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  Name: TIEMANN INVESTMENT ADVISORS LLC
  City: MENLO PARK
  State: CA
  Zip: 94025
   
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Portfolio Summary View Filing
  Filing Report Date : 2024-03-31
  Total Value : $223,663,000
  Total Value Change : $17,672,000
  Securities Held Change : 11
   
All Securities Held : 197
  New Positions : 17
  Closed Positions : 6
  Increased Positions : 49
  Unchanged Positions : 56
  Decreased Positions : 75

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Holdings Found : 49     View All Holdings Currently Viewing:  Increased Positions     Page 1 of 1
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Ticker Company Name Position
Rank
New/Closed
Postion
Last
Close
    Value Shares Held
% of
Portfolio
Value
Change
Change In
Shares Held
   % of Company    Industry
   (AGG)1 Year Chart         AGG iShares Barclays Agency Bond 1 - $96.62 $14,268,000 145,683 6.38% 1,463,000 16,669 0.002    Closed - End Fund - E...
   (IUSB)1 Year Chart         IUSB Ishares Core Total Usd Bond... 3 - $0.00 $12,224,000 268,122 5.47% 728,000 18,590 0.009    N/A
   (IEFA)1 Year Chart         IEFA Ishares Core Msci Eafe 5 - $0.00 $10,240,000 137,966 4.58% 771,000 3,363 0.001    N/A
   (JPST)1 Year Chart         JPST Jp Morgan Ultra Short Incom... 6 - $0.00 $6,567,000 130,168 2.94% 42,000 266 0.014    N/A
   (GSST)1 Year Chart         GSST Goldman Sachs Access Ultra ... 8 - $0.00 $5,090,000 101,088 2.28% 733,000 13,968 0.156    N/A
   (AMZN)1 Year Chart         AMZN Amazon.com Inc 14 - $184.30 $3,232,000 17,915 1.45% 534,000 155 0    Internet Software & S...
   (IJR)1 Year Chart         IJR iShares Core S&P Small-Cap 16 - $106.93 $2,601,000 23,530 1.16% 229,000 1,618 0.004    Closed - End Fund - E...
   (COST)1 Year Chart         COST Costco Wholesale Corp 19 - $845.58 $2,285,000 3,119 1.02% 239,000 20 0.001    Discount, Variety Stores
   (IJH)1 Year Chart         IJH iShares S&P MidCap 400 Index 21 - $58.45 $2,109,000 34,715 0.94% 273,000 28,091 0.015    Closed - End Fund - E...
   (ABBV)1 Year Chart         ABBV Abbvie Inc. 24 - $169.42 $2,028,000 11,136 0.91% 321,000 120 0.001    Drug Manufacturers - ...
   (JPEM)1 Year Chart         JPEM Jpmorgan Diversified Return... 26 - $54.86 $1,893,000 35,418 0.85% 174,000 2,550 0.77    N/A
   (LLY)1 Year Chart         LLY Eli Lilly & Co 34 - $849.99 $1,561,000 2,007 0.7% 406,000 25 0    Drug Manufacturers - ...
   (UNH)1 Year Chart         UNH Unitedhealth Group Inc 35 - $490.69 $1,506,000 3,044 0.67% -84,000 25 0    Health Care Plans
   (IVE)1 Year Chart         IVE iShares S&P 500/BARRA Value 37 - $183.30 $1,454,000 7,782 0.65% 191,000 517 0.006    Closed - End Fund - E...
   (HD)1 Year Chart         HD Home Depot Inc 40 - $327.03 $1,268,000 3,306 0.57% 127,000 15 0    Home Improvement Stores
   (CAT)1 Year Chart         CAT Caterpillar Inc 41 - $328.94 $1,259,000 3,437 0.56% 246,000 10 0.001    Farm & Construction M...
   (IVW)1 Year Chart         IVW ishares tr S&P 500 BARRA GR 43 - $88.97 $1,199,000 14,197 0.54% 216,000 1,109 0.003    Closed - End Fund - E...
   (MRK)1 Year Chart         MRK Merck & Co Inc 44 - $131.20 $1,181,000 8,954 0.53% 227,000 200 0    Drug Manufacturers - ...
   (ABT)1 Year Chart         ABT Abbott Laboratories 47 - $107.58 $1,102,000 9,698 0.49% 50,000 140 0.001    Drug Manufacturers - ...
   (IVV)1 Year Chart         IVV iShares Core S&P 500 Etf 50 - $536.73 $980,000 1,864 0.44% 129,000 83 0    Closed - End Fund - E...
   (CEG)1 Year Chart         CEG Constellation Energy Corp 58 - $198.00 $813,000 4,399 0.36% 316,000 150 0.001    N/A
   (IEMG)1 Year Chart         IEMG Ishares Core Msci Emerging ... 63 - $52.95 $739,000 14,321 0.33% 86,000 1,420 0    N/A
   (WMT)1 Year Chart         WMT Wal-Mart Stores Inc 64 - $60.24 $735,000 12,218 0.33% 63,000 7,958 0    Discount, Variety Stores
   (NFLX)1 Year Chart         NFLX Netflix Inc 65 - $641.47 $734,000 1,209 0.33% 157,000 23 0    Music & Video Stores
   (IWM)1 Year Chart         IWM iShares Tr Russell 2000 Indx 71 - $201.20 $682,000 3,242 0.3% 32,000 2 0    Closed - End Fund - E...
   (MAR)1 Year Chart         MAR Marriott International Inc 73 - $231.10 $659,000 2,612 0.29% 76,000 26 0.001    Lodging
   (FISV)1 Year Chart         FISV Fiserv Inc 82 - $151.42 $584,000 3,655 0.26% 120,000 160 0.001    Business Software & S...
   (CMI)1 Year Chart         CMI Cummins Inc 84 - $271.87 $575,000 1,952 0.26% 131,000 100 0.001    Diversified Machinery
   (PLD)1 Year Chart         PLD ProLogis Inc 88 - $110.20 $549,000 4,218 0.25% 0 100 0    REIT - Industrial
   (GE)1 Year Chart         GE General Electric Co 89 - $161.92 $548,000 3,124 0.25% 164,000 115 0    Conglomerates
   (HON)1 Year Chart         HON Honeywell International Inc 96 - $208.78 $469,000 2,287 0.21% 1,000 55 0    Conglomerates
   (AMD)1 Year Chart         AMD Advanced Micro Devices Inc 98 - $167.87 $456,000 2,527 0.2% 120,000 250 0    Semiconductor- Broad...
   (STZ)1 Year Chart         STZ Constellation Brands Inc 101 - $250.93 $440,000 1,620 0.2% 57,000 35 0.001    Beverage - Wineries &...
   (DUK)1 Year Chart         DUK Duke Energy Corp 102 - $102.62 $439,000 4,543 0.2% 13,000 150 0.001    Electric Utilities
   (AMT)1 Year Chart         AMT American Tower Corp 105 - $194.26 $421,000 2,132 0.19% -19,000 96 0    Integrated Telecommun...
   (VWO)1 Year Chart         VWO Vanguard Emerging Markets S... 108 - $43.22 $416,000 9,951 0.19% 9,000 50 0    Closed - End Fund - E...
   (LEN)1 Year Chart         LEN Lennar Corp 114 - $154.02 $392,000 2,280 0.18% 81,000 190 0.001    Residential Construct...
   (AMGN)1 Year Chart         AMGN Amgen Inc 131 - $305.02 $344,000 1,209 0.15% 0 15 0    Biotechnology
   (MCK)1 Year Chart         MCK McKesson Corp 133 - $531.10 $336,000 625 0.15% 65,000 40 0    Drugs Wholesale
   (OTIS)1 Year Chart         OTIS Otis Worldwide Corp 137 - $98.66 $311,000 3,134 0.14% 34,000 35 0.001    N/A
   (T)1 Year Chart         T AT&T Corp 141 - $18.10 $293,000 16,629 0.13% 19,000 300 0    Long Distance Carriers
   (ALB)1 Year Chart         ALB Albemarle Corp 142 - $114.94 $291,000 2,207 0.13% -26,000 10 0.002    Synthetics
   (ZTS)1 Year Chart         ZTS Zoetis Inc. 149 - $176.92 $274,000 1,620 0.12% -7,000 195 0.001    Drugs - Generic
   (DLR)1 Year Chart         DLR Digital Realty Trust Inc 152 - $146.35 $271,000 1,880 0.12% 38,000 150 0    REIT - Diversified
   (NSC)1 Year Chart         NSC Norfolk Southern Corp 161 - $249.65 $259,000 1,017 0.12% 25,000 25 0    Railroads
   (ITW)1 Year Chart         ITW Illinois Tool Works Inc 176 - $240.42 $225,000 837 0.1% 10,000 15 0.002    Diversified Machinery
   (BF.B)1 Year Chart         BF.B Brown Forman Corporation 177 - $43.89 $225,000 4,366 0.1% -1,000 405 0    Beverage - Wineries &...
   (FFC)1 Year Chart         FFC Flaherty & Crumrine/Claymor... 178 - $14.69 $222,000 14,955 0.1% 19,000 326 0.035    Closed - End Fund - E...
   (JEPI)1 Year Chart         JEPI Jpmorgan Equity Premium Inc... 186 - $0.00 $216,000 3,725 0.1% 22,000 200 0    N/A

      49 Records Found
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