Form f13t for CIK:1426754

Reported Date (DD.MM.YYYY) Issuer Name Value Thousands Sshprn Amount Sshprn Type Class Title Voting Authority Sole Voting Authority Shared Voting Authority None
07.02.2014 3M Co. 8349 59532 SH COM 59532 0 0
07.02.2014 AbbVie Inc. 26 500 SH COM 500 0 0
07.02.2014 Abbott Laboratories 19 500 SH COM 500 0 0
07.02.2014 Acco Brands Corp. 20 2953 SH COM 2953 0 0
07.02.2014 Aflac Inc. 5169 77374 SH COM 77374 0 0
07.02.2014 American Tower Corp. 4944 61940 SH COM 61940 0 0
07.02.2014 Amgen Inc. 7135 62541 SH COM 62541 0 0
07.02.2014 Anglogold Ashanti Ltd. (ADR) 5 400 SH SPONSORED ADR 400 0 0
07.02.2014 Apple Inc. 22 40 SH COM 40 0 0
07.02.2014 Bank of New York Mellon Corp. 8 241 SH COM 241 0 0
07.02.2014 Baxter International Inc. 2816 40496 SH COM 40496 0 0
07.02.2014 Berkshire Hathaway Inc. Class 88 742 SH CL B NEW 742 0 0
07.02.2014 Boeing Co. 1034 7576 SH COM 7576 0 0
07.02.2014 CST Brands Inc. 0 12 SH COM 12 0 0
07.02.2014 CVS Caremark Corp. 10181 142254 SH COM 142254 0 0
07.02.2014 Canadian Natural Resources Ltd 257 7600 SH COM 7600 0 0
07.02.2014 Caterpillar Inc. 13 140 SH COM 140 0 0
07.02.2014 Cenovus Energy Inc. 1114 38883 SH COM 38883 0 0
07.02.2014 Chevron Corp. 98 917 SH COM 917 0 0
07.02.2014 Cisco Systems Inc. 4773 212797 SH COM 212797 0 0
07.02.2014 Coach Inc. 5376 95783 SH COM 95783 0 0
07.02.2014 Colgate-Palmolive Co. 7717 118338 SH COM 118338 0 0
07.02.2014 Comcast Corp. 406 7808 SH CL A 7808 0 0
07.02.2014 ConocoPhillips 3720 52651 SH COM 52651 0 0
07.02.2014 Cummins Inc. 197 1400 SH COM 1400 0 0
07.02.2014 Devon Energy Corp. 5 75 SH COM 75 0 0
07.02.2014 EMC Corp. 7329 291426 SH COM 291426 0 0
07.02.2014 Eli Lilly & Co. 372 7299 SH COM 7299 0 0
07.02.2014 EnCana Corp. 1965 108867 SH COM 108867 0 0
07.02.2014 Express Scripts Inc. 55 778 SH COM 778 0 0
07.02.2014 Exxon Mobil Corp. 4685 46295 SH COM 46295 0 0
07.02.2014 Firstenergy Corp. 10 304 SH COM 304 0 0
07.02.2014 Freeport-McMoran Copper & Gold 4 110 SH COM 110 0 0
07.02.2014 General Electric Co. 7562 269790 SH COM 269790 0 0
07.02.2014 General Mills Inc. 150 3000 SH COM 3000 0 0
07.02.2014 Goldman Sachs Group Inc. 3608 20352 SH COM 20352 0 0
07.02.2014 Halliburton Co. 15 290 SH COM 290 0 0
07.02.2014 Home Depot Inc. 4860 59023 SH COM 59023 0 0
07.02.2014 Honeywell International Inc. 10491 114816 SH COM 114816 0 0
07.02.2014 IDEX Corp. 133 1800 SH COM 1800 0 0
07.02.2014 Illinois Tool Works Inc. 17 200 SH COM 200 0 0
07.02.2014 Intel Corp. 5407 208330 SH COM 208330 0 0
07.02.2014 International Business Machine 7556 40284 SH COM 40284 0 0
07.02.2014 Johnson & Johnson 6592 71977 SH COM 71977 0 0
07.02.2014 Kimberly-Clark Corp. 7543 72210 SH COM 72210 0 0
07.02.2014 Kohl's Corp. 4434 78138 SH COM 78138 0 0
07.02.2014 Kroger Co. 5942 150310 SH COM 150310 0 0
07.02.2014 Linear Technology Corp. 14 300 SH COM 300 0 0
07.02.2014 Macy's 5 100 SH COM 100 0 0
07.02.2014 Mallinckrodt plc 37 713 SH SHS 713 0 0
07.02.2014 Marathon Petroleum Corp. 37 400 SH COM 400 0 0
07.02.2014 Martin Marietta Materials Inc. 70 700 SH COM 700 0 0
07.02.2014 McCormick & Co. Inc. 138 2000 SH COM NON VTG 2000 0 0
07.02.2014 MeadWestvaco Corp. 299 8084 SH COM 8084 0 0
07.02.2014 Medtronic Inc. 5356 93323 SH COM 93323 0 0
07.02.2014 Merck & Co. Inc. 143 2849 SH COM 2849 0 0
07.02.2014 MetLife Inc. 4762 88322 SH COM 88322 0 0
07.02.2014 Microsoft Corp. 7821 209052 SH COM 209052 0 0
07.02.2014 Nike Inc. 252 3200 SH CL B 3200 0 0
07.02.2014 Norfolk Southern Corp. 8 81 SH COM 81 0 0
07.02.2014 Pentair Ltd. 76 982 SH SHS 982 0 0
07.02.2014 Pepsico Inc. 7308 88117 SH COM 88117 0 0
07.02.2014 Phillips 66 Co. 6106 79170 SH COM 79170 0 0
07.02.2014 Praxair Inc. 6979 53673 SH COM 53673 0 0
07.02.2014 QEP Resources Inc. 1394 45477 SH COM 45477 0 0
07.02.2014 Questar Corp. 2826 122942 SH COM 122942 0 0
07.02.2014 Rayonier Inc. 112 2654 SH COM 2654 0 0
07.02.2014 SPDR Dow Jones Industrial Aver 86 517 SH UT SER 1 517 0 0
07.02.2014 SPDR S&P 500 (ETF) 1357 7347 SH TR UNIT 7347 0 0
07.02.2014 Schlumberger Ltd. 2916 32360 SH COM 32360 0 0
07.02.2014 St. Jude Medical Inc. 10 155 SH COM 155 0 0
07.02.2014 Stericycle 3771 32460 SH COM 32460 0 0
07.02.2014 Teva Pharmaceutical Industries 2521 62900 SH ADR 62900 0 0
07.02.2014 The ADT Corporation Co. 86 2120 SH COM 2120 0 0
07.02.2014 Transocean Ltd. 114 2309 SH REG SHS 2309 0 0
07.02.2014 Tyco International Ltd. 174 4250 SH SHS 4250 0 0
07.02.2014 U.S. Bancorp 5645 139740 SH COM NEW 139740 0 0
07.02.2014 Union Pacific Corp. 7471 44471 SH COM 44471 0 0
07.02.2014 United Technologies Corp. 9219 81014 SH COM 81014 0 0
07.02.2014 VF Corp. 9257 148500 SH COM 148500 0 0
07.02.2014 Valero Energy Corp. 6 110 SH COM 110 0 0
07.02.2014 Vectren Corp. 35 1000 SH COM 1000 0 0
07.02.2014 Wal-Mart Stores Inc. 15 185 SH COM 185 0 0
07.02.2014 Walt Disney Co. 11570 151446 SH COM DISNEY 151446 0 0
07.02.2014 Wells Fargo & Co. 5504 121239 SH COM 121239 0 0
07.02.2014 Zimmer Holdings Inc. 7 75 SH COM 75 0 0
07.02.2014 SPDR Gold Trust 8856 76262 SH GOLD SHS 76262 0 0
07.02.2014 Vanguard MSCI Emerging Markets 1905 46303 SH FTSE EMR MKT ETF 46303 0 0
07.02.2014 iShares MSCI EAFE Index 13318 198498 SH MSCI EAFE ETF 198498 0 0
07.02.2014 iShares Russell 2000 Index Fun 3854 33407 SH RUSSELL 2000 ETF 33407 0 0
30.07.2014 3M Co. 8539 59612 SH COM 59612 0 0
30.07.2014 AbbVie Inc. 28 500 SH COM 500 0 0
30.07.2014 Abbott Laboratories 20 500 SH COM 500 0 0
30.07.2014 Acco Brands Corp. 19 2953 SH COM 2953 0 0
30.07.2014 Aflac Inc. 4702 75529 SH COM 75529 0 0
30.07.2014 American Tower Corp. 5755 63960 SH COM 63960 0 0
30.07.2014 Amgen Inc. 7175 60611 SH COM 60611 0 0
30.07.2014 Apple Inc. 26 280 SH COM 280 0 0
30.07.2014 Bank of New York Mellon Corp. 9 241 SH COM 241 0 0
30.07.2014 Baxter International Inc. 3164 43766 SH COM 43766 0 0
30.07.2014 Berkshire Hathaway Inc. Class 94 742 SH CL B NEW 742 0 0
30.07.2014 Boeing Co. 958 7526 SH COM 7526 0 0
30.07.2014 Boston Scientific Corp. 10 806 SH COM 806 0 0
30.07.2014 CVS Caremark Corp. 10693 141879 SH COM 141879 0 0
30.07.2014 Canadian Natural Resources Ltd 349 7600 SH COM 7600 0 0
30.07.2014 Caterpillar Inc. 15 140 SH COM 140 0 0
30.07.2014 Cenovus Energy Inc. 1206 37193 SH COM 37193 0 0
30.07.2014 Chevron Corp. 200 1533 SH COM 1533 0 0
30.07.2014 Colgate-Palmolive Co. 8282 121478 SH COM 121478 0 0
30.07.2014 Comcast Corp. 402 7480 SH CL A 7480 0 0
30.07.2014 ConocoPhillips 5035 58731 SH COM 58731 0 0
30.07.2014 Covidien plc 534 5918 SH SHS 5918 0 0
30.07.2014 Cummins Inc. 216 1400 SH COM 1400 0 0
30.07.2014 Devon Energy Corp. 6 75 SH COM 75 0 0
30.07.2014 EMC Corp. 7850 298026 SH COM 298026 0 0
30.07.2014 Eli Lilly & Co. 472 7603 SH COM 7603 0 0
30.07.2014 EnCana Corp. 2754 116158 SH COM 116158 0 0
30.07.2014 Express Scripts Inc. 730 10534 SH COM 10534 0 0
30.07.2014 Exxon Mobil Corp. 4978 49445 SH COM 49445 0 0
30.07.2014 Franklin Resources Inc. 546 9440 SH COM 9440 0 0
30.07.2014 Freeport-McMoran Copper & Gold 4 110 SH COM 110 0 0
30.07.2014 General Electric Co. 7292 277472 SH COM 277472 0 0
30.07.2014 General Mills Inc. 158 3000 SH COM 3000 0 0
30.07.2014 Goldman Sachs Group Inc. 3454 20626 SH COM 20626 0 0
30.07.2014 Halliburton Co. 21 290 SH COM 290 0 0
30.07.2014 Home Depot Inc. 5093 62903 SH COM 62903 0 0
30.07.2014 Honeywell International Inc. 10703 115146 SH COM 115146 0 0
30.07.2014 IDEX Corp. 145 1800 SH COM 1800 0 0
30.07.2014 Illinois Tool Works Inc. 18 200 SH COM 200 0 0
30.07.2014 Intel Corp. 6628 214505 SH COM 214505 0 0
30.07.2014 Intuit Inc. 1263 15680 SH COM 15680 0 0
30.07.2014 Johnson & Johnson 7725 73839 SH COM 73839 0 0
30.07.2014 Johnson Controls Inc. 944 18900 SH COM 18900 0 0
30.07.2014 Kimberly-Clark Corp. 8248 74160 SH COM 74160 0 0
30.07.2014 Kroger Co. 7364 148970 SH COM 148970 0 0
30.07.2014 Linear Technology Corp. 14 300 SH COM 300 0 0
30.07.2014 Mallinckrodt plc 57 707 SH SHS 707 0 0
30.07.2014 Macy's 6 100 SH COM 100 0 0
30.07.2014 Marathon Petroleum Corp. 31 400 SH COM 400 0 0
30.07.2014 Martin Marietta Materials Inc. 92 700 SH COM 700 0 0
30.07.2014 McCormick & Co. Inc. 143 2000 SH COM NON VTG 2000 0 0
30.07.2014 McDonalds Corp. 10 100 SH COM 100 0 0
30.07.2014 MeadWestvaco Corp. 293 6626 SH COM 6626 0 0
30.07.2014 Medtronic Inc. 6332 99316 SH COM 99316 0 0
30.07.2014 Merck & Co. Inc. 184 3189 SH COM 3189 0 0
30.07.2014 MetLife Inc. 5151 92717 SH COM 92717 0 0
30.07.2014 Microsoft Corp. 9198 220587 SH COM 220587 0 0
30.07.2014 Nike Inc. 248 3200 SH CL B 3200 0 0
30.07.2014 Norfolk Southern Corp. 8 81 SH COM 81 0 0
30.07.2014 PNC Financial Services Group I 4205 47223 SH COM 47223 0 0
30.07.2014 Pepsico Inc. 7958 89072 SH COM 89072 0 0
30.07.2014 Phillips 66 Co. 6720 83550 SH COM 83550 0 0
30.07.2014 Praxair Inc. 7540 56763 SH COM 56763 0 0
30.07.2014 Procter & Gamble Co. 10 125 SH COM 125 0 0
30.07.2014 QEP Resources Inc. 1492 43237 SH COM 43237 0 0
30.07.2014 Qualcomm Inc. 4 48 SH COM 48 0 0
30.07.2014 Questar Corp. 3868 155972 SH COM 155972 0 0
30.07.2014 Rayonier Inc. 94 2654 SH COM 2654 0 0
30.07.2014 Schlumberger Ltd. 4451 37740 SH COM 37740 0 0
30.07.2014 St. Jude Medical Inc. 11 155 SH COM 155 0 0
30.07.2014 Stericycle Inc. 4096 34585 SH COM 34585 0 0
30.07.2014 TJX Companies Inc. 4455 83810 SH COM 83810 0 0
30.07.2014 Teva Pharmaceutical Industries 2927 55835 SH ADR 55835 0 0
30.07.2014 Texas Instruments Inc. 1740 36400 SH COM 36400 0 0
30.07.2014 The ADT Corporation Co. 73 2095 SH COM 2095 0 0
30.07.2014 The Walt Disney Co. 12600 146956 SH COM DISNEY 146956 0 0
30.07.2014 Transocean Ltd. 104 2309 SH REG SHS 2309 0 0
30.07.2014 Tyco International Ltd. 192 4200 SH SHS 4200 0 0
30.07.2014 U.S. Bancorp 5956 137485 SH COM NEW 137485 0 0
30.07.2014 Union Pacific Corp. 8802 88242 SH COM 88242 0 0
30.07.2014 United Technologies Corp. 9255 80164 SH COM 80164 0 0
30.07.2014 VF Corp. 7276 115500 SH COM 115500 0 0
30.07.2014 Valero Energy Corp. 6 110 SH COM 110 0 0
30.07.2014 Vectren Corp. 42 1000 SH COM 1000 0 0
30.07.2014 W.R. Berkley Corp. 1104 23830 SH COM 23830 0 0
30.07.2014 Wal-Mart Stores Inc. 14 185 SH COM 185 0 0
30.07.2014 Wells Fargo & Co. 6471 123119 SH COM 123119 0 0
30.07.2014 Yum Brands Inc. 13 160 SH COM 160 0 0
30.07.2014 Zimmer Holdings Inc. 8 75 SH COM 75 0 0
30.07.2014 Vanguard FTSE Emerging Markets 2175 50428 SH FTSE EMR MKT ETF 50428 0 0
30.07.2014 iShares MSCI EAFE Index Fund 13840 202433 SH MSCI EAFE ETF 202433 0 0
30.07.2014 iShares Russell 2000 Index Fun 4182 35197 SH RUSSELL 2000 ETF 35197 0 0
30.07.2014 Schwab US Mid Cap ETF 8 200 SH US MID-CAP ETF 200 0 0
30.07.2014 Schwab US REIT ETF 6 180 SH US REIT ETF 180 0 0
30.07.2014 Vanguard REIT Index ETF 7 100 SH REIT ETF 100 0 0
30.07.2014 PowerShares Dynamic Pharmaceut 24 390 SH DYN PHRMA PORT 390 0 0
30.07.2014 SPDR Dow Jones Industrial Aver 73 437 SH UT SER 1 437 0 0
30.07.2014 SPDR S&P 500 (ETF) 1518 7756 SH TR UNIT 7756 0 0
30.07.2014 SPDR S&P Dividend ETF 13 175 SH S&P DIVID ETF 175 0 0
30.07.2014 Schwab US Broad Martket ETF 28 588 SH US BRD MKT ETF 588 0 0
30.07.2014 Schwab US Dividend Equity ETF 23 600 SH US DIVIDEND EQ 600 0 0
30.07.2014 Schwab US Large Cap ETF 29 611 SH US LRG CAP ETF 611 0 0
30.07.2014 iShares Nasdaq Biotechnology I 22 85 SH NASDQ BIOTEC ETF 85 0 0
30.07.2014 SPDR Barclays High Yield Bond 3955 94770 SH BRC HGH YLD BD 94770 0 0
30.07.2014 Schwab US TIPS ETF 3 55 SH US TIPS ETF 55 0 0
30.07.2014 SPDR Barclays Short-Term High 5 170 SH SHT TRM HGH YLD 170 0 0
30.07.2014 SPDR Gold Trust 9980 77942 SH GOLD SHS 77942 0 0
30.07.2014 iShares Gold Trust 4 300 SH ISHARES 300 0 0
28.10.2014 3M Co. 8318 58707 SH COM 58707 0 0
28.10.2014 AbbVie Inc. 35 600 SH COM 600 0 0
28.10.2014 Abbott Laboratories 25 600 SH COM 600 0 0
28.10.2014 Acco Brands Corp. 19 2757 SH COM 2757 0 0
28.10.2014 Aflac Inc. 4312 74029 SH COM 74029 0 0
28.10.2014 American International Group I 0 7 SH COM NEW 7 0 0
28.10.2014 American Tower Corp. 5923 63260 SH COM 63260 0 0
28.10.2014 Amgen Inc. 8395 59771 SH COM 59771 0 0
28.10.2014 Apple Inc. 28 280 SH COM 280 0 0
28.10.2014 Bank of New York Mellon Corp. 9 241 SH COM 241 0 0
28.10.2014 Baxter International Inc. 3201 44596 SH COM 44596 0 0
28.10.2014 Berkshire Hathaway Inc. Class 102 742 SH CL B NEW 742 0 0
28.10.2014 Boeing Co. 959 7526 SH COM 7526 0 0
28.10.2014 Boston Scientific Corp. 10 806 SH COM 806 0 0
28.10.2014 CVS Health Corp. 11214 140893 SH COM 140893 0 0
28.10.2014 Canadian Natural Resources Ltd 295 7600 SH COM 7600 0 0
28.10.2014 Caterpillar Inc. 14 140 SH COM 140 0 0
28.10.2014 Cenovus Energy Inc. 973 36193 SH COM 36193 0 0
28.10.2014 Chevron Corp. 217 1816 SH COM 1816 0 0
28.10.2014 Cisco Systems Inc. 3 134 SH COM 134 0 0
28.10.2014 Colgate-Palmolive Co. 7933 121638 SH COM 121638 0 0
28.10.2014 Comcast Corp. 380 7074 SH CL A 7074 0 0
28.10.2014 ConocoPhillips 4583 59888 SH COM 59888 0 0
28.10.2014 Covidien plc 504 5831 SH SHS 5831 0 0
28.10.2014 Cummins Inc. 185 1400 SH COM 1400 0 0
28.10.2014 Devon Energy Corp. 5 75 SH COM 75 0 0
28.10.2014 EMC Corp. 8768 299642 SH COM 299642 0 0
28.10.2014 Eli Lilly & Co. 492 7589 SH COM 7589 0 0
28.10.2014 EnCana Corp. 2550 120208 SH COM 120208 0 0
28.10.2014 Express Scripts Inc. 911 12894 SH COM 12894 0 0
28.10.2014 Exxon Mobil Corp. 4683 49788 SH COM 49788 0 0
28.10.2014 Franklin Resources Inc. 595 10890 SH COM 10890 0 0
28.10.2014 Freeport-McMoran Copper & Gold 4 110 SH CL B 110 0 0
28.10.2014 General Dynamics Corp. 42 334 SH COM 334 0 0
28.10.2014 General Electric Co. 7140 278692 SH COM 278692 0 0
28.10.2014 Goldman Sachs Group Inc. 3792 20656 SH COM 20656 0 0
28.10.2014 Halliburton Co. 19 290 SH COM 290 0 0
28.10.2014 Hewlett-Packard Co. 11 300 SH COM 300 0 0
28.10.2014 Home Depot Inc. 5809 63320 SH COM 63320 0 0
28.10.2014 Honeywell International Inc. 10633 114181 SH COM 114181 0 0
28.10.2014 IDEX Corp. 130 1800 SH COM 1800 0 0
28.10.2014 Illinois Tool Works Inc. 17 200 SH COM 200 0 0
28.10.2014 Intel Corp. 7589 217941 SH COM 217941 0 0
28.10.2014 Intuit Inc. 1433 16350 SH COM 16350 0 0
28.10.2014 Johnson & Johnson 7983 74899 SH COM 74899 0 0
28.10.2014 Johnson Controls Inc. 1173 26670 SH COM 26670 0 0
28.10.2014 Kimberly-Clark Corp. 7907 73510 SH COM 73510 0 0
28.10.2014 Kroger Co. 7704 148150 SH COM 148150 0 0
28.10.2014 Lakeland Financial Corp. 4 100 SH COM 100 0 0
28.10.2014 Lincoln National Corp. 21 400 SH COM 400 0 0
28.10.2014 Linear Technology Corp. 13 300 SH COM 300 0 0
28.10.2014 Macy's Inc 6 100 SH COM 100 0 0
28.10.2014 Mallinckrodt plc 63 697 SH SHS 697 0 0
28.10.2014 Marathon Petroleum Corp. 34 400 SH COM 400 0 0
28.10.2014 Martin Marietta Materials Inc. 90 700 SH COM 700 0 0
28.10.2014 McCormick & Co. Inc. 134 2000 SH COM NON VTG 2000 0 0
28.10.2014 McDonalds Corp. 9 100 SH COM 100 0 0
28.10.2014 MeadWestvaco Corp. 271 6626 SH COM 6626 0 0
28.10.2014 Medtronic Inc. 6174 99669 SH COM 99669 0 0
28.10.2014 Merck & Co. Inc. 254 4278 SH COM 4278 0 0
28.10.2014 MetLife Inc. 4981 92717 SH COM 92717 0 0
28.10.2014 Microsoft Corp. 10187 219747 SH COM 219747 0 0
28.10.2014 Nike Inc. 285 3200 SH CL B 3200 0 0
28.10.2014 Norfolk Southern Corp. 9 81 SH COM 81 0 0
28.10.2014 PNC Financial Services Group I 4245 49603 SH COM 49603 0 0
28.10.2014 Pentair plc 62 951 SH SHS 951 0 0
28.10.2014 Pepsico Inc. 8200 88092 SH COM 88092 0 0
28.10.2014 Pfizer Inc. 7 234 SH COM 234 0 0
28.10.2014 Phillips 66 Co. 6764 83190 SH COM 83190 0 0
28.10.2014 Praxair Inc. 7356 57023 SH COM 57023 0 0
28.10.2014 Procter & Gamble Co. 24 292 SH COM 292 0 0
28.10.2014 QEP Resources Inc. 1266 41137 SH COM 41137 0 0
28.10.2014 Qualcomm Inc. 4 48 SH COM 48 0 0
28.10.2014 Questar Corp. 3602 161602 SH COM 161602 0 0
28.10.2014 Rayonier Advanced Materials In 29 883 SH COM 883 0 0
28.10.2014 Rayonier Inc. 83 2654 SH COM 2654 0 0
28.10.2014 Schlumberger Ltd. 3882 38170 SH COM 38170 0 0
28.10.2014 St. Jude Medical Inc. 9 155 SH COM 155 0 0
28.10.2014 Stericycle Inc. 4092 35105 SH COM 35105 0 0
28.10.2014 Sysco Corp. 5 133 SH COM 133 0 0
28.10.2014 TJX Companies Inc. 5003 84550 SH COM 84550 0 0
28.10.2014 Teva Pharmaceutical Industries 2963 55125 SH ADR 55125 0 0
28.10.2014 Texas Instruments Inc. 1995 41840 SH COM 41840 0 0
28.10.2014 The ADT Corporation Co. 70 1981 SH COM 1981 0 0
28.10.2014 The Walt Disney Co. 12770 143431 SH COM DISNEY 143431 0 0
28.10.2014 Transocean Ltd. 72 2257 SH REG SHS 2257 0 0
28.10.2014 Tyco International Ltd. 183 4113 SH SHS 4113 0 0
28.10.2014 U.S. Bancorp 5669 135522 SH COM NEW 135522 0 0
28.10.2014 Union Pacific Corp. 9591 88462 SH COM 88462 0 0
28.10.2014 United Technologies Corp. 8431 79837 SH COM 79837 0 0
28.10.2014 VF Corp. 7592 114980 SH COM 114980 0 0
28.10.2014 Valero Energy Corp. 5 110 SH COM 110 0 0
28.10.2014 Vectren Corp. 40 1000 SH COM 1000 0 0
28.10.2014 W.R. Berkley Corp. 1369 28640 SH COM 28640 0 0
28.10.2014 Wal-Mart Stores Inc. 14 185 SH COM 185 0 0
28.10.2014 Wells Fargo & Co. 6588 127009 SH COM 127009 0 0
28.10.2014 Yum Brands Inc. 12 160 SH COM 160 0 0
28.10.2014 Zimmer Holdings Inc. 8 75 SH COM 75 0 0
28.10.2014 Vanguard FTSE Emerging Markets 2114 50678 SH FTSE EMR MKT ETF 50678 0 0
28.10.2014 iShares MSCI EAFE Index Fund 13051 203543 SH MSCI EAFE ETF 203543 0 0
28.10.2014 iShares Russell 2000 Index Fun 3856 35267 SH RUSSELL 2000 ETF 35267 0 0
28.10.2014 Schwab US REIT ETF 6 180 SH US REIT ETF 180 0 0
28.10.2014 SPDR Dow Jones Industrial Aver 74 437 SH UT SER 1 437 0 0
28.10.2014 SPDR S&P 500 ETF 1992 10109 SH TR UNIT 10109 0 0
28.10.2014 SPDR S&P Dividend ETF 13 175 SH S&P DIVID ETF 175 0 0
28.10.2014 Schwab US Broad Martket ETF 15 312 SH US BRD MKT ETF 312 0 0
28.10.2014 Schwab US Dividend Equity ETF 15 400 SH US DIVIDEND EQ 400 0 0
28.10.2014 Schwab US Large Cap ETF 15 311 SH US LRG CAP ETF 311 0 0
28.10.2014 SPDR Barclays High Yield Bond 3803 94640 SH BRC HGH YLD BD 94640 0 0
28.10.2014 SPDR Barclays Short-Term High 5 170 SH SHT TRM HGH YLD 170 0 0
28.10.2014 SPDR Gold Trust 9008 77512 SH GOLD SHS 77512 0 0
28.10.2014 iShares Gold Trust 4 300 SH ISHARES 300 0 0
29.01.2015 3M Co. 9705 59062 SH COM 59062 0 0
29.01.2015 AbbVie Inc. 33 500 SH COM 500 0 0
29.01.2015 Abbott Laboratories 23 500 SH COM 500 0 0
29.01.2015 Acco Brands Corp. 25 2757 SH COM 2757 0 0
29.01.2015 Aflac Inc. 4433 72571 SH COM 72571 0 0
29.01.2015 American Tower Corp. 6378 64520 SH COM 64520 0 0
29.01.2015 Amgen Inc. 9364 58786 SH COM 58786 0 0
29.01.2015 Apple Inc. 31 280 SH COM 280 0 0
29.01.2015 Bank of New York Mellon Corp. 10 241 SH COM 241 0 0
29.01.2015 Baxter International Inc. 4106 56018 SH COM 56018 0 0
29.01.2015 Berkshire Hathaway Inc. Class 111 742 SH CL B NEW 742 0 0
29.01.2015 Boeing Co. 965 7426 SH COM 7426 0 0
29.01.2015 Boston Scientific Corp. 11 806 SH COM 806 0 0
29.01.2015 CVS Health Corp. 13300 138096 SH COM 138096 0 0
29.01.2015 Canadian Natural Resources Ltd 235 7600 SH COM 7600 0 0
29.01.2015 Caterpillar Inc. 13 140 SH COM 140 0 0
29.01.2015 Cenovus Energy Inc. 742 35993 SH COM 35993 0 0
29.01.2015 Chevron Corp. 189 1816 SH COM 1816 0 0
29.01.2015 Colgate-Palmolive Co. 8251 119258 SH COM 119258 0 0
29.01.2015 Comcast Corp. 407 7022 SH CL A 7022 0 0
29.01.2015 ConocoPhillips 4374 63338 SH COM 63338 0 0
29.01.2015 Covidien plc 592 5789 SH SHS 5789 0 0
29.01.2015 Cummins Inc. 202 1400 SH COM 1400 0 0
29.01.2015 Devon Energy Corp. 5 75 SH COM 75 0 0
29.01.2015 EMC Corp. 9008 302892 SH COM 302892 0 0
29.01.2015 Eli Lilly & Co. 474 6875 SH COM 6875 0 0
29.01.2015 EnCana Corp. 2112 152278 SH COM 152278 0 0
29.01.2015 Express Scripts Inc. 1153 13614 SH COM 13614 0 0
29.01.2015 Exxon Mobil Corp. 4681 50634 SH COM 50634 0 0
29.01.2015 Franklin Resources Inc. 395 7140 SH COM 7140 0 0
29.01.2015 Freeport-McMoRan Copper & Gold 3 110 SH CL B 110 0 0
29.01.2015 General Dynamics Corp. 18 134 SH COM 134 0 0
29.01.2015 General Electric Co. 6992 276702 SH COM 276702 0 0
29.01.2015 Goldman Sachs Group Inc. 4054 20916 SH COM 20916 0 0
29.01.2015 Halliburton Co. 11 290 SH COM 290 0 0
29.01.2015 Halyard Health Inc. 407 8944 SH COM 8944 0 0
29.01.2015 Hewlett-Packard Co. 12 300 SH COM 300 0 0
29.01.2015 Home Depot Inc. 6654 63390 SH COM 63390 0 0
29.01.2015 Honeywell International Inc. 11325 113341 SH COM 113341 0 0
29.01.2015 IDEX Corp. 140 1800 SH COM 1800 0 0
29.01.2015 Illinois Tool Works Inc. 19 200 SH COM 200 0 0
29.01.2015 Intel Corp. 8497 234128 SH COM 234128 0 0
29.01.2015 Intuit Inc. 1492 16180 SH COM 16180 0 0
29.01.2015 Johnson & Johnson 7788 74479 SH COM 74479 0 0
29.01.2015 Johnson Controls Inc. 1150 23780 SH COM 23780 0 0
29.01.2015 Kimberly-Clark Corp. 8370 72440 SH COM 72440 0 0
29.01.2015 Kroger Co. 10010 155890 SH COM 155890 0 0
29.01.2015 Lincoln National Corp. 18 315 SH COM 315 0 0
29.01.2015 Linear Technology Corp. 14 300 SH COM 300 0 0
29.01.2015 Macys Inc. 7 100 SH COM 100 0 0
29.01.2015 Mallinckrodt plc 69 692 SH SHS 692 0 0
29.01.2015 Marathon Petroleum Corp. 36 400 SH COM 400 0 0
29.01.2015 Martin Marietta Materials Inc. 77 700 SH COM 700 0 0
29.01.2015 McCormick & Co. Inc. 149 2000 SH COM NON VTG 2000 0 0
29.01.2015 MeadWestvaco Corp. 276 6226 SH COM 6226 0 0
29.01.2015 Medtronic Inc. 7230 100139 SH COM 100139 0 0
29.01.2015 Merck & Co. Inc. 190 3349 SH COM 3349 0 0
29.01.2015 MetLife Inc. 4967 91837 SH COM 91837 0 0
29.01.2015 Microsoft Corp. 10397 223836 SH COM 223836 0 0
29.01.2015 Nike Inc. 308 3200 SH CL B 3200 0 0
29.01.2015 Norfolk Southern Corp. 9 81 SH COM 81 0 0
29.01.2015 PNC Financial Services Group I 4452 48800 SH COM 48800 0 0
29.01.2015 Pentair plc 63 942 SH SHS 942 0 0
29.01.2015 Pepsico Inc. 7954 84115 SH COM 84115 0 0
29.01.2015 Phillips 66 Co. 5883 82050 SH COM 82050 0 0
29.01.2015 Praxair Inc. 7446 57473 SH COM 57473 0 0
29.01.2015 Procter & Gamble Co. 36 400 SH COM 400 0 0
29.01.2015 QEP Resources Inc. 826 40827 SH COM 40827 0 0
29.01.2015 Qualcomm Inc. 4 48 SH COM 48 0 0
29.01.2015 Questar Corp. 4198 166042 SH COM 166042 0 0
29.01.2015 Rayonier Advanced Materials In 20 883 SH COM 883 0 0
29.01.2015 Rayonier Inc. 74 2654 SH COM 2654 0 0
29.01.2015 Schlumberger Ltd. 3461 40520 SH COM 40520 0 0
29.01.2015 St. Jude Medical Inc. 10 155 SH COM 155 0 0
29.01.2015 Stericycle Inc. 4550 34715 SH COM 34715 0 0
29.01.2015 TJX Companies Inc. 6140 89530 SH COM 89530 0 0
29.01.2015 Teva Pharmaceutical Industries 3128 54395 SH ADR 54395 0 0
29.01.2015 Texas Instruments Inc. 3870 72390 SH COM 72390 0 0
29.01.2015 The ADT Corporation Co. 71 1961 SH COM 1961 0 0
29.01.2015 The Walt Disney Co. 7779 82589 SH COM DISNEY 82589 0 0
29.01.2015 Transocean Ltd. 40 2205 SH REG SHS 2205 0 0
29.01.2015 Tyco International Ltd. 179 4071 SH SHS 4071 0 0
29.01.2015 U.S. Bancorp 6008 133665 SH COM NEW 133665 0 0
29.01.2015 Union Pacific Corp. 10363 86992 SH COM 86992 0 0
29.01.2015 United Technologies Corp. 9098 79115 SH COM 79115 0 0
29.01.2015 VF Corp. 9188 122670 SH COM 122670 0 0
29.01.2015 Valero Energy Corp. 5 110 SH COM 110 0 0
29.01.2015 Vectren Corp. 46 1000 SH COM 1000 0 0
29.01.2015 W.R. Berkley Corp. 3613 70480 SH COM 70480 0 0
29.01.2015 Wal-Mart Stores Inc. 16 185 SH COM 185 0 0
29.01.2015 Wells Fargo & Co. 7152 130471 SH COM 130471 0 0
29.01.2015 Yum Brands Inc. 12 160 SH COM 160 0 0
29.01.2015 Zimmer Holdings Inc. 9 75 SH COM 75 0 0
29.01.2015 American International Group I 0 3 SH *W EXP 01/19/202 3 0 0
29.01.2015 Vanguard FTSE Emerging Markets 2035 50858 SH FTSE EMR MKT ETF 50858 0 0
29.01.2015 iShares MSCI EAFE Index Fund 12511 205643 SH MSCI EAFE ETF 205643 0 0
29.01.2015 iShares Russell 2000 Index Fun 4349 36357 SH RUSSELL 2000 ETF 36357 0 0
29.01.2015 iShares Russell 2000 Growth In 10 70 SH RUS 2000 GRW ETF 70 0 0
29.01.2015 SPDR Dow Jones Industrial Aver 78 437 SH UT SER 1 437 0 0
29.01.2015 SPDR S&P 500 ETF 1821 8859 SH TR UNIT 8859 0 0
29.01.2015 SPDR S&P Dividend ETF 14 175 SH S&P DIVID ETF 175 0 0
29.01.2015 Schwab US Broad Martket ETF 16 312 SH US BRD MKT ETF 312 0 0
29.01.2015 Schwab US Dividend Equity ETF 16 400 SH US DIVIDEND EQ 400 0 0
29.01.2015 Schwab US Large Cap ETF 15 311 SH US LRG CAP ETF 311 0 0
29.01.2015 SPDR Barclays High Yield Bond 3490 90390 SH BRC HGH YLD BD 90390 0 0
29.01.2015 SPDR Barclays Short-Term High 1640 56745 SH SHT TRM HGH YLD 56745 0 0
29.01.2015 SPDR Gold Trust 8782 77322 SH GOLD SHS 77322 0 0
29.01.2015 iShares Gold Trust 3 300 SH ISHARES 300 0 0
15.04.2015 3M Co. 9887 59942 SH COM 59942 0 0
15.04.2015 Aflac Inc. 4575 71471 SH COM 71471 0 0
15.04.2015 American Tower Corp. 6243 66310 SH COM 66310 0 0
15.04.2015 Amgen Inc. 9701 60686 SH COM 60686 0 0
15.04.2015 Baxter International Inc. 3883 56683 SH COM 56683 0 0
15.04.2015 Boeing Co. 1114 7426 SH COM 7426 0 0
15.04.2015 CVS Health Corp. 14372 139251 SH COM 139251 0 0
15.04.2015 Canadian Natural Resources Ltd 233 7600 SH COM 7600 0 0
15.04.2015 Cenovus Energy Inc. 604 35773 SH COM 35773 0 0
15.04.2015 Colgate-Palmolive Co. 8251 118998 SH COM 118998 0 0
15.04.2015 Comcast Corp. 379 6714 SH CL A 6714 0 0
15.04.2015 ConocoPhillips 4095 65768 SH COM 65768 0 0
15.04.2015 EMC Corp. 7904 309232 SH COM 309232 0 0
15.04.2015 Eli Lilly & Co. 426 5866 SH COM 5866 0 0
15.04.2015 EnCana Corp. 1737 155748 SH COM 155748 0 0
15.04.2015 Express Scripts Inc. 1740 20054 SH COM 20054 0 0
15.04.2015 Exxon Mobil Corp. 4460 52469 SH COM 52469 0 0
15.04.2015 Fidelity National Financial In 4300 116980 SH FNF GROUP COM 116980 0 0
15.04.2015 Franklin Resources Inc. 366 7140 SH COM 7140 0 0
15.04.2015 General Electric Co. 7018 282855 SH COM 282855 0 0
15.04.2015 Goldman Sachs Group Inc. 4108 21856 SH COM 21856 0 0
15.04.2015 Halyard Health Inc. 443 9007 SH COM 9007 0 0
15.04.2015 Home Depot Inc. 7311 64350 SH COM 64350 0 0
15.04.2015 Honeywell International Inc. 11985 114901 SH COM 114901 0 0
15.04.2015 Intel Corp. 7570 242076 SH COM 242076 0 0
15.04.2015 Johnson & Johnson 7756 77099 SH COM 77099 0 0
15.04.2015 Johnson Controls Inc. 1259 24960 SH COM 24960 0 0
15.04.2015 Kimberly-Clark Corp. 7872 73490 SH COM 73490 0 0
15.04.2015 Kroger Co. 12154 158540 SH COM 158540 0 0
15.04.2015 Medtronic plc 8581 110029 SH SHS 110029 0 0
15.04.2015 MetLife Inc. 4777 94497 SH COM 94497 0 0
15.04.2015 Microsoft Corp. 9341 229756 SH COM 229756 0 0
15.04.2015 Nike Inc. 321 3200 SH CL B 3200 0 0
15.04.2015 Pepsico Inc. 7950 83145 SH COM 83145 0 0
15.04.2015 Phillips 66 Co. 6585 83780 SH COM 83780 0 0
15.04.2015 Praxair Inc. 7116 58938 SH COM 58938 0 0
15.04.2015 Procter & Gamble Co. 254 3100 SH COM 3100 0 0
15.04.2015 QEP Resources Inc. 842 40367 SH COM 40367 0 0
15.04.2015 Questar Corp. 4275 179172 SH COM 179172 0 0
15.04.2015 Schlumberger Ltd. 3465 41530 SH COM 41530 0 0
15.04.2015 Stericycle Inc. 4930 35105 SH COM 35105 0 0
15.04.2015 TJX Companies Inc. 6632 94670 SH COM 94670 0 0
15.04.2015 Teva Pharmaceutical Industries 3324 53355 SH ADR 53355 0 0
15.04.2015 Texas Instruments Inc. 4569 79890 SH COM 79890 0 0
15.04.2015 The Walt Disney Co. 8633 82309 SH COM DISNEY 82309 0 0
15.04.2015 Union Pacific Corp. 9543 88112 SH COM 88112 0 0
15.04.2015 United Technologies Corp. 9442 80565 SH COM 80565 0 0
15.04.2015 VF Corp. 9475 125810 SH COM 125810 0 0
15.04.2015 W.R. Berkley Corp. 3909 77390 SH COM 77390 0 0
15.04.2015 Wells Fargo & Co. 7468 137273 SH COM 137273 0 0
15.04.2015 Vanguard FTSE Emerging Markets 2144 52458 SH FTSE EMR MKT ETF 52458 0 0
15.04.2015 iShares MSCI EAFE Index Fund 23855 371743 SH MSCI EAFE ETF 371743 0 0
15.04.2015 iShares Russell 2000 Index Fun 4686 37677 SH RUSSELL 2000 ETF 37677 0 0
15.04.2015 SPDR S&P 500 ETF 1697 8221 SH TR UNIT 8221 0 0
15.04.2015 SPDR Barclays High Yield Bond 3744 95470 SH BRC HGH YLD BD 95470 0 0
15.04.2015 SPDR Barclays Short-Term High 1670 57205 SH SHT TRM HGH YLD 57205 0 0
15.04.2015 SPDR Gold Trust 8982 79022 SH GOLD SHS 79022 0 0
20.07.2015 3M Co. 9278 60132 SH COM 60132 0 0
20.07.2015 Aflac Inc. 4301 69141 SH COM 69141 0 0
20.07.2015 American Tower Corp. 6285 67370 SH COM 67370 0 0
20.07.2015 Amgen Inc. 9406 61271 SH COM 61271 0 0
20.07.2015 Baxter International Inc. 3971 56783 SH COM 56783 0 0
20.07.2015 Boeing Co. 1030 7426 SH COM 7426 0 0
20.07.2015 CVS Health Corp. 12483 119018 SH COM 119018 0 0
20.07.2015 Canadian Natural Resources Ltd 206 7600 SH COM 7600 0 0
20.07.2015 Cenovus Energy Inc. 564 35248 SH COM 35248 0 0
20.07.2015 Colgate-Palmolive Co. 7668 117228 SH COM 117228 0 0
20.07.2015 Comcast Corp. 404 6714 SH CL A 6714 0 0
20.07.2015 ConocoPhillips 4073 66318 SH COM 66318 0 0
20.07.2015 EMC Corp. 8190 310332 SH COM 310332 0 0
20.07.2015 Eli Lilly & Co. 481 5766 SH COM 5766 0 0
20.07.2015 EnCana Corp. 1760 159678 SH COM 159678 0 0
20.07.2015 Express Scripts Inc. 1841 20704 SH COM 20704 0 0
20.07.2015 Exxon Mobil Corp. 4347 52249 SH COM 52249 0 0
20.07.2015 Fidelity National Financial In 4331 117090 SH FNF GROUP COM 117090 0 0
20.07.2015 Franklin Resources Inc. 350 7140 SH COM 7140 0 0
20.07.2015 General Electric Co. 7485 281725 SH COM 281725 0 0
20.07.2015 Goldman Sachs Group Inc. 4672 22376 SH COM 22376 0 0
20.07.2015 Halyard Health Inc. 365 9007 SH COM 9007 0 0
20.07.2015 Home Depot Inc. 7193 64730 SH COM 64730 0 0
20.07.2015 Honeywell International Inc. 11727 115001 SH COM 115001 0 0
20.07.2015 Intel Corp. 7349 241626 SH COM 241626 0 0
20.07.2015 Johnson & Johnson 7461 76559 SH COM 76559 0 0
20.07.2015 Johnson Controls Inc. 1119 22590 SH COM 22590 0 0
20.07.2015 Kimberly-Clark Corp. 7797 73580 SH COM 73580 0 0
20.07.2015 Kroger Co. 11480 158320 SH COM 158320 0 0
20.07.2015 Medtronic plc 8347 112648 SH SHS 112648 0 0
20.07.2015 MetLife Inc. 5335 95277 SH COM 95277 0 0
20.07.2015 Microsoft Corp. 10237 231876 SH COM 231876 0 0
20.07.2015 Nike Inc. 346 3200 SH CL B 3200 0 0
20.07.2015 Pepsico Inc. 7590 81318 SH COM 81318 0 0
20.07.2015 Phillips 66 Co. 6830 84780 SH COM 84780 0 0
20.07.2015 Praxair Inc. 7089 59298 SH COM 59298 0 0
20.07.2015 QEP Resources Inc. 747 40367 SH COM 40367 0 0
20.07.2015 Questar Corp. 3872 185192 SH COM 185192 0 0
20.07.2015 Schlumberger Ltd. 3614 41930 SH COM 41930 0 0
20.07.2015 Stericycle Inc. 3604 26915 SH COM 26915 0 0
20.07.2015 TJX Companies Inc. 6436 97260 SH COM 97260 0 0
20.07.2015 Teva Pharmaceutical Industries 3059 51765 SH ADR 51765 0 0
20.07.2015 Texas Instruments Inc. 4232 82160 SH COM 82160 0 0
20.07.2015 The Walt Disney Co. 9489 83132 SH COM DISNEY 83132 0 0
20.07.2015 Union Pacific Corp. 8296 86992 SH COM 86992 0 0
20.07.2015 United Technologies Corp. 8847 79755 SH COM 79755 0 0
20.07.2015 VF Corp. 8821 126490 SH COM 126490 0 0
20.07.2015 W.R. Berkley Corp. 3250 62590 SH COM 62590 0 0
20.07.2015 Wells Fargo & Co. 7944 141253 SH COM 141253 0 0
20.07.2015 Vanguard FTSE Emerging Markets 2156 52738 SH FTSE EMR MKT ETF 52738 0 0
20.07.2015 iShares MSCI EAFE Index Fund 23822 375203 SH MSCI EAFE ETF 375203 0 0
20.07.2015 iShares Russell 2000 Index Fun 4743 37987 SH RUSSELL 2000 ETF 37987 0 0
20.07.2015 SPDR S&P 500 ETF 1738 8441 SH TR UNIT 8441 0 0
20.07.2015 SPDR Barclays High Yield Bond 3677 95690 SH BRC HGH YLD BD 95690 0 0
20.07.2015 SPDR Barclays Short-Term High 1661 57465 SH SHT TRM HGH YLD 57465 0 0
20.07.2015 SPDR Gold Trust 8825 78535 SH GOLD SHS 78535 0 0
26.10.2015 3M Co. 8656 61057 SH COM 61057 0 0
26.10.2015 Aflac Inc. 3914 67331 SH COM 67331 0 0
26.10.2015 American Tower Corp. 6125 69620 SH COM 69620 0 0
26.10.2015 Amgen Inc. 8616 62291 SH COM 62291 0 0
26.10.2015 Baxalta Inc. 1689 53593 SH COM 53593 0 0
26.10.2015 Baxter International Inc. 1901 57873 SH COM 57873 0 0
26.10.2015 Boeing Co. 972 7426 SH COM 7426 0 0
26.10.2015 CVS Health Corp. 11594 120168 SH COM 120168 0 0
26.10.2015 Cenovus Energy Inc. 523 34468 SH COM 34468 0 0
26.10.2015 Colgate-Palmolive Co. 4667 73538 SH COM 73538 0 0
26.10.2015 Comcast Corp. 382 6714 SH CL A 6714 0 0
26.10.2015 ConocoPhillips 3197 66658 SH COM 66658 0 0
26.10.2015 EMC Corp. 7697 318602 SH COM 318602 0 0
26.10.2015 Eli Lilly & Co. 483 5766 SH COM 5766 0 0
26.10.2015 Express Scripts Inc. 1875 23154 SH COM 23154 0 0
26.10.2015 Exxon Mobil Corp. 3972 53419 SH COM 53419 0 0
26.10.2015 Facebook Inc. 291 3238 SH CL A 3238 0 0
26.10.2015 Fidelity National Financial In 4280 120660 SH FNF GROUP COM 120660 0 0
26.10.2015 Franklin Resources Inc. 266 7140 SH COM 7140 0 0
26.10.2015 General Electric Co. 7205 285675 SH COM 285675 0 0
26.10.2015 Goldman Sachs Group Inc. 3971 22856 SH COM 22856 0 0
26.10.2015 Halyard Health Inc. 255 8982 SH COM 8982 0 0
26.10.2015 Home Depot Inc. 7632 66080 SH COM 66080 0 0
26.10.2015 Honeywell International Inc. 11017 116351 SH COM 116351 0 0
26.10.2015 Johnson & Johnson 7293 78129 SH COM 78129 0 0
26.10.2015 Johnson Controls Inc. 931 22520 SH COM 22520 0 0
26.10.2015 Kimberly-Clark Corp. 8068 73990 SH COM 73990 0 0
26.10.2015 Kroger Co. 11534 319770 SH COM 319770 0 0
26.10.2015 Medtronic plc 7728 115448 SH SHS 115448 0 0
26.10.2015 MetLife Inc. 4539 96277 SH COM 96277 0 0
26.10.2015 Microsoft Corp. 10512 237506 SH COM 237506 0 0
26.10.2015 Nike Inc. 394 3200 SH CL B 3200 0 0
26.10.2015 Pepsico Inc. 7556 80122 SH COM 80122 0 0
26.10.2015 Phillips 66 Co. 6674 86860 SH COM 86860 0 0
26.10.2015 Praxair Inc. 6063 59518 SH COM 59518 0 0
26.10.2015 QEP Resources Inc. 448 35747 SH COM 35747 0 0
26.10.2015 Questar Corp. 3460 178237 SH COM 178237 0 0
26.10.2015 Schlumberger Ltd. 2995 43430 SH COM 43430 0 0
26.10.2015 Stericycle Inc. 3805 27315 SH COM 27315 0 0
26.10.2015 TJX Companies Inc. 7210 100950 SH COM 100950 0 0
26.10.2015 Teva Pharmaceutical Industries 2884 51085 SH ADR 51085 0 0
26.10.2015 Texas Instruments Inc. 4334 87530 SH COM 87530 0 0
26.10.2015 The Walt Disney Co. 8631 84451 SH COM DISNEY 84451 0 0
26.10.2015 Union Pacific Corp. 7779 87992 SH COM 87992 0 0
26.10.2015 VF Corp. 8885 130260 SH COM 130260 0 0
26.10.2015 Visa Inc. 347 4979 SH COM CL A 4979 0 0
26.10.2015 W.R. Berkley Corp. 3541 65120 SH COM 65120 0 0
26.10.2015 Wells Fargo & Co. 7481 145683 SH COM 145683 0 0
26.10.2015 Vanguard FTSE Emerging Markets 1746 52768 SH FTSE EMR MKT ETF 52768 0 0
26.10.2015 iShares MSCI EAFE Index Fund 21727 379053 SH MSCI EAFE ETF 379053 0 0
26.10.2015 iShares Russell 2000 Index Fun 4213 38577 SH RUSSELL 2000 ETF 38577 0 0
26.10.2015 iShares S&P Mid Cap 400 Growth 355 2260 SH S&P MC 400GR ETF 2260 0 0
26.10.2015 SPDR S&P 500 ETF 1884 9832 SH TR UNIT 9832 0 0
26.10.2015 iShares S&P 500 Growth Index E 464 4300 SH S&P 500 GRWT ETF 4300 0 0
26.10.2015 SPDR Barclays High Yield Bond 3449 96720 SH BRC HGH YLD BD 96720 0 0
26.10.2015 SPDR Barclays Short-Term High 1604 59525 SH SHT TRM HGH YLD 59525 0 0
26.10.2015 SPDR Gold Trust 8348 78125 SH GOLD SHS 78125 0 0
22.01.2016 3M Co. 9400 62402 SH COM 62402 0 0
22.01.2016 Adobe Systems Inc. 407 4330 SH COM 4330 0 0
22.01.2016 Aflac Inc. 4009 66926 SH COM 66926 0 0
22.01.2016 American Tower Corp. 6928 71460 SH COM 71460 0 0
22.01.2016 Amgen Inc. 10365 63851 SH COM 63851 0 0
22.01.2016 Baxalta Inc. 2091 53563 SH COM 53563 0 0
22.01.2016 Baxter International Inc. 2208 57873 SH COM 57873 0 0
22.01.2016 Boeing Co. 1074 7426 SH COM 7426 0 0
22.01.2016 CVS Health Corp. 11750 120178 SH COM 120178 0 0
22.01.2016 Cenovus Energy Inc. 435 34468 SH COM 34468 0 0
22.01.2016 Colgate-Palmolive Co. 4868 73078 SH COM 73078 0 0
22.01.2016 Comcast Corp. 379 6714 SH CL A 6714 0 0
22.01.2016 ConocoPhillips 3105 66498 SH COM 66498 0 0
22.01.2016 Dominion Resources Inc. 3051 45110 SH COM 45110 0 0
22.01.2016 EMC Corp. 8237 320752 SH COM 320752 0 0
22.01.2016 Eli Lilly & Co. 486 5766 SH COM 5766 0 0
22.01.2016 Express Scripts Inc. 2232 25534 SH COM 25534 0 0
22.01.2016 Exxon Mobil Corp. 4160 53373 SH COM 53373 0 0
22.01.2016 Facebook Inc. 1316 12578 SH CL A 12578 0 0
22.01.2016 Fidelity National Financial In 4377 126240 SH FNF GROUP COM 126240 0 0
22.01.2016 Franklin Resources Inc. 263 7140 SH COM 7140 0 0
22.01.2016 General Electric Co. 9015 289405 SH COM 289405 0 0
22.01.2016 Goldman Sachs Group Inc. 4355 24166 SH COM 24166 0 0
22.01.2016 Halyard Health Inc. 298 8934 SH COM 8934 0 0
22.01.2016 Home Depot Inc. 8840 66840 SH COM 66840 0 0
22.01.2016 Honeywell International Inc. 12267 118446 SH COM 118446 0 0
22.01.2016 Johnson & Johnson 8108 78929 SH COM 78929 0 0
22.01.2016 Johnson Controls Inc. 862 21830 SH COM 21830 0 0
22.01.2016 Kimberly-Clark Corp. 9069 71243 SH COM 71243 0 0
22.01.2016 Kroger Co. 13306 318090 SH COM 318090 0 0
22.01.2016 Medtronic plc 9031 117413 SH SHS 117413 0 0
22.01.2016 MetLife Inc. 4682 97117 SH COM 97117 0 0
22.01.2016 Microsoft Corp. 13288 239506 SH COM 239506 0 0
22.01.2016 Nike Inc. 400 6400 SH CL B 6400 0 0
22.01.2016 Pepsico Inc. 7765 77717 SH COM 77717 0 0
22.01.2016 Phillips 66 Co. 7207 88100 SH COM 88100 0 0
22.01.2016 Praxair Inc. 6041 58998 SH COM 58998 0 0
22.01.2016 QEP Resources Inc. 478 35697 SH COM 35697 0 0
22.01.2016 Questar Corp. 3317 170267 SH COM 170267 0 0
22.01.2016 Schlumberger Ltd. 3054 43780 SH COM 43780 0 0
22.01.2016 Stericycle Inc. 3294 27315 SH COM 27315 0 0
22.01.2016 TJX Companies Inc. 7457 105160 SH COM 105160 0 0
22.01.2016 Teva Pharmaceutical Industries 3345 50965 SH ADR 50965 0 0
22.01.2016 Texas Instruments Inc. 5103 93110 SH COM 93110 0 0
22.01.2016 The Walt Disney Co. 8892 84623 SH COM DISNEY 84623 0 0
22.01.2016 Union Pacific Corp. 6885 88042 SH COM 88042 0 0
22.01.2016 VF Corp. 8554 137410 SH COM 137410 0 0
22.01.2016 Visa Inc. 1570 20249 SH COM CL A 20249 0 0
22.01.2016 W.R. Berkley Corp. 3582 65420 SH COM 65420 0 0
22.01.2016 Wells Fargo & Co. 8132 149593 SH COM 149593 0 0
22.01.2016 Vanguard FTSE Developed Market 12113 329880 SH FTSE DEV MKT ETF 329880 0 0
22.01.2016 Vanguard FTSE Emerging Markets 1721 52608 SH FTSE EMR MKT ETF 52608 0 0
22.01.2016 iShares MSCI EAFE Index ETF 873 14865 SH MSCI EAFE ETF 14865 0 0
22.01.2016 iShares Russell 2000 Index ETF 4480 39777 SH RUSSELL 2000 ETF 39777 0 0
22.01.2016 iShares S&P Mid Cap 400 Growth 338 2100 SH S&P MC 400GR ETF 2100 0 0
22.01.2016 SPDR S&P 500 ETF 1657 8129 SH TR UNIT 8129 0 0
22.01.2016 iShares S&P 500 Growth Index E 498 4300 SH S&P 500 GRWT ETF 4300 0 0
22.01.2016 SPDR Barclays Short-Term High 1509 58755 SH SHT TRM HGH YLD 58755 0 0
22.01.2016 SPDR Gold Trust 7872 77585 SH GOLD SHS 77585 0 0
22.01.2016 iShares Gold Trust 114 11120 SH ISHARES 11120 0 0
05.05.2016 3M Co. 10626 63772 SH COM 63772 0 0
05.05.2016 Adobe Systems Inc. 1471 15680 SH COM 15680 0 0
05.05.2016 Aflac Inc. 4185 66276 SH COM 66276 0 0
05.05.2016 Amazon.com Inc. 551 928 SH COM 928 0 0
05.05.2016 American Tower Corp. 7613 74370 SH COM 74370 0 0
05.05.2016 Amgen Inc. 9776 65201 SH COM 65201 0 0
05.05.2016 Baxalta Inc. 2150 53223 SH COM 53223 0 0
05.05.2016 Baxter International Inc. 2367 57623 SH COM 57623 0 0
05.05.2016 Boeing Co. 943 7426 SH COM 7426 0 0
05.05.2016 CVS Health Corp. 12626 121721 SH COM 121721 0 0
05.05.2016 Canadian Natural Resources Ltd 205 7600 SH COM 7600 0 0
05.05.2016 Cenovus Energy Inc. 436 33508 SH COM 33508 0 0
05.05.2016 Colgate-Palmolive Co. 4969 70338 SH COM 70338 0 0
05.05.2016 Comcast Corp. 403 6603 SH CL A 6603 0 0
05.05.2016 ConocoPhillips 2688 66738 SH COM 66738 0 0
05.05.2016 Dominion Resources Inc. 3454 45980 SH COM 45980 0 0
05.05.2016 EMC Corp. 8548 320732 SH COM 320732 0 0
05.05.2016 Eli Lilly & Co. 415 5766 SH COM 5766 0 0
05.05.2016 Express Scripts Inc. 1904 27724 SH COM 27724 0 0
05.05.2016 Exxon Mobil Corp. 4560 54549 SH COM 54549 0 0
05.05.2016 Facebook Inc. 2072 18158 SH CL A 18158 0 0
05.05.2016 Fidelity National Financial In 4482 132200 SH FNF GROUP COM 132200 0 0
05.05.2016 General Electric Co. 9576 301235 SH COM 301235 0 0
05.05.2016 Goldman Sachs Group Inc. 3993 25436 SH COM 25436 0 0
05.05.2016 Halyard Health Inc. 256 8901 SH COM 8901 0 0
05.05.2016 Home Depot Inc. 9287 69605 SH COM 69605 0 0
05.05.2016 Honeywell International Inc. 13575 121152 SH COM 121152 0 0
05.05.2016 Johnson & Johnson 8766 81019 SH COM 81019 0 0
05.05.2016 Kimberly-Clark Corp. 9125 67840 SH COM 67840 0 0
05.05.2016 Kroger Co. 12241 320020 SH COM 320020 0 0
05.05.2016 Medtronic plc 9327 124365 SH SHS 124365 0 0
05.05.2016 MetLife Inc. 4279 97377 SH COM 97377 0 0
05.05.2016 Microsoft Corp. 13545 245246 SH COM 245246 0 0
05.05.2016 Nike Inc. 393 6400 SH CL B 6400 0 0
05.05.2016 Pepsico Inc. 7942 77497 SH COM 77497 0 0
05.05.2016 Phillips 66 Co. 7740 89385 SH COM 89385 0 0
05.05.2016 Praxair Inc. 6778 59218 SH COM 59218 0 0
05.05.2016 QEP Resources Inc. 490 34747 SH COM 34747 0 0
05.05.2016 Questar Corp. 4131 166572 SH COM 166572 0 0
05.05.2016 Schlumberger Ltd. 3290 44610 SH COM 44610 0 0
05.05.2016 Stericycle Inc. 3468 27485 SH COM 27485 0 0
05.05.2016 TJX Companies Inc. 8568 109360 SH COM 109360 0 0
05.05.2016 Teva Pharmaceutical Industries 2681 50095 SH ADR 50095 0 0
05.05.2016 Texas Instruments Inc. 5554 96720 SH COM 96720 0 0
05.05.2016 The Walt Disney Co. 8381 84393 SH COM DISNEY 84393 0 0
05.05.2016 Union Pacific Corp. 7005 88062 SH COM 88062 0 0
05.05.2016 VF Corp. 9140 141130 SH COM 141130 0 0
05.05.2016 Visa Inc. 1865 24389 SH COM CL A 24389 0 0
05.05.2016 W.R. Berkley Corp. 3672 65340 SH COM 65340 0 0
05.05.2016 Wells Fargo & Co. 7500 155093 SH COM 155093 0 0
05.05.2016 Vanguard FTSE Developed Market 12741 355100 SH FTSE DEV MKT ETF 355100 0 0
05.05.2016 Vanguard FTSE Emerging Markets 1814 52463 SH FTSE EMR MKT ETF 52463 0 0
05.05.2016 iShares Core S&P Small Cap ETF 6263 55640 SH CORE S&P SCP ETF 55640 0 0
05.05.2016 iShares S&P Mid Cap 400 Growth 341 2100 SH S&P MC 400GR ETF 2100 0 0
05.05.2016 SPDR S&P 500 ETF 1808 8795 SH TR UNIT 8795 0 0
05.05.2016 iShares S&P 500 Growth Index E 498 4300 SH S&P 500 GRWT ETF 4300 0 0
05.05.2016 SPDR Barclays Short-Term High 1512 58575 SH SHT TRM HGH YLD 58575 0 0
05.05.2016 SPDR Gold Trust 9054 76965 SH GOLD SHS 76965 0 0
05.05.2016 iShares Gold Trust 2575 216760 SH ISHARES 216760 0 0
03.08.2016 3M Co. 11268 64343 SH COM 64343 0 0
03.08.2016 Adobe Systems Inc. 2060 21510 SH COM 21510 0 0
03.08.2016 Aflac Inc. 4761 65984 SH COM 65984 0 0
03.08.2016 Amazon.com Inc. 664 928 SH COM 928 0 0
03.08.2016 American Tower Corp. 8623 75900 SH COM 75900 0 0
03.08.2016 Amgen Inc. 10080 66251 SH COM 66251 0 0
03.08.2016 Baxter International Inc. 2365 52304 SH COM 52304 0 0
03.08.2016 Berkshire Hathaway Inc. Class 217 1 SH CL A 1 0 0
03.08.2016 Boeing Co. 964 7426 SH COM 7426 0 0
03.08.2016 CVS Health Corp. 11689 122091 SH COM 122091 0 0
03.08.2016 Canadian Natural Resources Ltd 234 7600 SH COM 7600 0 0
03.08.2016 Cenovus Energy Inc. 454 32838 SH COM 32838 0 0
03.08.2016 Colgate-Palmolive Co. 5131 70098 SH COM 70098 0 0
03.08.2016 Comcast Corp. 430 6603 SH CL A 6603 0 0
03.08.2016 ConocoPhillips 2966 68024 SH COM 68024 0 0
03.08.2016 Dominion Resources Inc. 3637 46670 SH COM 46670 0 0
03.08.2016 EMC Corp. 8846 325595 SH COM 325595 0 0
03.08.2016 Eli Lilly & Co. 454 5766 SH COM 5766 0 0
03.08.2016 Express Scripts Inc. 2226 29364 SH COM 29364 0 0
03.08.2016 Exxon Mobil Corp. 5236 55863 SH COM 55863 0 0
03.08.2016 Facebook Inc. 2567 22458 SH CL A 22458 0 0
03.08.2016 Fidelity National Financial In 5215 139080 SH FNF GROUP COM 139080 0 0
03.08.2016 General Electric Co. 9745 309576 SH COM 309576 0 0
03.08.2016 Goldman Sachs Group Inc. 3880 26116 SH COM 26116 0 0
03.08.2016 Halyard Health Inc. 289 8894 SH COM 8894 0 0
03.08.2016 Home Depot Inc. 9281 72685 SH COM 72685 0 0
03.08.2016 Honeywell International Inc. 14391 123717 SH COM 123717 0 0
03.08.2016 Johnson & Johnson 10096 83228 SH COM 83228 0 0
03.08.2016 Kimberly-Clark Corp. 9189 66840 SH COM 66840 0 0
03.08.2016 Kroger Co. 11838 321780 SH COM 321780 0 0
03.08.2016 McCormick & Co. Inc. 213 2000 SH COM NON VTG 2000 0 0
03.08.2016 McKesson Corp. 5435 29120 SH COM 29120 0 0
03.08.2016 Medtronic plc 11261 129782 SH SHS 129782 0 0
03.08.2016 MetLife Inc. 3899 97894 SH COM 97894 0 0
03.08.2016 Microsoft Corp. 12725 248684 SH COM 248684 0 0
03.08.2016 Nike Inc. 353 6400 SH CL B 6400 0 0
03.08.2016 Pepsico Inc. 8141 76850 SH COM 76850 0 0
03.08.2016 Phillips 66 Co. 7227 91085 SH COM 91085 0 0
03.08.2016 Praxair Inc. 6627 58967 SH COM 58967 0 0
03.08.2016 QEP Resources Inc. 596 33807 SH COM 33807 0 0
03.08.2016 Questar Corp. 4221 166362 SH COM 166362 0 0
03.08.2016 Schlumberger Ltd. 3584 45320 SH COM 45320 0 0
03.08.2016 Stericycle Inc. 2861 27475 SH COM 27475 0 0
03.08.2016 TJX Companies Inc. 8660 112137 SH COM 112137 0 0
03.08.2016 Teva Pharmaceutical Industries 2507 49905 SH ADR 49905 0 0
03.08.2016 Texas Instruments Inc. 6268 100055 SH COM 100055 0 0
03.08.2016 The Walt Disney Co. 8319 85047 SH COM DISNEY 85047 0 0
03.08.2016 Union Pacific Corp. 7781 89182 SH COM 89182 0 0
03.08.2016 VF Corp. 8834 143670 SH COM 143670 0 0
03.08.2016 Visa Inc. 2264 30519 SH COM CL A 30519 0 0
03.08.2016 W.R. Berkley Corp. 3971 66270 SH COM 66270 0 0
03.08.2016 Wells Fargo & Co. 7508 158633 SH COM 158633 0 0
03.08.2016 Vanguard FTSE Developed Market 12757 360770 SH FTSE DEV MKT ETF 360770 0 0
03.08.2016 Vanguard FTSE Emerging Markets 1899 53890 SH FTSE EMR MKT ETF 53890 0 0
03.08.2016 iShares Core S&P Small Cap ETF 6573 56560 SH CORE S&P SCP ETF 56560 0 0
03.08.2016 iShares S&P Mid Cap 400 Growth 355 2100 SH S&P MC 400GR ETF 2100 0 0
03.08.2016 SPDR S&P 500 ETF 1886 9005 SH TR UNIT 9005 0 0
03.08.2016 iShares S&P 500 Growth Index E 501 4300 SH S&P 500 GRWT ETF 4300 0 0
03.08.2016 SPDR Barclays Short-Term High 1601 59315 SH SHT TRM HGH YLD 59315 0 0
03.08.2016 SPDR Gold Trust 9709 76772 SH GOLD SHS 76772 0 0
03.08.2016 iShares Gold Trust 3068 240440 SH ISHARES 240440 0 0
21.10.2016 3M Co. 11351 64413 SH COM 64413 0 0
21.10.2016 Adobe Systems Inc. 2962 27290 SH COM 27290 0 0
21.10.2016 Aflac Inc. 4610 64144 SH COM 64144 0 0
21.10.2016 Alphabet Inc. Class C 5598 7202 SH CAP STK CL C 7202 0 0
21.10.2016 Amazon.com Inc. 1045 1248 SH COM 1248 0 0
21.10.2016 American Tower Corp. 8946 78940 SH COM 78940 0 0
21.10.2016 Amgen Inc. 10942 65598 SH COM 65598 0 0
21.10.2016 Baxter International Inc. 2462 51726 SH COM 51726 0 0
21.10.2016 Boeing Co. 926 7026 SH COM 7026 0 0
21.10.2016 CVS Health Corp. 10700 120242 SH COM 120242 0 0
21.10.2016 Canadian Natural Resources Ltd 244 7600 SH COM 7600 0 0
21.10.2016 Cenovus Energy Inc. 453 31518 SH COM 31518 0 0
21.10.2016 Colgate-Palmolive Co. 4989 67293 SH COM 67293 0 0
21.10.2016 Comcast Corp. 451 6803 SH CL A 6803 0 0
21.10.2016 ConocoPhillips 3074 70714 SH COM 70714 0 0
21.10.2016 Dell Technologies Inc. Class V 1708 35736 SH COM CL V 35736 0 0
21.10.2016 Dominion Resources Inc. 3457 46545 SH COM 46545 0 0
21.10.2016 Eli Lilly & Co. 447 5566 SH COM 5566 0 0
21.10.2016 Exxon Mobil Corp. 4890 56023 SH COM 56023 0 0
21.10.2016 Facebook Inc. 3675 28648 SH CL A 28648 0 0
21.10.2016 Fidelity National Financial In 5198 140830 SH FNF GROUP COM 140830 0 0
21.10.2016 General Electric Co. 9339 315296 SH COM 315296 0 0
21.10.2016 Goldman Sachs Group Inc. 4333 26866 SH COM 26866 0 0
21.10.2016 Halyard Health Inc. 303 8735 SH COM 8735 0 0
21.10.2016 Home Depot Inc. 9541 74145 SH COM 74145 0 0
21.10.2016 Honeywell International Inc. 14433 123792 SH COM 123792 0 0
21.10.2016 Johnson & Johnson 9880 83638 SH COM 83638 0 0
21.10.2016 Kimberly-Clark Corp. 8282 65659 SH COM 65659 0 0
21.10.2016 Kroger Co. 9352 315088 SH COM 315088 0 0
21.10.2016 McCormick & Co. Inc. 200 2000 SH COM NON VTG 2000 0 0
21.10.2016 McKesson Corp. 4836 29000 SH COM 29000 0 0
21.10.2016 Medtronic plc 11292 130694 SH SHS 130694 0 0
21.10.2016 MetLife Inc. 4302 96824 SH COM 96824 0 0
21.10.2016 Microsoft Corp. 14104 244856 SH COM 244856 0 0
21.10.2016 Nike Inc. 337 6400 SH CL B 6400 0 0
21.10.2016 Pepsico Inc. 8180 75200 SH COM 75200 0 0
21.10.2016 Phillips 66 Co. 7316 90825 SH COM 90825 0 0
21.10.2016 Praxair Inc. 7067 58487 SH COM 58487 0 0
21.10.2016 QEP Resources Inc. 621 31797 SH COM 31797 0 0
21.10.2016 Schlumberger Ltd. 3658 46510 SH COM 46510 0 0
21.10.2016 TJX Companies Inc. 8508 113777 SH COM 113777 0 0
21.10.2016 Teva Pharmaceutical Industries 2181 47395 SH ADR 47395 0 0
21.10.2016 Texas Instruments Inc. 7153 101925 SH COM 101925 0 0
21.10.2016 The Walt Disney Co. 7725 83187 SH COM DISNEY 83187 0 0
21.10.2016 Union Pacific Corp. 8536 87522 SH COM 87522 0 0
21.10.2016 VF Corp. 8107 144635 SH COM 144635 0 0
21.10.2016 Visa Inc. 3288 39759 SH COM CL A 39759 0 0
21.10.2016 W.R. Berkley Corp. 3886 67280 SH COM 67280 0 0
21.10.2016 Vanguard FTSE Developed Market 13378 357600 SH FTSE DEV MKT ETF 357600 0 0
21.10.2016 Vanguard FTSE Emerging Markets 2244 59620 SH FTSE EMR MKT ETF 59620 0 0
21.10.2016 iShares Core S&P Small Cap ETF 6983 56250 SH CORE S&P SCP ETF 56250 0 0
21.10.2016 iShares S&P Mid Cap 400 Growth 367 2100 SH S&P MC 400GR ETF 2100 0 0
21.10.2016 SPDR S&P 500 ETF 1653 7640 SH TR UNIT 7640 0 0
21.10.2016 iShares S&P 500 Growth Index E 523 4300 SH S&P 500 GRWT ETF 4300 0 0
21.10.2016 SPDR Barclays Short-Term High 1666 60155 SH SHT TRM HGH YLD 60155 0 0
21.10.2016 SPDR Gold Trust 9466 75342 SH GOLD SHS 75342 0 0
21.10.2016 iShares Gold Trust 3213 253230 SH ISHARES 253230 0 0
15.02.2017 3M Co. 11538 64613 SH COM 64613 0 0
15.02.2017 Adobe Systems Inc. 2971 28860 SH COM 28860 0 0
15.02.2017 Aflac Inc. 4399 63204 SH COM 63204 0 0
15.02.2017 Alphabet Inc. Class C 5535 7172 SH CAP STK CL C 7172 0 0
15.02.2017 Amazon.com Inc. 1266 1688 SH COM 1688 0 0
15.02.2017 American Tower Corp. 8333 78850 SH COM 78850 0 0
15.02.2017 Amgen Inc. 9620 65798 SH COM 65798 0 0
15.02.2017 Apple Inc. 4903 42331 SH COM 42331 0 0
15.02.2017 Bank of America Corp. 3241 146640 SH COM 146640 0 0
15.02.2017 Baxter International Inc. 2286 51546 SH COM 51546 0 0
15.02.2017 Boeing Co. 1094 7026 SH COM 7026 0 0
15.02.2017 CVS Health Corp. 9358 118593 SH COM 118593 0 0
15.02.2017 Canadian Natural Resources Ltd 242 7600 SH COM 7600 0 0
15.02.2017 Cenovus Energy Inc. 464 30668 SH COM 30668 0 0
15.02.2017 Colgate-Palmolive Co. 4351 66483 SH COM 66483 0 0
15.02.2017 Comcast Corp. 451 6537 SH CL A 6537 0 0
15.02.2017 ConocoPhillips 3784 75464 SH COM 75464 0 0
15.02.2017 Dell Technologies Inc. Class V 1904 34645 SH COM CL V 34645 0 0
15.02.2017 Dominion Resources Inc. 3548 46325 SH COM 46325 0 0
15.02.2017 Eli Lilly & Co. 414 5633 SH COM 5633 0 0
15.02.2017 Exxon Mobil Corp. 5034 55771 SH COM 55771 0 0
15.02.2017 Facebook Inc. 5627 48908 SH CL A 48908 0 0
15.02.2017 Fidelity National Financial In 4764 140270 SH FNF GROUP COM 140270 0 0
15.02.2017 General Electric Co. 10025 317246 SH COM 317246 0 0
15.02.2017 Goldman Sachs Group Inc. 6591 27526 SH COM 27526 0 0
15.02.2017 Halyard Health Inc. 316 8546 SH COM 8546 0 0
15.02.2017 Home Depot Inc. 9971 74365 SH COM 74365 0 0
15.02.2017 Honeywell International Inc. 6518 56260 SH COM 56260 0 0
15.02.2017 Johnson & Johnson 9584 83188 SH COM 83188 0 0
15.02.2017 Kimberly-Clark Corp. 7316 64104 SH COM 64104 0 0
15.02.2017 Kroger Co. 10713 310418 SH COM 310418 0 0
15.02.2017 Medtronic plc 9260 129998 SH SHS 129998 0 0
15.02.2017 MetLife Inc. 5277 97929 SH COM 97929 0 0
15.02.2017 Microsoft Corp. 15062 242386 SH COM 242386 0 0
15.02.2017 Nike Inc. 325 6400 SH CL B 6400 0 0
15.02.2017 Pepsico Inc. 7756 74130 SH COM 74130 0 0
15.02.2017 Phillips 66 Co. 7859 90945 SH COM 90945 0 0
15.02.2017 Praxair Inc. 6812 58127 SH COM 58127 0 0
15.02.2017 QEP Resources Inc. 585 31797 SH COM 31797 0 0
15.02.2017 Schlumberger Ltd. 4137 49280 SH COM 49280 0 0
15.02.2017 TJX Companies Inc. 8716 116011 SH COM 116011 0 0
15.02.2017 Teva Pharmaceutical Industries 857 23640 SH ADR 23640 0 0
15.02.2017 Texas Instruments Inc. 8746 119855 SH COM 119855 0 0
15.02.2017 The Walt Disney Co. 8662 83108 SH COM DISNEY 83108 0 0
15.02.2017 Union Pacific Corp. 9168 88429 SH COM 88429 0 0
15.02.2017 VF Corp. 7654 143475 SH COM 143475 0 0
15.02.2017 Visa Inc. 4072 52189 SH COM CL A 52189 0 0
15.02.2017 W.R. Berkley Corp. 4863 73120 SH COM 73120 0 0
15.02.2017 Vanguard FTSE Developed Market 18532 507179 SH FTSE DEV MKT ETF 507179 0 0
15.02.2017 Vanguard FTSE Emerging Markets 5823 162746 SH FTSE EMR MKT ETF 162746 0 0
15.02.2017 iShares Core S&P Small Cap ETF 13660 99330 SH CORE S&P SCP ETF 99330 0 0
15.02.2017 iShares S&P Mid Cap 400 Growth 383 2100 SH S&P MC 400GR ETF 2100 0 0
15.02.2017 SPDR S&P 500 ETF 1737 7770 SH TR UNIT 7770 0 0
15.02.2017 iShares S&P 500 Growth Index E 524 4300 SH S&P 500 GRWT ETF 4300 0 0
15.02.2017 SPDR Barclays Short-Term High 4736 171105 SH BLOOMBERG SRT TR 171105 0 0
15.02.2017 SPDR Gold Trust 8145 74312 SH GOLD SHS 74312 0 0
15.02.2017 iShares Gold Trust 2804 253030 SH ISHARES 253030 0 0
12.05.2017 3M Co. 12334 64463 SH COM 64463 0 0
12.05.2017 Adobe Systems Inc. 3817 29330 SH COM 29330 0 0
12.05.2017 Aflac Inc. 4550 62834 SH COM 62834 0 0
12.05.2017 Alphabet Inc. Class C 5991 7222 SH CAP STK CL C 7222 0 0
12.05.2017 Amazon.com Inc. 1656 1868 SH COM 1868 0 0
12.05.2017 American Tower Corp. 9554 78610 SH COM 78610 0 0
12.05.2017 Amgen Inc. 10835 66038 SH COM 66038 0 0
12.05.2017 Apple Inc. 6227 43347 SH COM 43347 0 0
12.05.2017 Bank of America Corp. 3479 147480 SH COM 147480 0 0
12.05.2017 Bank of New York Mellon Corp. 6169 130611 SH COM 130611 0 0
12.05.2017 Baxter International Inc. 2687 51806 SH COM 51806 0 0
12.05.2017 Boeing Co. 1243 7026 SH COM 7026 0 0
12.05.2017 CVS Health Corp. 9289 118333 SH COM 118333 0 0
12.05.2017 Canadian Natural Resources Ltd 249 7600 SH COM 7600 0 0
12.05.2017 Cenovus Energy Inc. 340 30098 SH COM 30098 0 0
12.05.2017 Citizens Financial Group Inc. 4304 124570 SH COM 124570 0 0
12.05.2017 Colgate-Palmolive Co. 4878 66653 SH COM 66653 0 0
12.05.2017 Comcast Corp. 491 13074 SH CL A 13074 0 0
12.05.2017 ConocoPhillips 4000 80207 SH COM 80207 0 0
12.05.2017 Cummins Inc. 212 1400 SH COM 1400 0 0
12.05.2017 Dell Technologies Inc. Class V 2176 33958 SH COM CL V 33958 0 0
12.05.2017 Dominion Resources Inc. 3601 46425 SH COM 46425 0 0
12.05.2017 Eli Lilly & Co. 511 6066 SH COM 6066 0 0
12.05.2017 Exxon Mobil Corp. 4574 55771 SH COM 55771 0 0
12.05.2017 Facebook Inc. 7709 54268 SH CL A 54268 0 0
12.05.2017 Fidelity National Financial In 5503 141310 SH FNF GROUP COM 141310 0 0
12.05.2017 General Electric Co. 9475 317946 SH COM 317946 0 0
12.05.2017 Goldman Sachs Group Inc. 6795 29581 SH COM 29581 0 0
12.05.2017 Halyard Health Inc. 324 8512 SH COM 8512 0 0
12.05.2017 Home Depot Inc. 11000 74915 SH COM 74915 0 0
12.05.2017 Honeywell International Inc. 7039 56370 SH COM 56370 0 0
12.05.2017 Johnson & Johnson 10436 83790 SH COM 83790 0 0
12.05.2017 Kimberly-Clark Corp. 8277 62884 SH COM 62884 0 0
12.05.2017 Kroger Co. 5729 194258 SH COM 194258 0 0
12.05.2017 Medtronic plc 10715 133008 SH SHS 133008 0 0
12.05.2017 MetLife Inc. 5273 99839 SH COM 99839 0 0
12.05.2017 Microsoft Corp. 15966 242416 SH COM 242416 0 0
12.05.2017 Nike Inc. 357 6400 SH CL B 6400 0 0
12.05.2017 Pepsico Inc. 8226 73540 SH COM 73540 0 0
12.05.2017 Phillips 66 Co. 7246 91465 SH COM 91465 0 0
12.05.2017 Praxair Inc. 6927 58407 SH COM 58407 0 0
12.05.2017 QEP Resources Inc. 401 31547 SH COM 31547 0 0
12.05.2017 Schlumberger Ltd. 3934 50370 SH COM 50370 0 0
12.05.2017 TJX Companies Inc. 9419 119107 SH COM 119107 0 0
12.05.2017 Teva Pharmaceutical Industries 730 22745 SH SPONSORED ADR 22745 0 0
12.05.2017 Texas Instruments Inc. 9725 120715 SH COM 120715 0 0
12.05.2017 The Walt Disney Co. 9725 85767 SH COM DISNEY 85767 0 0
12.05.2017 Union Pacific Corp. 9387 88619 SH COM 88619 0 0
12.05.2017 VF Corp. 7904 143795 SH COM 143795 0 0
12.05.2017 Visa Inc. 4949 55689 SH COM CL A 55689 0 0
12.05.2017 W.R. Berkley Corp. 5238 74160 SH COM 74160 0 0
12.05.2017 Vanguard FTSE Developed Market 20255 515399 SH FTSE DEV MKT ETF 515399 0 0
12.05.2017 Vanguard FTSE Emerging Markets 6494 163496 SH FTSE EMR MKT ETF 163496 0 0
12.05.2017 iShares Core S&P Small Cap ETF 13814 199740 SH CORE S&P SCP ETF 199740 0 0
12.05.2017 iShares S&P Mid Cap 400 Growth 376 1970 SH S&P MC 400GR ETF 1970 0 0
12.05.2017 SPDR S&P 500 ETF 1804 7649 SH TR UNIT 7649 0 0
12.05.2017 iShares S&P 500 Growth Index E 566 4300 SH S&P 500 GRWT ETF 4300 0 0
12.05.2017 SPDR Barclays Short-Term High 4806 171875 SH BLOOMBERG SRT TR 171875 0 0
12.05.2017 SPDR Gold Trust 8569 72182 SH GOLD SHS 72182 0 0
12.05.2017 iShares Gold Trust 3125 260170 SH ISHARES 260170 0 0
24.07.2017 3M Co. 13620 65423 SH COM 65423 0 0
24.07.2017 Aflac Inc. 4720 60762 SH COM 60762 0 0
24.07.2017 Alphabet Inc. Class C 6636 7302 SH CAP STK CL C 7302 0 0
24.07.2017 Amazon.com Inc. 1915 1978 SH COM 1978 0 0
24.07.2017 American Tower Corp. 10513 79450 SH COM 79450 0 0
24.07.2017 Amgen Inc. 12432 72183 SH COM 72183 0 0
24.07.2017 Apple Inc. 6238 43311 SH COM 43311 0 0
24.07.2017 Bank of America Corp. 3575 147360 SH COM 147360 0 0
24.07.2017 Bank of New York Mellon Corp. 6680 130921 SH COM 130921 0 0
24.07.2017 Baxter International Inc. 3247 53630 SH COM 53630 0 0
24.07.2017 Boeing Co. 1389 7026 SH COM 7026 0 0
24.07.2017 CVS Health Corp. 9464 117628 SH COM 117628 0 0
24.07.2017 Canadian Natural Resources Ltd 219 7600 SH COM 7600 0 0
24.07.2017 Cenovus Energy Inc. 208 28228 SH COM 28228 0 0
24.07.2017 Chevron Corp. 285 2728 SH COM 2728 0 0
24.07.2017 Citizens Financial Group Inc. 4469 125260 SH COM 125260 0 0
24.07.2017 Colgate-Palmolive Co. 4937 66603 SH COM 66603 0 0
24.07.2017 Comcast Corp. 496 12748 SH CL A 12748 0 0
24.07.2017 ConocoPhillips 3651 83057 SH COM 83057 0 0
24.07.2017 Cummins Inc. 227 1400 SH COM 1400 0 0
24.07.2017 Dell Technologies Inc. Class V 1984 32471 SH COM CL V 32471 0 0
24.07.2017 Dominion Energy Inc. 3594 46905 SH COM 46905 0 0
24.07.2017 Eli Lilly & Co. 504 6133 SH COM 6133 0 0
24.07.2017 Exxon Mobil Corp. 4541 56256 SH COM 56256 0 0
24.07.2017 Facebook Inc. 8353 55328 SH CL A 55328 0 0
24.07.2017 Fidelity National Financial In 6392 142580 SH FNF GROUP COM 142580 0 0
24.07.2017 General Electric Co. 9608 355724 SH COM 355724 0 0
24.07.2017 Goldman Sachs Group Inc. 6710 30241 SH COM 30241 0 0
24.07.2017 Halyard Health Inc. 329 8381 SH COM 8381 0 0
24.07.2017 Home Depot Inc. 11773 76745 SH COM 76745 0 0
24.07.2017 Honeywell International Inc. 7560 56720 SH COM 56720 0 0
24.07.2017 IDEX Corp. 203 1800 SH COM 1800 0 0
24.07.2017 Johnson & Johnson 11284 85300 SH COM 85300 0 0
24.07.2017 Kimberly-Clark Corp. 8017 62094 SH COM 62094 0 0
24.07.2017 Kroger Co. 4543 194828 SH COM 194828 0 0
24.07.2017 Medtronic PLC 11986 135051 SH SHS 135051 0 0
24.07.2017 MetLife Inc. 5580 101559 SH COM 101559 0 0
24.07.2017 Microsoft Corp. 16666 241786 SH COM 241786 0 0
24.07.2017 Nike Inc. 378 6400 SH CL B 6400 0 0
24.07.2017 Pepsico Inc. 8420 72905 SH COM 72905 0 0
24.07.2017 Phillips 66 Co. 7631 92285 SH COM 92285 0 0
24.07.2017 Praxair Inc. 8322 62787 SH COM 62787 0 0
24.07.2017 QEP Resources Inc. 289 28637 SH COM 28637 0 0
24.07.2017 TJX Companies Inc. 8771 121531 SH COM 121531 0 0
24.07.2017 Teva Pharmaceutical Industries 718 21605 SH SPONSORED ADR 21605 0 0
24.07.2017 Texas Instruments Inc. 9330 121275 SH COM 121275 0 0
24.07.2017 The Walt Disney Co. 3723 35044 SH COM DISNEY 35044 0 0
24.07.2017 Union Pacific Corp. 9682 88899 SH COM 88899 0 0
24.07.2017 VF Corp. 8302 144135 SH COM 144135 0 0
24.07.2017 Visa Inc. 5419 57779 SH COM CL A 57779 0 0
24.07.2017 W.R. Berkley Corp. 5219 75450 SH COM 75450 0 0
24.07.2017 Vanguard FTSE Developed Market 28934 700244 SH FTSE DEV MKT ETF 700244 0 0
24.07.2017 Vanguard FTSE Emerging Markets 6806 166691 SH FTSE EMR MKT ETF 166691 0 0
24.07.2017 iShares Core S&P Small Cap ETF 14158 201940 SH CORE S&P SCP ETF 201940 0 0
24.07.2017 iShares S&P Mid Cap 400 Growth 387 1970 SH S&P MC 400GR ETF 1970 0 0
24.07.2017 SPDR S&P 500 ETF 1942 8030 SH TR UNIT 8030 0 0
24.07.2017 iShares S&P 500 Growth Index E 588 4300 SH S&P 500 GRWT ETF 4300 0 0
24.07.2017 SPDR Barclays Short-Term High 4805 171780 SH BLOOMBERG SRT TR 171780 0 0
24.07.2017 SPDR Gold Trust 8362 70852 SH GOLD SHS 70852 0 0
24.07.2017 iShares Gold Trust 3092 258980 SH ISHARES 258980 0 0
14.11.2017 3M Co. 13650 65033 SH COM 65033 0 0
14.11.2017 Aflac Inc. 4824 59272 SH COM 59272 0 0
14.11.2017 Alphabet Inc. Class C 7147 7452 SH CAP STK CL C 7452 0 0
14.11.2017 Amazon.com Inc. 2248 2338 SH COM 2338 0 0
14.11.2017 American Tower Corp. 10762 78740 SH COM 78740 0 0
14.11.2017 Amgen Inc. 13395 71844 SH COM 71844 0 0
14.11.2017 Apple Inc. 6603 42841 SH COM 42841 0 0
14.11.2017 Autodesk Inc. 3465 30870 SH COM 30870 0 0
14.11.2017 Bank of America Corp. 3707 146276 SH COM 146276 0 0
14.11.2017 Bank of New York Mellon Corp. 6937 130831 SH COM 130831 0 0
14.11.2017 Baxter International Inc. 3339 53215 SH COM 53215 0 0
14.11.2017 Boeing Co. 1786 7026 SH COM 7026 0 0
14.11.2017 Brighthouse Financial Inc. 541 8903 SH COM 8903 0 0
14.11.2017 CVS Health Corp. 9481 116588 SH COM 116588 0 0
14.11.2017 Canadian Natural Resources Ltd 255 7600 SH COM 7600 0 0
14.11.2017 Cenovus Energy Inc. 277 27598 SH COM 27598 0 0
14.11.2017 Chevron Corp. 266 2261 SH COM 2261 0 0
14.11.2017 Citizens Financial Group Inc. 4785 126350 SH COM 126350 0 0
14.11.2017 Colgate-Palmolive Co. 4892 67153 SH COM 67153 0 0
14.11.2017 Comcast Corp. 476 12370 SH CL A 12370 0 0
14.11.2017 ConocoPhillips 4241 84742 SH COM 84742 0 0
14.11.2017 Cummins Inc. 235 1400 SH COM 1400 0 0
14.11.2017 Dominion Energy Inc. 3635 47245 SH COM 47245 0 0
14.11.2017 Eli Lilly & Co. 492 5754 SH COM 5754 0 0
14.11.2017 Exxon Mobil Corp. 4547 55468 SH COM 55468 0 0
14.11.2017 Facebook Inc. 9604 56208 SH CL A 56208 0 0
14.11.2017 Fidelity National Financial In 6872 144800 SH FNF GROUP COM 144800 0 0
14.11.2017 General Electric Co. 8461 349904 SH COM 349904 0 0
14.11.2017 Goldman Sachs Group Inc. 7239 30521 SH COM 30521 0 0
14.11.2017 Halyard Health Inc. 364 8074 SH COM 8074 0 0
14.11.2017 Home Depot Inc. 12730 77831 SH COM 77831 0 0
14.11.2017 Honeywell International Inc. 8859 62505 SH COM 62505 0 0
14.11.2017 IDEX Corp. 219 1800 SH COM 1800 0 0
14.11.2017 Johnson & Johnson 11464 88175 SH COM 88175 0 0
14.11.2017 Kimberly-Clark Corp. 6961 59155 SH COM 59155 0 0
14.11.2017 McCormick & Co. Inc. 205 2000 SH COM NON VTG 2000 0 0
14.11.2017 Medtronic PLC 10677 137290 SH SHS 137290 0 0
14.11.2017 MetLife Inc. 5270 101449 SH COM 101449 0 0
14.11.2017 Microsoft Corp. 17825 239299 SH COM 239299 0 0
14.11.2017 Nike Inc. 332 6400 SH CL B 6400 0 0
14.11.2017 Pepsico Inc. 7930 71169 SH COM 71169 0 0
14.11.2017 Phillips 66 Co. 8589 93755 SH COM 93755 0 0
14.11.2017 Praxair Inc. 8774 62787 SH COM 62787 0 0
14.11.2017 QEP Resources Inc. 225 26227 SH COM 26227 0 0
14.11.2017 TJX Companies Inc. 9000 122071 SH COM 122071 0 0
14.11.2017 Teva Pharmaceutical Industries 355 20150 SH SPONSORED ADR 20150 0 0
14.11.2017 Texas Instruments Inc. 10846 120995 SH COM 120995 0 0
14.11.2017 The Walt Disney Co. 3426 34754 SH COM DISNEY 34754 0 0
14.11.2017 Union Pacific Corp. 10335 89122 SH COM 89122 0 0
14.11.2017 VF Corp. 9419 148175 SH COM 148175 0 0
14.11.2017 Visa Inc. 6449 61279 SH COM CL A 61279 0 0
14.11.2017 W.R. Berkley Corp. 5274 79030 SH COM 79030 0 0
14.11.2017 Vanguard FTSE Developed Market 30518 703014 SH FTSE DEV MKT ETF 703014 0 0
14.11.2017 Vanguard FTSE Emerging Markets 11471 263291 SH FTSE EMR MKT ETF 263291 0 0
14.11.2017 iShares Core S&P Small Cap ETF 15072 203070 SH CORE S&P SCP ETF 203070 0 0
14.11.2017 iShares S&P Mid Cap 400 Growth 389 1920 SH S&P MC 400GR ETF 1920 0 0
14.11.2017 SPDR S&P 500 ETF 2770 11025 SH TR UNIT 11025 0 0
14.11.2017 iShares S&P 500 Growth Index E 617 4300 SH S&P 500 GRWT ETF 4300 0 0
14.11.2017 SPDR Barclays Short-Term High 4775 170690 SH BLOOMBERG SRT TR 170690 0 0
14.11.2017 SPDR Gold Trust 8458 69567 SH GOLD SHS 69567 0 0
14.11.2017 iShares Gold Trust 3178 258180 SH ISHARES 258180 0 0
06.02.2018 3M Co. 15714 66765 SH COM 66765 0 0
06.02.2018 Aflac Inc. 4908 55912 SH COM 55912 0 0
06.02.2018 Alphabet Inc. Class C 7881 7532 SH CAP STK CL C 7532 0 0
06.02.2018 Amazon.com Inc. 2921 2498 SH COM 2498 0 0
06.02.2018 American Tower Corp. 11589 81230 SH COM 81230 0 0
06.02.2018 Amgen Inc. 12402 71314 SH COM 71314 0 0
06.02.2018 Apple Inc. 7309 43191 SH COM 43191 0 0
06.02.2018 Autodesk Inc. 3249 30990 SH COM 30990 0 0
06.02.2018 Bank of America Corp. 4361 147716 SH COM 147716 0 0
06.02.2018 Bank of New York Mellon Corp. 7061 131101 SH COM 131101 0 0
06.02.2018 Baxter International Inc. 3404 52665 SH COM 52665 0 0
06.02.2018 Black Knight Inc. 1768 40043 SH COM 40043 0 0
06.02.2018 Boeing Co. 1925 6526 SH COM 6526 0 0
06.02.2018 Brighthouse Financial Inc. 514 8766 SH COM 8766 0 0
06.02.2018 Canadian Natural Resources Ltd 271 7600 SH COM 7600 0 0
06.02.2018 Cenovus Energy Inc. 228 24968 SH COM 24968 0 0
06.02.2018 Chevron Corp. 281 2241 SH COM 2241 0 0
06.02.2018 Citizens Financial Group Inc. 5250 125050 SH COM 125050 0 0
06.02.2018 Colgate-Palmolive Co. 4886 64759 SH COM 64759 0 0
06.02.2018 ConocoPhillips 5153 93887 SH COM 93887 0 0
06.02.2018 Cummins Inc. 247 1400 SH COM 1400 0 0
06.02.2018 CVS Health Corp. 8318 114733 SH COM 114733 0 0
06.02.2018 Dominion Energy Inc. 3794 46805 SH COM 46805 0 0
06.02.2018 Eli Lilly & Co. 472 5588 SH COM 5588 0 0
06.02.2018 Exxon Mobil Corp. 4679 55938 SH COM 55938 0 0
06.02.2018 Facebook Inc. 10035 56868 SH CL A 56868 0 0
06.02.2018 Fidelity National Financial In 5800 147810 SH FNF GROUP COM 147810 0 0
06.02.2018 Goldman Sachs Group Inc. 8057 31626 SH COM 31626 0 0
06.02.2018 Halyard Health Inc. 365 7896 SH COM 7896 0 0
06.02.2018 Home Depot Inc. 14870 78459 SH COM 78459 0 0
06.02.2018 Honeywell International Inc. 9396 61265 SH COM 61265 0 0
06.02.2018 IDEX Corp. 238 1800 SH COM 1800 0 0
06.02.2018 Johnson & Johnson 12650 90540 SH COM 90540 0 0
06.02.2018 Kimberly-Clark Corp. 6797 56335 SH COM 56335 0 0
06.02.2018 McCormick & Co. Inc. 204 2000 SH COM NON VTG 2000 0 0
06.02.2018 Medtronic PLC 11129 137823 SH SHS 137823 0 0
06.02.2018 MetLife Inc. 5191 102669 SH COM 102669 0 0
06.02.2018 Microsoft Corp. 15036 175772 SH COM 175772 0 0
06.02.2018 Nike Inc. 369 5900 SH CL B 5900 0 0
06.02.2018 Pepsico Inc. 8232 68648 SH COM 68648 0 0
06.02.2018 Phillips 66 Co. 9478 93705 SH COM 93705 0 0
06.02.2018 Praxair Inc. 9655 62417 SH COM 62417 0 0
06.02.2018 QEP Resources Inc. 238 24907 SH COM 24907 0 0
06.02.2018 Texas Instruments Inc. 12647 121095 SH COM 121095 0 0
06.02.2018 The Walt Disney Co. 3638 33839 SH COM DISNEY 33839 0 0
06.02.2018 TJX Companies Inc. 9348 122261 SH COM 122261 0 0
06.02.2018 Union Pacific Corp. 11844 88322 SH COM 88322 0 0
06.02.2018 VF Corp. 11507 155505 SH COM 155505 0 0
06.02.2018 Visa Inc. 7434 65199 SH COM CL A 65199 0 0
06.02.2018 W.R. Berkley Corp. 6068 84690 SH COM 84690 0 0
06.02.2018 iShares Core S&P Small Cap ETF 15592 202990 SH CORE S&P SCP ETF 202990 0 0
06.02.2018 iShares Gold Trust 3745 299350 SH ISHARES 299350 0 0
06.02.2018 iShares S&P 500 Growth Index E 657 4300 SH S&P 500 GRWT ETF 4300 0 0
06.02.2018 iShares S&P Mid Cap 400 Growth 414 1920 SH S&P MC 400GR ETF 1920 0 0
06.02.2018 SPDR Barclays Short-Term High 4681 169820 SH BLOOMBERG SRT TR 169820 0 0
06.02.2018 SPDR Gold Trust 8459 68407 SH GOLD SHS 68407 0 0
06.02.2018 SPDR S&P 500 ETF 2937 11005 SH TR UNIT 11005 0 0
06.02.2018 Vanguard FTSE Developed Market 31463 701345 SH FTSE DEV MKT ETF 701345 0 0
06.02.2018 Vanguard FTSE Emerging Markets 12257 266981 SH FTSE EMR MKT ETF 266981 0 0
08.05.2018 3M Co. 14624 66620 SH COM 66620 0 0
08.05.2018 Aflac Inc. 4826 110284 SH COM 110284 0 0
08.05.2018 Alphabet Inc. Class C 7895 7652 SH CAP STK CL C 7652 0 0
08.05.2018 Amazon.com Inc. 3941 2723 SH COM 2723 0 0
08.05.2018 American Tower Corp. 11874 81700 SH COM 81700 0 0
08.05.2018 Amgen Inc. 11951 70104 SH COM 70104 0 0
08.05.2018 Apple Inc. 7211 42981 SH COM 42981 0 0
08.05.2018 Autodesk Inc. 3869 30810 SH COM 30810 0 0
08.05.2018 Bank of America Corp. 4421 147406 SH COM 147406 0 0
08.05.2018 Bank of New York Mellon Corp. 6764 131261 SH COM 131261 0 0
08.05.2018 Baxter International Inc. 3415 52513 SH COM 52513 0 0
08.05.2018 Black Knight Inc. 1708 36261 SH COM 36261 0 0
08.05.2018 Boeing Co. 2107 6426 SH COM 6426 0 0
08.05.2018 Brighthouse Financial Inc. 438 8525 SH COM 8525 0 0
08.05.2018 CVS Health Corp. 6948 111683 SH COM 111683 0 0
08.05.2018 Canadian Natural Resources Ltd 239 7600 SH COM 7600 0 0
08.05.2018 Cenovus Energy Inc. 189 22178 SH COM 22178 0 0
08.05.2018 Chevron Corp. 255 2241 SH COM 2241 0 0
08.05.2018 Citizens Financial Group Inc. 5242 124860 SH COM 124860 0 0
08.05.2018 Colgate-Palmolive Co. 4608 64289 SH COM 64289 0 0
08.05.2018 ConocoPhillips 5737 96769 SH COM 96769 0 0
08.05.2018 Cummins Inc. 227 1400 SH COM 1400 0 0
08.05.2018 Dominion Energy Inc. 3147 46665 SH COM 46665 0 0
08.05.2018 Eli Lilly & Co. 410 5288 SH COM 5288 0 0
08.05.2018 Exxon Mobil Corp. 4180 56028 SH COM 56028 0 0
08.05.2018 Facebook Inc. 9033 56528 SH CL A 56528 0 0
08.05.2018 Fidelity National Financial In 5861 146450 SH FNF GROUP COM 146450 0 0
08.05.2018 Goldman Sachs Group Inc. 8128 32270 SH COM 32270 0 0
08.05.2018 Halyard Health Inc. 356 7732 SH COM 7732 0 0
08.05.2018 Home Depot Inc. 14129 79269 SH COM 79269 0 0
08.05.2018 Honeywell International Inc. 8816 61005 SH COM 61005 0 0
08.05.2018 IDEX Corp. 257 1800 SH COM 1800 0 0
08.05.2018 Johnson & Johnson 11660 90990 SH COM 90990 0 0
08.05.2018 Kimberly-Clark Corp. 6081 55220 SH COM 55220 0 0
08.05.2018 McCormick & Co. Inc. 213 2000 SH COM NON VTG 2000 0 0
08.05.2018 Medtronic PLC 11088 138224 SH SHS 138224 0 0
08.05.2018 Microsoft Corp. 16019 175512 SH COM 175512 0 0
08.05.2018 Nike Inc. 392 5900 SH CL B 5900 0 0
08.05.2018 Pepsico Inc. 7354 67378 SH COM 67378 0 0
08.05.2018 Phillips 66 Co. 9033 94175 SH COM 94175 0 0
08.05.2018 Praxair Inc. 8935 61922 SH COM 61922 0 0
08.05.2018 QEP Resources Inc. 242 24737 SH COM 24737 0 0
08.05.2018 TJX Companies Inc. 10025 122916 SH COM 122916 0 0
08.05.2018 Texas Instruments Inc. 12554 120835 SH COM 120835 0 0
08.05.2018 The Walt Disney Co. 3374 33589 SH COM DISNEY 33589 0 0
08.05.2018 Union Pacific Corp. 11697 87012 SH COM 87012 0 0
08.05.2018 VF Corp. 11522 155445 SH COM 155445 0 0
08.05.2018 Visa Inc. Class A 8389 70129 SH COM CL A 70129 0 0
08.05.2018 W.R. Berkley Corp. 6262 86130 SH COM 86130 0 0
08.05.2018 Vanguard FTSE Developed Market 31142 703765 SH FTSE DEV MKT ETF 703765 0 0
08.05.2018 Vanguard FTSE Emerging Markets 12554 267226 SH FTSE EMR MKT ETF 267226 0 0
08.05.2018 iShares Core S&P Small Cap ETF 15450 200620 SH CORE S&P SCP ETF 200620 0 0
08.05.2018 iShares S&P Mid Cap 400 Growth 410 1880 SH S&P MC 400GR ETF 1880 0 0
08.05.2018 SPDR S&P 500 ETF 2883 10955 SH TR UNIT 10955 0 0
08.05.2018 iShares S&P 500 Growth Index E 667 4300 SH S&P 500 GRWT ETF 4300 0 0
08.05.2018 SPDR Barclays Short-Term High 4542 165940 SH BLOOMBERG SRT TR 165940 0 0
08.05.2018 SPDR Gold Trust 8398 66764 SH GOLD SHS 66764 0 0
08.05.2018 iShares Gold Trust 3817 299830 SH ISHARES 299830 0 0
03.08.2018 3M Co. 13072 66450 SH COM 66450 0 0
03.08.2018 Aflac Inc. 4725 109844 SH COM 109844 0 0
03.08.2018 Alphabet Inc. Class C 8626 7732 SH CAP STK CL C 7732 0 0
03.08.2018 Amazon.com Inc. 4892 2878 SH COM 2878 0 0
03.08.2018 American Tower Corp. 11828 82040 SH COM 82040 0 0
03.08.2018 Amgen Inc. 12910 69939 SH COM 69939 0 0
03.08.2018 Apple Inc. 7982 43121 SH COM 43121 0 0
03.08.2018 Autodesk Inc. 4060 30970 SH COM 30970 0 0
03.08.2018 Bank of America Corp. 7918 280866 SH COM 280866 0 0
03.08.2018 Bank of New York Mellon Corp. 7096 131571 SH COM 131571 0 0
03.08.2018 Baxter International Inc. 3824 51790 SH COM 51790 0 0
03.08.2018 Black Knight Inc. 1855 34632 SH COM 34632 0 0
03.08.2018 Boeing Co. 2156 6426 SH COM 6426 0 0
03.08.2018 Brighthouse Financial Inc. 335 8357 SH COM 8357 0 0
03.08.2018 CVS Health Corp. 7203 111933 SH COM 111933 0 0
03.08.2018 Canadian Natural Resources Ltd 234 6500 SH COM 6500 0 0
03.08.2018 Cenovus Energy Inc. 218 21008 SH COM 21008 0 0
03.08.2018 Chevron Corp. 281 2218 SH COM 2218 0 0
03.08.2018 Citizens Financial Group Inc. 5007 128710 SH COM 128710 0 0
03.08.2018 Colgate-Palmolive Co. 4169 64328 SH COM 64328 0 0
03.08.2018 ConocoPhillips 6907 99204 SH COM 99204 0 0
03.08.2018 Dominion Energy Inc. 3190 46795 SH COM 46795 0 0
03.08.2018 Eli Lilly & Co. 417 4888 SH COM 4888 0 0
03.08.2018 Exxon Mobil Corp. 4650 56203 SH COM 56203 0 0
03.08.2018 Facebook Inc. 11076 56998 SH CL A 56998 0 0
03.08.2018 Fidelity National Financial In 5620 149390 SH FNF GROUP COM 149390 0 0
03.08.2018 Goldman Sachs Group Inc. 7118 32270 SH COM 32270 0 0
03.08.2018 Halyard Health Inc. 436 7620 SH COM 7620 0 0
03.08.2018 Home Depot Inc. 15648 80204 SH COM 80204 0 0
03.08.2018 Honeywell International Inc. 8811 61165 SH COM 61165 0 0
03.08.2018 IDEX Corp. 246 1800 SH COM 1800 0 0
03.08.2018 Johnson & Johnson 11111 91570 SH COM 91570 0 0
03.08.2018 McCormick & Co. Inc. 232 2000 SH COM NON VTG 2000 0 0
03.08.2018 Medtronic PLC 12235 142918 SH SHS 142918 0 0
03.08.2018 Microsoft Corp. 17360 176052 SH COM 176052 0 0
03.08.2018 Nike Inc. 470 5900 SH CL B 5900 0 0
03.08.2018 Pepsico Inc. 7333 67358 SH COM 67358 0 0
03.08.2018 Phillips 66 Co. 10643 94765 SH COM 94765 0 0
03.08.2018 Praxair Inc. 9769 61772 SH COM 61772 0 0
03.08.2018 QEP Resources Inc. 293 23907 SH COM 23907 0 0
03.08.2018 TJX Companies Inc. 11918 125216 SH COM 125216 0 0
03.08.2018 Texas Instruments Inc. 13306 120685 SH COM 120685 0 0
03.08.2018 The Walt Disney Co. 3537 33749 SH COM DISNEY 33749 0 0
03.08.2018 Union Pacific Corp. 12402 87532 SH COM 87532 0 0
03.08.2018 VF Corp. 12881 158005 SH COM 158005 0 0
03.08.2018 Visa Inc. Class A 9752 73629 SH COM CL A 73629 0 0
03.08.2018 W.R. Berkley Corp. 6587 90970 SH COM 90970 0 0
03.08.2018 Vanguard FTSE Developed Market 30236 704805 SH FTSE DEV MKT ETF 704805 0 0
03.08.2018 Vanguard FTSE Emerging Markets 11260 266836 SH FTSE EMR MKT ETF 266836 0 0
03.08.2018 iShares Core S&P Small Cap ETF 16841 201780 SH CORE S&P SCP ETF 201780 0 0
03.08.2018 iShares S&P Mid Cap 400 Growth 387 1720 SH S&P MC 400GR ETF 1720 0 0
03.08.2018 SPDR S&P 500 ETF 3013 11105 SH TR UNIT 11105 0 0
03.08.2018 iShares S&P 500 Growth Index E 699 4300 SH S&P 500 GRWT ETF 4300 0 0
03.08.2018 SPDR Barclays Short-Term High 4577 167710 SH BLOOMBERG SRT TR 167710 0 0
03.08.2018 SPDR Gold Trust 7910 66664 SH GOLD SHS 66664 0 0
03.08.2018 iShares Gold Trust 3641 302920 SH ISHARES 302920 0 0
15.10.2018 3M Co. 14198 67380 SH COM 67380 0 0
15.10.2018 Aflac Inc. 5088 108084 SH COM 108084 0 0
15.10.2018 Alphabet Inc. Class C 9276 7772 SH CAP STK CL C 7772 0 0
15.10.2018 Amazon.com Inc. 6265 3128 SH COM 3128 0 0
15.10.2018 American Tower Corp. 11970 82380 SH COM 82380 0 0
15.10.2018 Amgen Inc. 14542 70154 SH COM 70154 0 0
15.10.2018 Apple Inc. 9777 43311 SH COM 43311 0 0
15.10.2018 Autodesk Inc. 4835 30970 SH COM 30970 0 0
15.10.2018 Avanos Medical, Inc. 516 7534 SH COM 7534 0 0
15.10.2018 Bank of America Corp. 8280 281066 SH COM 281066 0 0
15.10.2018 Bank of New York Mellon Corp. 6723 131841 SH COM 131841 0 0
15.10.2018 Baxter International Inc. 3944 51163 SH COM 51163 0 0
15.10.2018 Black Knight Inc. 1684 32418 SH COM 32418 0 0
15.10.2018 Boeing Co. 2390 6426 SH COM 6426 0 0
15.10.2018 Brighthouse Financial Inc. 358 8101 SH COM 8101 0 0
15.10.2018 CVS Health Corp. 8759 111263 SH COM 111263 0 0
15.10.2018 Canadian Natural Resources Ltd 212 6500 SH COM 6500 0 0
15.10.2018 Cenovus Energy Inc. 202 20118 SH COM 20118 0 0
15.10.2018 Chevron Corp. 269 2198 SH COM 2198 0 0
15.10.2018 Citizens Financial Group Inc. 5098 132180 SH COM 132180 0 0
15.10.2018 Colgate-Palmolive Co. 4301 64243 SH COM 64243 0 0
15.10.2018 ConocoPhillips 7775 100454 SH COM 100454 0 0
15.10.2018 Cummins Inc. 204 1400 SH COM 1400 0 0
15.10.2018 Dominion Energy Inc. 3289 46795 SH COM 46795 0 0
15.10.2018 Eli Lilly & Co. 524 4888 SH COM 4888 0 0
15.10.2018 Exxon Mobil Corp. 4772 56123 SH COM 56123 0 0
15.10.2018 Facebook Inc. 9410 57218 SH CL A 57218 0 0
15.10.2018 Fidelity National Financial In 5709 145090 SH FNF GROUP COM 145090 0 0
15.10.2018 Goldman Sachs Group Inc. 7101 31667 SH COM 31667 0 0
15.10.2018 Home Depot Inc. 16878 81476 SH COM 81476 0 0
15.10.2018 Honeywell International Inc. 10165 61090 SH COM 61090 0 0
15.10.2018 IDEX Corp. 271 1800 SH COM 1800 0 0
15.10.2018 Johnson & Johnson 12756 92320 SH COM 92320 0 0
15.10.2018 McCormick & Co. Inc. 264 2000 SH COM NON VTG 2000 0 0
15.10.2018 Medtronic PLC 14464 147036 SH SHS 147036 0 0
15.10.2018 Microsoft Corp. 20083 175601 SH COM 175601 0 0
15.10.2018 Nike Inc. 500 5900 SH CL B 5900 0 0
15.10.2018 Pepsico Inc. 7420 66370 SH COM 66370 0 0
15.10.2018 Phillips 66 Co. 11073 98235 SH COM 98235 0 0
15.10.2018 Praxair Inc. 9867 61388 SH COM 61388 0 0
15.10.2018 QEP Resources Inc. 260 22957 SH COM 22957 0 0
15.10.2018 TJX Companies Inc. 14275 127436 SH COM 127436 0 0
15.10.2018 Texas Instruments Inc. 12839 119665 SH COM 119665 0 0
15.10.2018 The Walt Disney Co. 3965 33909 SH COM DISNEY 33909 0 0
15.10.2018 Union Pacific Corp. 14184 87112 SH COM 87112 0 0
15.10.2018 VF Corp. 14825 158645 SH COM 158645 0 0
15.10.2018 Visa Inc. Class A 11471 76429 SH COM CL A 76429 0 0
15.10.2018 W.R. Berkley Corp. 7287 91170 SH COM 91170 0 0
15.10.2018 Vanguard FTSE Developed Market 30027 693945 SH FTSE DEV MKT ETF 693945 0 0
15.10.2018 Vanguard FTSE Emerging Markets 10728 261666 SH FTSE EMR MKT ETF 261666 0 0
15.10.2018 iShares Core S&P Small Cap ETF 17553 201200 SH CORE S&P SCP ETF 201200 0 0
15.10.2018 iShares S&P Mid Cap 400 Growth 375 1610 SH S&P MC 400GR ETF 1610 0 0
15.10.2018 SPDR S&P 500 ETF 3518 12100 SH TR UNIT 12100 0 0
15.10.2018 iShares S&P 500 Growth Index E 762 4300 SH S&P 500 GRWT ETF 4300 0 0
15.10.2018 SPDR Barclays Short-Term High 4597 166620 SH BLOOMBERG SRT TR 166620 0 0
15.10.2018 SPDR Gold Trust 7290 64654 SH GOLD SHS 64654 0 0
15.10.2018 iShares Gold Trust 3425 299610 SH ISHARES 299610 0 0
04.02.2019 3M Co. 12819 67280 SH COM 67280 0 0
04.02.2019 Aflac Inc. 4882 107146 SH COM 107146 0 0
04.02.2019 Alphabet Inc. Class C 8034 7758 SH CAP STK CL C 7758 0 0
04.02.2019 Amazon.com Inc. 4808 3201 SH COM 3201 0 0
04.02.2019 American Tower Corp. 12981 82058 SH COM 82058 0 0
04.02.2019 Amgen Inc. 13595 69836 SH COM 69836 0 0
04.02.2019 Apple Inc. 6793 43063 SH COM 43063 0 0
04.02.2019 Autodesk Inc. 3952 30730 SH COM 30730 0 0
04.02.2019 Avanos Medical, Inc. 335 7490 SH COM 7490 0 0
04.02.2019 Bank of America Corp. 6901 280067 SH COM 280067 0 0
04.02.2019 Bank of New York Mellon Corp. 6103 129661 SH COM 129661 0 0
04.02.2019 Baxter International Inc. 3324 50503 SH COM 50503 0 0
04.02.2019 Black Knight Inc. 1466 32533 SH COM 32533 0 0
04.02.2019 Boeing Co. 2040 6326 SH COM 6326 0 0
04.02.2019 Brighthouse Financial Inc. 245 8032 SH COM 8032 0 0
04.02.2019 CVS Health Corp. 7269 110950 SH COM 110950 0 0
04.02.2019 Chevron Corp. 239 2198 SH COM 2198 0 0
04.02.2019 Citizens Financial Group Inc. 1693 56930 SH COM 56930 0 0
04.02.2019 Colgate-Palmolive Co. 3771 63357 SH COM 63357 0 0
04.02.2019 ConocoPhillips 6296 100974 SH COM 100974 0 0
04.02.2019 Dominion Energy Inc. 3317 46419 SH COM 46419 0 0
04.02.2019 Eli Lilly & Co. 565 4888 SH COM 4888 0 0
04.02.2019 Exxon Mobil Corp. 3799 55717 SH COM 55717 0 0
04.02.2019 Facebook Inc. 7408 56507 SH CL A 56507 0 0
04.02.2019 Fidelity National Financial In 4511 143478 SH FNF GROUP COM 143478 0 0
04.02.2019 Goldman Sachs Group Inc. 5215 31221 SH COM 31221 0 0
04.02.2019 Home Depot Inc. 13867 80707 SH COM 80707 0 0
04.02.2019 Honeywell International Inc. 8071 61088 SH COM 61088 0 0
04.02.2019 Johnson & Johnson 12000 92986 SH COM 92986 0 0
04.02.2019 Linde PLC 9629 61708 SH COM 61708 0 0
04.02.2019 McCormick & Co. Inc. 278 2000 SH COM NON VTG 2000 0 0
04.02.2019 Medtronic PLC 13413 147458 SH SHS 147458 0 0
04.02.2019 Microsoft Corp. 13857 136427 SH COM 136427 0 0
04.02.2019 Nike Inc. 437 5900 SH CL B 5900 0 0
04.02.2019 Pepsico Inc. 7261 65721 SH COM 65721 0 0
04.02.2019 Phillips 66 Co. 8433 97883 SH COM 97883 0 0
04.02.2019 Resideo Technologies, Inc. 206 10031 SH COM 10031 0 0
04.02.2019 TJX Companies Inc. 11433 255534 SH COM 255534 0 0
04.02.2019 The Walt Disney Co. 3692 33675 SH COM DISNEY 33675 0 0
04.02.2019 Union Pacific Corp. 5964 43142 SH COM 43142 0 0
04.02.2019 VF Corp. 11250 157699 SH COM 157699 0 0
04.02.2019 Visa Inc. Class A 10120 76701 SH COM CL A 76701 0 0
04.02.2019 W.R. Berkley Corp. 6820 92280 SH COM 92280 0 0
04.02.2019 Vanguard FTSE Developed Market 25751 694105 SH FTSE DEV MKT ETF 694105 0 0
04.02.2019 Vanguard FTSE Emerging Markets 9978 261896 SH FTSE EMR MKT ETF 261896 0 0
04.02.2019 iShares Core S&P Small Cap ETF 13950 201240 SH CORE S&P SCP ETF 201240 0 0
04.02.2019 iShares S&P Mid Cap 400 Growth 212 1110 SH S&P MC 400GR ETF 1110 0 0
04.02.2019 SPDR S&P 500 ETF 3004 12023 SH TR UNIT 12023 0 0
04.02.2019 iShares S&P 500 Growth Index E 648 4300 SH S&P 500 GRWT ETF 4300 0 0
04.02.2019 SPDR Gold Trust 7830 64574 SH GOLD SHS 64574 0 0
04.02.2019 iShares Gold Trust 3670 298610 SH ISHARES 298610 0 0
13.05.2019 3M Co. 14183 68260 SH COM 68260 0 0
13.05.2019 Aflac Inc. 5329 106586 SH COM 106586 0 0
13.05.2019 Alphabet Inc. Class C 9126 7778 SH CAP STK CL C 7778 0 0
13.05.2019 Amazon.com Inc. 8291 4656 SH COM 4656 0 0
13.05.2019 American Tower Corp. 16935 85938 SH COM 85938 0 0
13.05.2019 Amgen Inc. 6747 35514 SH COM 35514 0 0
13.05.2019 Anthem Inc. 658 2292 SH COM 2292 0 0
13.05.2019 Apple Inc. 8049 42375 SH COM 42375 0 0
13.05.2019 Autodesk Inc. 4763 30570 SH COM 30570 0 0
13.05.2019 Avanos Medical, Inc. 316 7414 SH COM 7414 0 0
13.05.2019 Bank of America Corp. 7789 282327 SH COM 282327 0 0
13.05.2019 Bank of New York Mellon Corp. 6534 129561 SH COM 129561 0 0
13.05.2019 Baxter International Inc. 4068 50036 SH COM 50036 0 0
13.05.2019 Black Knight Inc. 1685 30909 SH COM 30909 0 0
13.05.2019 Boeing Co. 2375 6226 SH COM 6226 0 0
13.05.2019 Brighthouse Financial Inc. 286 7894 SH COM 7894 0 0
13.05.2019 CVS Health Corp. 5951 110350 SH COM 110350 0 0
13.05.2019 Chevron Corp. 261 2117 SH COM 2117 0 0
13.05.2019 Citizens Financial Group Inc. 1845 56770 SH COM 56770 0 0
13.05.2019 Colgate-Palmolive Co. 4322 63057 SH COM 63057 0 0
13.05.2019 ConocoPhillips 6818 102159 SH COM 102159 0 0
13.05.2019 Cummins Inc. 221 1400 SH COM 1400 0 0
13.05.2019 Dominion Energy Inc. 3536 46129 SH COM 46129 0 0
13.05.2019 Eli Lilly & Co. 634 4888 SH COM 4888 0 0
13.05.2019 Exxon Mobil Corp. 4533 56107 SH COM 56107 0 0
13.05.2019 Facebook Inc. 9121 54717 SH CL A 54717 0 0
13.05.2019 Fidelity National Financial In 5156 141068 SH FNF GROUP COM 141068 0 0
13.05.2019 Goldman Sachs Group Inc. 5960 31041 SH COM 31041 0 0
13.05.2019 Home Depot Inc. 15675 81687 SH COM 81687 0 0
13.05.2019 Honeywell International Inc. 9625 60568 SH COM 60568 0 0
13.05.2019 IDEX Corp. 212 1400 SH COM 1400 0 0
13.05.2019 Johnson & Johnson 12803 91586 SH COM 91586 0 0
13.05.2019 Linde PLC 10884 61863 SH COM 61863 0 0
13.05.2019 McCormick & Co. Inc. 301 2000 SH COM NON VTG 2000 0 0
13.05.2019 Medtronic PLC 13677 150162 SH SHS 150162 0 0
13.05.2019 Microsoft Corp. 15972 135422 SH COM 135422 0 0
13.05.2019 Nike Inc. 497 5900 SH CL B 5900 0 0
13.05.2019 Pepsico Inc. 8006 65331 SH COM 65331 0 0
13.05.2019 Phillips 66 Co. 9411 98883 SH COM 98883 0 0
13.05.2019 TJX Companies Inc. 13964 262424 SH COM 262424 0 0
13.05.2019 The Walt Disney Co. 3721 33515 SH COM DISNEY 33515 0 0
13.05.2019 Union Pacific Corp. 7177 42922 SH COM 42922 0 0
13.05.2019 UnitedHealth Group Inc. 7969 32230 SH COM 32230 0 0
13.05.2019 VF Corp. 14001 161092 SH COM 161092 0 0
13.05.2019 Visa Inc. Class A 12718 81424 SH COM CL A 81424 0 0
13.05.2019 W.R. Berkley Corp. 8221 97040 SH COM 97040 0 0
13.05.2019 Vanguard FTSE Developed Market 29371 718635 SH FTSE DEV MKT ETF 718635 0 0
13.05.2019 Vanguard FTSE Emerging Markets 11126 261786 SH FTSE EMR MKT ETF 261786 0 0
13.05.2019 iShares Core S&P Small Cap ETF 15922 206380 SH CORE S&P SCP ETF 206380 0 0
13.05.2019 iShares S&P Mid Cap 400 Growth 243 1110 SH S&P MC 400GR ETF 1110 0 0
13.05.2019 SPDR S&P 500 ETF 3404 12053 SH TR UNIT 11903 0 0
13.05.2019 iShares S&P 500 Growth Index E 741 4300 SH S&P 500 GRWT ETF 4300 0 0
13.05.2019 SPDR Gold Trust 7784 63794 SH GOLD SHS 63794 0 0
13.05.2019 iShares Gold Trust 3695 298450 SH ISHARES 298450 0 0
13.08.2019 3M Co. 11971 69060 SH COM 69060 0 0
13.08.2019 Aflac Inc. 5687 103756 SH COM 103756 0 0
13.08.2019 Alphabet Inc. Class C 8505 7868 SH CAP STK CL C 7868 0 0
13.08.2019 Amazon.com Inc. 9612 5076 SH COM 5076 0 0
13.08.2019 American Tower Corp. 17788 87003 SH COM 87003 0 0
13.08.2019 Amgen Inc. 6622 35934 SH COM 35934 0 0
13.08.2019 Apple Inc. 8523 43063 SH COM 43063 0 0
13.08.2019 Autodesk Inc. 5082 31200 SH COM 31200 0 0
13.08.2019 Avanos Medical,Inc. 320 7328 SH COM 7328 0 0
13.08.2019 Bank of America Corp. 8362 288347 SH COM 288347 0 0
13.08.2019 Bank of New York Mellon Corp. 5722 129597 SH COM 129597 0 0
13.08.2019 Baxter International Inc. 4098 50036 SH COM 50036 0 0
13.08.2019 Black Knight Inc. 1816 30192 SH COM 30192 0 0
13.08.2019 Boeing Co. 2268 6231 SH COM 6231 0 0
13.08.2019 Brighthouse Financial Inc. 289 7884 SH COM 7884 0 0
13.08.2019 CVS Health Corp. 6079 111570 SH COM 111570 0 0
13.08.2019 Chevron Corp. 302 2517 SH COM 2517 0 0
13.08.2019 Citizens Financial Group Inc. 2554 72240 SH COM 72240 0 0
13.08.2019 Colgate-Palmolive Co. 4565 63697 SH COM 63697 0 0
13.08.2019 ConocoPhillips 6427 105359 SH COM 105359 0 0
13.08.2019 Cummins Inc. 240 1400 SH COM 1400 0 0
13.08.2019 Dominion Energy Inc. 3601 46579 SH COM 46579 0 0
13.08.2019 Eli Lilly & Co. 525 4888 SH COM 4888 0 0
13.08.2019 Exxon Mobil Corp. 4441 57957 SH COM 57957 0 0
13.08.2019 Facebook Inc. 10346 53604 SH CL A 53604 0 0
13.08.2019 Fidelity National Financial In 5719 141918 SH FNF GROUP COM 141918 0 0
13.08.2019 Goldman Sachs Group Inc. 6408 31321 SH COM 31321 0 0
13.08.2019 Home Depot Inc. 17226 82827 SH COM 82827 0 0
13.08.2019 Honeywell International Inc. 10763 61648 SH COM 61648 0 0
13.08.2019 IDEX Corp. 241 1400 SH COM 1400 0 0
13.08.2019 Johnson & Johnson 12801 91905 SH COM 91905 0 0
13.08.2019 Kontoor Brands,Inc. 656 23397 SH COM 23397 0 0
13.08.2019 Linde PLC 12613 62813 SH SHS 62813 0 0
13.08.2019 McCormick & Co. Inc. 310 2000 SH COM NON VTG 2000 0 0
13.08.2019 Medtronic PLC 14972 153732 SH SHS 153732 0 0
13.08.2019 Merck & Co. Inc. 249 2973 SH COM 2973 0 0
13.08.2019 Microsoft Corp. 18329 136824 SH COM 136824 0 0
13.08.2019 Nike Inc. 495 5900 SH CL B 5900 0 0
13.08.2019 Pepsico Inc. 8630 65811 SH COM 65811 0 0
13.08.2019 Phillips 66 Co. 9478 101323 SH COM 101323 0 0
13.08.2019 Resideo Technologies Inc. 217 9884 SH COM 9884 0 0
13.08.2019 TJX Companies Inc. 14504 274274 SH COM 274274 0 0
13.08.2019 The Walt Disney Co. 4754 34045 SH COM DISNEY 34045 0 0
13.08.2019 Union Pacific Corp. 7352 43472 SH COM 43472 0 0
13.08.2019 UnitedHealth Group Inc. 7889 32330 SH COM 32330 0 0
13.08.2019 VF Corp. 14469 165642 SH COM 165642 0 0
13.08.2019 Visa Inc. Class A 14898 85844 SH COM CL A 85844 0 0
13.08.2019 W.R. Berkley Corp. 9783 148380 SH COM 148380 0 0
13.08.2019 Vanguard FTSE Developed Market 30965 742395 SH FTSE DEV MKT ETF 742395 0 0
13.08.2019 Vanguard FTSE Emerging Markets 11354 266976 SH FTSE EMR MKT ETF 266976 0 0
13.08.2019 iShares Core S&P Small Cap ETF 16670 212951 SH CORE S&P SCP ETF 212951 0 0
13.08.2019 iShares S&P Mid Cap 400 Growth 213 940 SH S&P MC 400GR ETF 940 0 0
13.08.2019 SPDR S&P 500 ETF 3429 11853 SH TR UNIT 11853 0 0
13.08.2019 iShares S&P 500 Growth Index E 771 4300 SH S&P 500 GRWT ETF 4300 0 0
13.08.2019 SPDR Gold Trust 8419 63204 SH GOLD SHS 63204 0 0
13.08.2019 iShares Gold Trust 4202 311240 SH ISHARES 311240 0 0
05.02.2020 3M Co. 4310 24430 SH COM 24430 0 0
05.02.2020 Aflac Inc. 4827 91246 SH COM 91246 0 0
05.02.2020 Alphabet Inc. Class C 10660 7973 SH COM 7973 0 0
05.02.2020 Amazon.com Inc. 10758 5822 SH COM 5822 0 0
05.02.2020 American Tower Corp. 17214 74900 SH COM 74900 0 0
05.02.2020 Amgen Inc. 8722 36179 SH COM 36179 0 0
05.02.2020 Apple Inc. 12936 44051 SH COM 44051 0 0
05.02.2020 Autodesk Inc. 5808 31660 SH COM 31660 0 0
05.02.2020 Avanos Medical Inc. 235 6962 SH COM 6962 0 0
05.02.2020 Bank of America Corp. 10285 292016 SH COM 292016 0 0
05.02.2020 Bank of New York Mellon Corp. 6519 129527 SH COM 129527 0 0
05.02.2020 Baxter International Inc. 4226 50544 SH COM 50544 0 0
05.02.2020 Black Knight Inc. 1748 27115 SH COM 27115 0 0
05.02.2020 Boeing Co. 1991 6111 SH COM 6111 0 0
05.02.2020 Brighthouse Financial Inc. 294 7483 SH COM 7483 0 0
05.02.2020 CVS Health Corp. 8382 112826 SH COM 112826 0 0
05.02.2020 Canadian Natural Resources Ltd 210 6500 SH COM 6500 0 0
05.02.2020 Chevron Corp. 253 2097 SH COM 2097 0 0
05.02.2020 Citizens Financial Group Inc. 3640 89630 SH COM 89630 0 0
05.02.2020 Colgate-Palmolive Co. 4487 65177 SH COM 65177 0 0
05.02.2020 ConocoPhillips 6937 106679 SH COM 106679 0 0
05.02.2020 Cummins Inc. 251 1400 SH COM 1400 0 0
05.02.2020 Dominion Energy Inc. 3933 47489 SH COM 47489 0 0
05.02.2020 Eli Lilly & Co. 646 4915 SH COM 4915 0 0
05.02.2020 Exxon Mobil Corp. 4159 59602 SH COM 59602 0 0
05.02.2020 Facebook Inc. 10477 51047 SH COM 51047 0 0
05.02.2020 Fidelity National Financial In 6395 141008 SH COM 141008 0 0
05.02.2020 Goldman Sachs Group Inc. 7238 31481 SH COM 31481 0 0
05.02.2020 Home Depot Inc. 18008 82462 SH COM 82462 0 0
05.02.2020 Honeywell International Inc. 11042 62384 SH COM 62384 0 0
05.02.2020 IDEX Corp. 241 1400 SH COM 1400 0 0
05.02.2020 Johnson & Johnson 13374 91685 SH COM 91685 0 0
05.02.2020 Kontoor Brands Inc. 919 21880 SH COM 21880 0 0
05.02.2020 Linde PLC 13537 63583 SH COM 63583 0 0
05.02.2020 Lowe's Companies Inc. 6665 55650 SH COM 55650 0 0
05.02.2020 McCormick & Co. Inc. 339 2000 SH COM 2000 0 0
05.02.2020 Medtronic PLC 18597 163922 SH COM 163922 0 0
05.02.2020 Microsoft Corp. 21870 138678 SH COM 138678 0 0
05.02.2020 Nike Inc. 573 5660 SH COM 5660 0 0
05.02.2020 PepsiCo Inc. 8940 65412 SH COM 65412 0 0
05.02.2020 Phillips 66 11564 103793 SH COM 103793 0 0
05.02.2020 Roche Holdings Ltd. (ADR) 2674 65776 SH COM 65776 0 0
05.02.2020 TJX Companies Inc. 17464 286014 SH COM 286014 0 0
05.02.2020 The Walt Disney Co. 4994 34527 SH COM 34527 0 0
05.02.2020 Union Pacific Corp. 7888 43632 SH COM 43632 0 0
05.02.2020 UnitedHealth Group Inc. 9557 32510 SH COM 32510 0 0
05.02.2020 VF Corp. 17090 171486 SH COM 171486 0 0
05.02.2020 Visa Inc. Class A 17225 91672 SH COM 91672 0 0
05.02.2020 W.R. Berkley Corp. 11181 161810 SH COM 161810 0 0
05.02.2020 Vanguard FTSE Developed Market 44372 1007085 SH ETF 1007085 0 0
05.02.2020 Vanguard FTSE Emerging Markets 11858 266656 SH ETF 266656 0 0
05.02.2020 iShares Core S&P Small Cap ETF 18252 217671 SH ETF 217671 0 0
05.02.2020 iShares S&P Mid Cap 400 Growth 210 880 SH ETF 880 0 0
05.02.2020 SPDR Portfolio S&P 500 Growth 326 7940 SH ETF 7940 0 0
05.02.2020 SPDR Portfolio S&P 500 Value E 237 6790 SH ETF 6790 0 0
05.02.2020 SPDR S&P 500 ETF 3792 11631 SH ETF 11631 0 0
05.02.2020 Vanguard 500 Index Fund Adm 358 1202 SH ETF 1202 0 0
05.02.2020 iShares S&P 500 Growth ETF 833 4300 SH ETF 4300 0 0
05.02.2020 SPDR Barclays High Yield Bond 6031 55060 SH ETF 55060 0 0
05.02.2020 SPDR Gold Trust 8970 62774 SH ETF 62774 0 0
05.02.2020 iShares Gold Trust 4639 319920 SH ETF 319920 0 0
15.04.2020 3M Co. 3328 24380 SH COM 24380 0 0
15.04.2020 Adobe Systems Inc. 3224 10130 SH COM 10130 0 0
15.04.2020 Aflac Inc. 2944 85986 SH COM 85986 0 0
15.04.2020 Alphabet Inc. Class C 9469 8143 SH COM 8143 0 0
15.04.2020 Amazon.com Inc. 11683 5992 SH COM 5992 0 0
15.04.2020 American Tower Corp. 16327 74980 SH COM 74980 0 0
15.04.2020 Amgen Inc. 7341 36209 SH COM 36209 0 0
15.04.2020 Apple Inc. 11169 43922 SH COM 43922 0 0
15.04.2020 Autodesk Inc. 4959 31770 SH COM 31770 0 0
15.04.2020 Bank of America Corp. 6215 292756 SH COM 292756 0 0
15.04.2020 Baxter International Inc. 4439 54679 SH COM 54679 0 0
15.04.2020 Black Knight Inc. 1437 24743 SH COM 24743 0 0
15.04.2020 Boeing Co. 896 6011 SH COM 6011 0 0
15.04.2020 Chevron 6521 9000 SH COM 9000 0 0
15.04.2020 CVS Health Corp. 6724 113329 SH COM 113329 0 0
15.04.2020 Colgate-Palmolive Co. 4381 66017 SH COM 66017 0 0
15.04.2020 Dominion Energy Inc. 3427 47469 SH COM 47469 0 0
15.04.2020 Eli Lilly & Co. 649 4681 SH COM 4681 0 0
15.04.2020 Exxon Mobil Corp. 2256 59422 SH COM 59422 0 0
15.04.2020 Facebook Inc. 8224 49307 SH COM 49307 0 0
15.04.2020 Fidelity National Financial In 3456 138898 SH COM 138898 0 0
15.04.2020 Goldman Sachs Group Inc. 4840 31311 SH COM 31311 0 0
15.04.2020 Home Depot Inc. 11750 62932 SH COM 62932 0 0
15.04.2020 Honeywell International Inc. 8353 62434 SH COM 62434 0 0
15.04.2020 Johnson & Johnson 12003 91535 SH COM 91535 0 0
15.04.2020 Linde PLC 10972 63423 SH COM 63423 0 0
15.04.2020 Lowe's Companies Inc. 4805 55840 SH COM 55840 0 0
15.04.2020 McCormick & Co. Inc. 282 2000 SH COM 2000 0 0
15.04.2020 Medtronic PLC 14815 164282 SH COM 164282 0 0
15.04.2020 Microsoft Corp. 18532 117506 SH COM 117506 0 0
15.04.2020 Nike Inc. 468 5660 SH COM 5660 0 0
15.04.2020 PepsiCo Inc. 7783 64806 SH COM 64806 0 0
15.04.2020 Phillips 66 5545 103353 SH COM 103353 0 0
15.04.2020 Roche Holdings Ltd. (ADR) 2592 63896 SH COM 63896 0 0
15.04.2020 TJX Companies Inc. 13759 287794 SH COM 287794 0 0
15.04.2020 The Walt Disney Co. 3457 35787 SH COM 35787 0 0
15.04.2020 Union Pacific Corp. 6155 43642 SH COM 43642 0 0
15.04.2020 UnitedHealth Group Inc. 8075 32380 SH COM 32380 0 0
15.04.2020 VF Corp. 9250 171036 SH COM 171036 0 0
15.04.2020 Visa Inc. Class A 14868 92282 SH COM 92282 0 0
15.04.2020 W.R. Berkley Corp. 8590 164655 SH COM 164655 0 0
15.04.2020 Vanguard FTSE Developed Market 33534 1005815 SH ETF 1005815 0 0
15.04.2020 Vanguard FTSE Emerging Markets 8915 265716 SH ETF 265716 0 0
15.04.2020 Vanguard Short Term Bond 8067 9816 SH ETF 9816 0 0
15.04.2020 SPDR S&P 500 ETF 9616 37306 SH ETF 37306 0 0
15.04.2020 Vanguard 500 Index Fund Adm 287 1202 SH ETF 1202 0 0
15.04.2020 iShares S&P 500 Growth ETF 710 4300 SH ETF 4300 0 0
15.04.2020 SPDR Gold Trust 9209 62204 SH ETF 62204 0 0
15.04.2020 iShares Gold Trust 4860 322480 SH ETF 322480 0 0
17.07.2020 3M Co. 3808 24410 SH COM 24410 0 0
17.07.2020 Adobe Systems Inc. 4440 10200 SH COM 10200 0 0
17.07.2020 Aflac Inc. 3026 83986 SH COM 83986 0 0
17.07.2020 Alphabet Inc. Class C 11617 8218 SH COM 8218 0 0
17.07.2020 Amazon.com Inc. 16696 6052 SH COM 6052 0 0
17.07.2020 American Tower Corp. 15373 59460 SH COM 59460 0 0
17.07.2020 Amgen Inc. 8565 36314 SH COM 36314 0 0
17.07.2020 Apple Inc. 16110 44162 SH COM 44162 0 0
17.07.2020 Autodesk Inc. 7603 31785 SH COM 31785 0 0
17.07.2020 Baxter International Inc. 5164 59978 SH COM 59978 0 0
17.07.2020 Black Knight Inc. 1731 23862 SH COM 23862 0 0
17.07.2020 Boeing Co. 1102 6011 SH COM 6011 0 0
17.07.2020 Brighthouse Financial Inc. 202 7257 SH COM 7257 0 0
17.07.2020 CVS Health Corp. 7358 113259 SH COM 113259 0 0
17.07.2020 Chevron 8 8031 SH COM 8031 0 0
17.07.2020 Colgate-Palmolive Co. 4864 66387 SH COM 66387 0 0
17.07.2020 Cummins Inc. 243 1400 SH COM 1400 0 0
17.07.2020 Delta Airlines 28 2805 SH COM 2805 0 0
17.07.2020 Dominion Energy Inc. 3870 47669 SH COM 47669 0 0
17.07.2020 Eli Lilly & Co. 759 4471 SH COM 4496 0 0
17.07.2020 Exxon Mobil Corp. 2655 59372 SH COM 59372 0 0
17.07.2020 Facebook Inc. 6239 27477 SH COM 27477 0 0
17.07.2020 Fidelity National Financial In 4246 138478 SH COM 138478 0 0
17.07.2020 Goldman Sachs Group Inc. 6152 31131 SH COM 31131 0 0
17.07.2020 Home Depot Inc. 15740 62832 SH COM 62832 0 0
17.07.2020 Honeywell International Inc. 9030 62454 SH COM 62454 0 0
17.07.2020 IDEX Corp. 221 1400 SH COM 1400 0 0
17.07.2020 JPMorgan Chase & Co. 8919 94820 SH COM 94820 0 0
17.07.2020 Johnson & Johnson 12991 92375 SH COM 92375 0 0
17.07.2020 Linde PLC 13444 63383 SH COM 63383 0 0
17.07.2020 Lowe's Companies Inc. 7546 55850 SH COM 55850 0 0
17.07.2020 McCormick & Co. Inc. 359 2000 SH COM 2000 0 0
17.07.2020 Medtronic PLC 15091 164572 SH COM 164572 0 0
17.07.2020 Microsoft Corp. 23811 117001 SH COM 117001 0 0
17.07.2020 Nike Inc. 555 5660 SH COM 5660 0 0
17.07.2020 PepsiCo Inc. 8570 64796 SH COM 64796 0 0
17.07.2020 Phillips 66 7429 103323 SH COM 103323 0 0
17.07.2020 Roche Holdings Ltd. (ADR) 2740 63156 SH COM 63156 0 0
17.07.2020 Southwest Arilines 3 3418 SH COM 3418 0 0
17.07.2020 TJX Companies Inc. 14573 288224 SH COM 288224 0 0
17.07.2020 The Walt Disney Co. 4022 36067 SH COM 36067 0 0
17.07.2020 Union Pacific Corp. 7338 43402 SH COM 43402 0 0
17.07.2020 UnitedHealth Group Inc. 9565 32430 SH COM 32430 0 0
17.07.2020 VF Corp. 10407 170776 SH COM 170776 0 0
17.07.2020 Visa Inc. Class A 18021 93292 SH COM 93292 0 0
17.07.2020 W.R. Berkley Corp. 9516 166110 SH COM 166110 0 0
17.07.2020 Vanguard FTSE Developed Market 40003 1031275 SH ETF 1031275 0 0
17.07.2020 Vanguard FTSE Emerging Markets 10416 262976 SH ETF 262976 0 0
17.07.2020 Vanguard Short-Term Bond Index Fund ETF Shares 2 1946 SH ETF 1946 0 0
17.07.2020 American Funds AMCAP Fund Clas 207 6115 SH ETF 6115 0 0
17.07.2020 Principal Large Cap Growth Fun 359 20251 SH ETF 20251 0 0
17.07.2020 SPDR S&P 500 ETF 4048 12954 SH ETF 12954 0 0
17.07.2020 Vanguard 500 Index Fund Adm 344 1202 SH ETF 1202 0 0
17.07.2020 iShares S&P 500 Growth ETF 892 4300 SH ETF 4300 0 0
17.07.2020 SPDR Gold Trust 10326 61694 SH ETF 61694 0 0
17.07.2020 iShares Gold Trust 5522 324990 SH ETF 324990 0 0
16.10.2020 3M Co. 3924 24500 SH COM 24500 0 0
16.10.2020 Adobe Systems Inc. 5047 10290 SH COM 10290 0 0
16.10.2020 Aflac Inc. 3015 82926 SH COM 82926 0 0
16.10.2020 Alphabet Inc. Class C 12312 8378 SH COM 8378 0 0
16.10.2020 Amazon.com Inc. 16118 5119 SH COM 5119 0 0
16.10.2020 American Tower Corp. 14442 59745 SH COM 59745 0 0
16.10.2020 Amgen Inc. 9280 36514 SH COM 36514 0 0
16.10.2020 Apple Inc. 20579 177692 SH COM 177692 0 0
16.10.2020 Autodesk Inc. 7368 31895 SH COM 31895 0 0
16.10.2020 Avanos Medical Inc. 217 6524 SH COM 6524 0 0
16.10.2020 Baxter International Inc. 4996 62124 SH COM 62124 0 0
16.10.2020 Black Knight Inc. 2070 23783 SH COM 23783 0 0
16.10.2020 Boeing Co. 1018 6161 SH COM 6161 0 0
16.10.2020 CVS Health Corp. 6635 113609 SH COM 113609 0 0
16.10.2020 Colgate-Palmolive Co. 5179 67127 SH COM 67127 0 0
16.10.2020 Chevron 6 90 SH COM 90 0 0
16.10.2020 Cummins Inc. 296 1400 SH COM 1400 0 0
16.10.2020 Delta Airlines 3 100 SH COM 100 0 0
16.10.2020 Dominion Energy Inc. 3793 48059 SH COM 48059 0 0
16.10.2020 Eli Lilly & Co. 684 4621 SH COM 4621 0 0
16.10.2020 Exxon Mobil Corp. 2049 59672 SH COM 59672 0 0
16.10.2020 Facebook Inc. 7246 27667 SH COM 27667 0 0
16.10.2020 Fidelity National Financial In 4350 138928 SH COM 138928 0 0
16.10.2020 Goldman Sachs Group Inc. 6274 31221 SH COM 31221 0 0
16.10.2020 Home Depot Inc. 17467 62897 SH COM 62897 0 0
16.10.2020 Honeywell International Inc. 10411 63244 SH COM 63244 0 0
16.10.2020 IDEX Corp. 255 1400 SH COM 1400 0 0
16.10.2020 JPMorgan Chase & Co. 9183 95390 SH COM 95390 0 0
16.10.2020 Johnson & Johnson 14006 94075 SH COM 94075 0 0
16.10.2020 Linde PLC 15143 63593 SH COM 63593 0 0
16.10.2020 Lowe's Companies Inc. 9343 56332 SH COM 56332 0 0
16.10.2020 McCormick & Co. Inc. 388 2000 SH COM 2000 0 0
16.10.2020 Medtronic PLC 17377 167212 SH COM 167212 0 0
16.10.2020 Microsoft Corp. 24678 117329 SH COM 117329 0 0
16.10.2020 Nike Inc. 711 5660 SH COM 5660 0 0
16.10.2020 PepsiCo Inc. 9044 65256 SH COM 65256 0 0
16.10.2020 Phillips 66 5388 103933 SH COM 103933 0 0
16.10.2020 Roche Holdings Ltd. (ADR) 2666 62276 SH COM 62276 0 0
16.10.2020 Southwest Airlines 4 100 SH COM 100 0 0
16.10.2020 TJX Companies Inc. 16208 291244 SH COM 291244 0 0
16.10.2020 The Walt Disney Co. 4495 36227 SH COM 36227 0 0
16.10.2020 Union Pacific Corp. 8592 43642 SH COM 43642 0 0
16.10.2020 UnitedHealth Group Inc. 10148 32550 SH COM 32550 0 0
16.10.2020 VF Corp. 12109 172366 SH COM 172366 0 0
16.10.2020 Visa Inc. Class A 19324 96632 SH COM 96632 0 0
16.10.2020 W.R. Berkley Corp. 10325 168845 SH COM 168845 0 0
16.10.2020 Vanguard FTSE Developed Market 42488 1038825 SH ETF 1038825 0 0
16.10.2020 Vanguard FTSE Emerging Markets 11415 265679 SH ETF 265679 0 0
16.10.2020 American Funds AMCAP Fund Clas 220 6115 SH ETF 6115 0 0
16.10.2020 JPMorgan Equity Income Fund I 266 15154 SH ETF 15154 0 0
16.10.2020 Nicholas Fund Inc. 257 3535 SH ETF 3535 0 0
16.10.2020 Principal Large Cap Growth Fun 401 20251 SH ETF 20251 0 0
16.10.2020 SPDR Portfolio S&P 500 Growth 299 5960 SH ETF 5960 0 0
16.10.2020 SPDR Portfolio S&P 500 Value E 202 6700 SH ETF 6700 0 0
16.10.2020 SPDR S&P 500 ETF 4017 12127 SH ETF 12127 0 0
16.10.2020 Vanguard 500 Index Fund Adm 359 1158 SH ETF 1158 0 0
16.10.2020 Vanguard Healthcare ETF 1 6 SH ETF 6 0 0
16.10.2020 Vanguard S&P 500 ETF 3 10 SH ETF 10 0 0
16.10.2020 Vanguard Total Stock Market 2 10 SH ETF 10 0 0
16.10.2020 Vanguard Sort-Term Bond ETF 2 23 SH ETF 23 0 0
16.10.2020 iShares S&P 500 Growth ETF 994 4300 SH ETF 4300 0 0
16.10.2020 SPDR Gold Trust 10924 61674 SH ETF 61674 0 0
16.10.2020 iShares Gold Trust 5935 329930 SH ETF 329930 0 0
12.01.2021 3M Co. 4254 24338 SH COM 24338 0 0
12.01.2021 Adobe Systems Inc. 5228 10453 SH COM 10453 0 0
12.01.2021 Aflac Inc. 3433 77206 SH COM 77206 0 0
12.01.2021 Alphabet Inc. Class C 14789 8442 SH COM 8442 0 0
12.01.2021 Amazon.com Inc. 16728 5136 SH COM 5136 0 0
12.01.2021 American Tower Corp. 13376 59593 SH COM 59593 0 0
12.01.2021 Amgen Inc. 8364 36376 SH COM 36376 0 0
12.01.2021 Apple Inc. 23340 175898 SH COM 175898 0 0
12.01.2021 Autodesk Inc. 9802 32103 SH COM 32103 0 0
12.01.2021 Avanos Medical Inc. 287 6249 SH COM 6249 0 0
12.01.2021 Baxter International Inc. 4976 62017 SH COM 62017 0 0
12.01.2021 Black Knight Inc. 1873 21198 SH COM 21198 0 0
12.01.2021 Boeing Co. 1290 6026 SH COM 6026 0 0
12.01.2021 Brighthouse Financial Inc. 240 6637 SH COM 6637 0 0
12.01.2021 CVS Health Corp. 7818 114464 SH COM 114464 0 0
12.01.2021 Chevron 76 90 SH COM 90 0 0
12.01.2021 Colgate-Palmolive Co. 5708 66753 SH COM 66753 0 0
12.01.2021 Cummins Inc. 318 1400 SH COM 1400 0 0
12.01.2021 Dominion Energy Inc. 3620 48139 SH COM 48139 0 0
12.01.2021 Eli Lilly & Co. 850 5038 SH COM 5038 0 0
12.01.2021 Exxon Mobil Corp. 2444 59295 SH COM 59295 0 0
12.01.2021 Facebook Inc. 7571 27717 SH COM 27717 0 0
12.01.2021 Fidelity National Financial In 5369 137343 SH COM 137343 0 0
12.01.2021 Goldman Sachs Group Inc. 8155 30926 SH COM 30926 0 0
12.01.2021 Home Depot Inc. 16565 62362 SH COM 62362 0 0
12.01.2021 Honeywell International Inc. 13486 63405 SH COM 63405 0 0
12.01.2021 IDEX Corp. 279 1400 SH COM 1400 0 0
12.01.2021 JPMorgan Chase & Co. 12173 95796 SH COM 95796 0 0
12.01.2021 Johnson & Johnson 15612 99198 SH COM 99198 0 0
12.01.2021 Linde PLC 16799 63750 SH COM 63750 0 0
12.01.2021 Lowe's Companies Inc. 9032 56272 SH COM 56272 0 0
12.01.2021 McCormick & Co. Inc. 382 4000 SH COM 4000 0 0
12.01.2021 Medtronic PLC 19829 169273 SH COM 169273 0 0
12.01.2021 Merck & Co. Inc. 233 2846 SH COM 2846 0 0
12.01.2021 Microsoft Corp. 25692 115512 SH COM 115512 0 0
12.01.2021 Nike Inc. 801 5660 SH COM 5660 0 0
12.01.2021 PepsiCo Inc. 9511 64133 SH COM 64133 0 0
12.01.2021 Phillips 66 7211 103096 SH COM 103096 0 0
12.01.2021 Roche Holdings Ltd. (ADR) 2642 60272 SH COM 60272 0 0
12.01.2021 TJX Companies Inc. 20039 293444 SH COM 293444 0 0
12.01.2021 The Walt Disney Co. 6611 36486 SH COM 36486 0 0
12.01.2021 Union Pacific Corp. 9087 43642 SH COM 43642 0 0
12.01.2021 UnitedHealth Group Inc. 11474 32720 SH COM 32720 0 0
12.01.2021 VF Corp. 14681 171885 SH COM 171885 0 0
12.01.2021 Visa Inc. Class A 21110 96513 SH COM 96513 0 0
12.01.2021 W.R. Berkley Corp. 11728 176580 SH COM 176580 0 0
12.01.2021 Vanguard FTSE Developed Market 49400 1046383 SH ETF 1046383 0 0
12.01.2021 Vanguard FTSE Emerging Markets 13227 263966 SH ETF 263966 0 0
12.01.2021 iShares Core S&P Small Cap ETF 20978 228270 SH ETF 228270 0 0
12.01.2021 Fidelity Contrafund 1221 72862 SH ETF 72862 0 0
12.01.2021 JPMorgan Equity Income Fund I 306 15521 SH ETF 15521 0 0
12.01.2021 MFS Mass Investors Growth Stoc 474 12650 SH ETF 12650 0 0
12.01.2021 Principal Large Cap Growth Fun 682 33415 SH ETF 33415 0 0
12.01.2021 SPDR Portfolio S&P 500 Growth 254 4590 SH ETF 4590 0 0
12.01.2021 SPDR S&P 500 ETF 4388 11737 SH ETF 11737 0 0
12.01.2021 Vanguard 500 Index Fund Adm 401 1158 SH ETF 1158 0 0
12.01.2021 iShares S&P 500 Growth ETF 1072 16800 SH ETF 16800 0 0
12.01.2021 SPDR Barclays High Yield Bond 2649 24320 SH ETF 24320 0 0
12.01.2021 VanEck Vectors Fallen Angel Hi 5346 166530 SH ETF 166530 0 0
12.01.2021 Vanguard GNMA Fund Admiral 132 12278 SH ETF 12278 0 0
12.01.2021 Vanguard Health Care 1 6 SH ETF 6 0 0
12.01.2021 Vanguard Short-Term Bond 2 24 SH ETF 24 0 0
12.01.2021 Vanguard S&P 500 ETF 3 10 SH ETF 10 0 0
12.01.2021 Vanguard Total Stock Market 2 10 SH ETF 10 0 0
12.01.2021 SPDR Gold Trust 10908 61155 SH ETF 61155 0 0
12.01.2021 iShares Gold Trust 6224 343309 SH ETF 343309 0 0
31.03.2021 3M Co. 4900 25433 SH COM 25433 0 0
31.03.2021 Adobe Systems Inc. 4988 10493 SH COM 10493 0 0
31.03.2021 Aflac Inc. 3745 73176 SH COM 73176 0 0
31.03.2021 Alphabet Inc. Class C 12375 5982 SH COM 5982 0 0
31.03.2021 Amazon.com Inc. 15993 5169 SH COM 5169 0 0
31.03.2021 American Tower Corp. 14230 59523 SH COM 59523 0 0
31.03.2021 Amgen Inc. 8997 36161 SH COM 36161 0 0
31.03.2021 Anthem Inc. 213 594 SH COM 594 0 0
31.03.2021 Apple Inc. 17367 142181 SH COM 142181 0 0
31.03.2021 Autodesk Inc. 9033 32594 SH COM 32594 0 0
31.03.2021 Avanos Medical Inc. 238 5449 SH COM 5449 0 0
31.03.2021 BP PLC (ADR) 6032 247710 SH COM 247710 0 0
31.03.2021 Bank of America Corp. 12366 319608 SH COM 319608 0 0
31.03.2021 Black Knight Inc. 1196 16167 SH COM 16167 0 0
31.03.2021 Boeing Co. 1535 6026 SH COM 6026 0 0
31.03.2021 Brighthouse Financial Inc. 255 5768 SH COM 5768 0 0
31.03.2021 CVS Health Corp. 8594 114237 SH COM 114237 0 0
31.03.2021 Chevron Corp. 1000 1 SH COM 1 0 0
31.03.2021 Colgate-Palmolive Co. 5294 67153 SH COM 67153 0 0
31.03.2021 Cummins Inc. 363 1400 SH COM 1400 0 0
31.03.2021 Dominion Energy Inc. 3650 48049 SH COM 48049 0 0
31.03.2021 Eli Lilly & Co. 1107 5149 SH COM 5149 0 0
31.03.2021 Exxon Mobil Corp. 3329 59635 SH COM 59635 0 0
31.03.2021 Facebook Inc. 8205 27857 SH COM 27857 0 0
31.03.2021 Goldman Sachs Group Inc. 10100 30886 SH COM 30886 0 0
31.03.2021 Home Depot Inc. 18694 61242 SH COM 61242 0 0
31.03.2021 Honeywell International Inc. 13881 63947 SH COM 63947 0 0
31.03.2021 IDEX Corp. 293 1400 SH COM 1400 0 0
31.03.2021 JPMorgan Chase & Co. 14733 96781 SH COM 96781 0 0
31.03.2021 Johnson & Johnson 16604 101030 SH COM 101030 0 0
31.03.2021 Linde PLC 17823 63620 SH COM 63620 0 0
31.03.2021 Lowe's Companies Inc. 10747 56510 SH COM 56510 0 0
31.03.2021 McCormick & Co. Inc. 357 4000 SH COM 4000 0 0
31.03.2021 Medtronic PLC 19784 167480 SH COM 167480 0 0
31.03.2021 Merck & Co. Inc. 213 2766 SH COM 2766 0 0
31.03.2021 Microsoft Corp. 21137 89650 SH COM 89650 0 0
31.03.2021 Nike Inc. 752 5660 SH COM 5660 0 0
31.03.2021 PepsiCo Inc. 9225 65218 SH COM 65218 0 0
31.03.2021 Phillips 66 8566 105051 SH COM 105051 0 0
31.03.2021 Roche Holdings Ltd. (ADR) 2308 56912 SH COM 56912 0 0
31.03.2021 TJX Companies Inc. 19731 298274 SH COM 298274 0 0
31.03.2021 The Walt Disney Co. 6979 37820 SH COM 37820 0 0
31.03.2021 Truist Financial Corp. 9896 169679 SH COM 169679 0 0
31.03.2021 Union Pacific Corp. 15078 68407 SH COM 68407 0 0
31.03.2021 UnitedHealth Group Inc. 12196 32778 SH COM 32778 0 0
31.03.2021 VF Corp. 13772 172322 SH COM 172322 0 0
31.03.2021 Visa Inc. Class A 15204 71810 SH COM 71810 0 0
31.03.2021 W.R. Berkley Corp. 12893 171105 SH COM 171105 0 0
31.03.2021 Vanguard FTSE Developed Market 51872 1056237 SH ETF 1056237 0 0
31.03.2021 Vanguard FTSE Emerging Markets 14016 269276 SH ETF 269276 0 0
31.03.2021 iShares Core S&P Small-Cap ETF 25044 230755 SH ETF 230755 0 0
31.03.2021 Fidelity Contrafund 1003 59723 SH ETF 59723 0 0
31.03.2021 JPMorgan Equity Income Fund I 334 15521 SH ETF 15521 0 0
31.03.2021 MFS Mass Investors Growth Stoc 613 15793 SH ETF 15793 0 0
31.03.2021 Principal Large Cap Growth Fun 684 33153 SH ETF 33153 0 0
31.03.2021 SPDR Health Care Select Sector 226 1940 SH ETF 1940 0 0
31.03.2021 SPDR Portfolio S&P 500 Growth 358 6340 SH ETF 6340 0 0
31.03.2021 SPDR Portfolio S&P 500 Value E 301 7950 SH ETF 7950 0 0
31.03.2021 SPDR S&P 500 ETF 7832 15049 SH ETF 15049 0 0
31.03.2021 Vanguard 500 Index Fund Adm 429 1158 SH ETF 1158 0 0
31.03.2021 Vanguard Healthcare 1000 6 SH ETF 6 0 0
31.03.2021 Vanguard Total Stock Market 2000 10 SH ETF 10 0 0
31.03.2021 iShares S&P 500 Growth ETF 1094 16800 SH ETF 16800 0 0
31.03.2021 Invesco Senior Loan ETF 2735 123610 SH ETF 123610 0 0
31.03.2021 SPDR Barclays High Yield Bond 2670 24540 SH ETF 24540 0 0
31.03.2021 VanEck Vectors Fallen Angel Hi 8327 260790 SH ETF 260790 0 0
31.03.2021 SPDR Gold Trust 9779 61135 SH ETF 61135 0 0
31.03.2021 iShares Gold Trust 5642 347009 SH ETF 347009 0 0