH
SOLE
31100
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0
Essential Utilities Inc
COM
29670g102
474
11225
SH
SOLE
11225
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Evergy Inc
COM
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SH
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201995
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Exxon Mobil Corporation
COM
30231G102
5763
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SH
SOLE
128877
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0
Facebook Inc
COM
30303M102
9440
41574
SH
SOLE
41574
0
0
Fastenal Co
COM
311900104
1643
38360
SH
SOLE
38360
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Financial Select Sector SPDR
COM
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743
32128
SH
SOLE
32128
0
0
Franklin Resources Inc
COM
354613101
5119
244127
SH
SOLE
244127
0
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General Dynamics Corp
COM
369550108
368
2460
SH
SOLE
2460
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General Electric Co
COM
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67298
SH
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67298
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General Motors Corp
COM
37045V100
688
27175
SH
SOLE
27175
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Genuine Parts Co
COM
372460105
8619
99111
SH
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99111
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Goldman Sachs Group Inc
COM
38141G104
248
1256
SH
SOLE
1256
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HP Inc
COM
40434L105
7370
422835
SH
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422835
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Health Care Select Sector SPDR
COM
81369Y209
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18101
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Hershey Foods Corp
COM
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21115
SH
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21115
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Hewlett Packard Enterprise Co
COM
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434691
SH
SOLE
434691
0
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Home Depot Inc
COM
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SH
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Honeywell International
COM
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1828
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COM
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IShares Core Dividend Growth
COM
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COM
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IShares Core MSCI Emerging Mar
COM
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9693
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IShares Core MSCI Europe ETF
COM
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COM
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IShares Core S&P US Value
COM
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COM
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COM
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COM
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226
1650
SH
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1650
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COM
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SH
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COM
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COM
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COM
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COM
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IShares Trust S&P 500/Barra Gr
COM
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3581
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IShares Trust S&P 500/Barra Va
COM
464287408
366
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SH
SOLE
3378
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Industrial Select Sector SPDR
COM
81369Y704
1004
14620
SH
SOLE
14620
0
0
Ingredion Inc
COM
457187102
5742
69185
SH
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Intel Corp
COM
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International Business Machine
COM
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Invesco QQQ Trust Series 1
COM
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COM
46137V357
298
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2925
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Invesco S&P 500 Equal Wt Tech
COM
46137V282
897
4504
SH
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4504
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JP Morgan Chase & Company
COM
46625H100
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157258
SH
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Johnson & Johnson
COM
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SH
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Johnson Controls International
COM
g51502105
6062
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SH
SOLE
177550
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Keysight Technologies Inc
COM
49338L103
7129
70740
SH
SOLE
70740
0
0
Kraft Heinz Company
COM
500754106
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SH
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Lam Research Corp
COM
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4763
SH
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Lehman Bros Holding IXXX Escro
COM
524ESC100
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10400
SH
SOLE
10400
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Lilly Eli & Co
COM
532457108
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6324
SH
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6324
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Linde PLC
COM
G5494J103
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4267
SH
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4267
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Lockheed Martin Corporation
COM
539830109
659
1807
SH
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1807
0
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Martin Marietta Materials
COM
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2825
SH
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2825
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MasterCard Inc - Class A
COM
57636Q104
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3650
SH
SOLE
3650
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McCormick & Co Non Voting Shar
COM
579780206
310
1730
SH
SOLE
1730
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McDonald's Corp
COM
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36979
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McKesson Corp
COM
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SH
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Merck & Co Inc
COM
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SOLE
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Microsoft Corp
COM
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SOLE
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Midcap SPDR Trust Series 1
COM
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844
SH
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844
0
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COM
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SH
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Nasdaq Inc
COM
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6743
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6743
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NextEra Energy Inc
COM
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4906
SH
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4906
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Oracle Corporation
COM
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14361
259841
SH
SOLE
259841
0
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PNC Financial Services Group
COM
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88181
SH
SOLE
88181
0
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Parker Hannifin Corp
COM
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3750
20460
SH
SOLE
20460
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PayPal Holdings Inc
COM
70450Y103
371
2130
SH
SOLE
2130
0
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Pepsico Inc
COM
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2410
18220
SH
SOLE
18220
0
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Pfizer Inc
COM
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814
24879
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SOLE
24879
0
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Philip Morris International
COM
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208
2972
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SOLE
2972
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Phillips 66
COM
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10972
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10972
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Pinnacle West Capital
COM
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81285
SH
SOLE
81285
0
0
Procter & Gamble Co
COM
742718109
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37104
SH
SOLE
37104
0
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Raytheon Technologies Corp
COM
75513E101
10535
170969
SH
SOLE
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0
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Republic Services Inc
COM
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SH
SOLE
3270
0
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Robo Global Robotics & Automat
COM
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248
5700
SH
SOLE
5700
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Ross Stores Inc
COM
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11190
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11190
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SPDR Gold Trust
COM
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1260
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1260
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SPDR S&P 500 ETF Trust Series
COM
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18713
0
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COM
806857108
592
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SH
SOLE
32191
0
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COM
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71590
0
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COM
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SOLE
12388
0
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COM
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408
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SH
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COM
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14530
SH
SOLE
14530
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Stanley Black & Decker
COM
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SH
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Starbucks Corporation
COM
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SH
SOLE
11340
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Stryker Corp
COM
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279
1550
SH
SOLE
1550
0
0
TJX Companies Inc
COM
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6990
138252
SH
SOLE
138252
0
0
Technology Select Sect SPDR
COM
81369y803
343
3278
SH
SOLE
3278
0
0
Tesla Motors Inc
COM
88160R101
281
260
SH
SOLE
260
0
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Texas Instruments Inc
COM
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13057
SH
SOLE
13057
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The Blackstone Group PLC
COM
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12500
SH
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12500
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The Chemours Company
COM
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27915
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27915
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Thermo Fisher Scientific Inc
COM
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Truist Financial Corp
COM
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Union Pacific Corp
COM
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Unitedhealth Group
COM
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Vanguard Communication Service
COM
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SH
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4945
0
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Vanguard Growth ETF
COM
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369
1828
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SOLE
1828
0
0
Vanguard High Dvd Yld ETF
COM
921946406
7111
90263
SH
SOLE
90263
0
0
Vanguard Info Tech ETF
COM
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29831
SH
SOLE
29831
0
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Vanguard Large-Cap ETF
COM
922908637
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SH
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24723
0
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Vanguard MSCI EAFE ETF
COM
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SH
SOLE
17258
0
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Vanguard Mid-Cap ETF
COM
922908629
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10124
SH
SOLE
10124
0
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Vanguard Small-Cap ETF
COM
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804
5515
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5515
0
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Vanguard U S Total Stock Mkt
COM
922908769
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SOLE
5643
0
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COM
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11775
0
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Vanguard Value ETF
COM
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Verizon Communications
COM
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Visa Inc - Class A Shares
COM
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2501
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Wal-Mart Stores Inc
COM
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YUM! Brands Inc
COM
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Zimmer Biomet Inc
COM
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85335
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Zoetis Inc
COM
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