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  Name: Capital Planning Advisors LLC
  City: SACRAMENTO
  State: CA
  Zip: 95825
   
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Portfolio Summary View Filing
  Filing Report Date : 2023-12-31
  Total Value : $528,933,000
  Total Value Change : $49,700,000
  Securities Held Change : 14
   
All Securities Held : 135
  New Positions : 12
  Closed Positions : 1
  Increased Positions : 55
  Unchanged Positions : 13
  Decreased Positions : 55

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Holdings Found : 55     View All Holdings Currently Viewing:  Decreased 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
   (USFR)1 Year Chart         USFR Wisdomtree Bloomberg Floati... 1 - $50.45 $42,603,000 847,999 8.05% -1,559,000 -29,631 0.161    N/A
   (GLDM)1 Year Chart         GLDM Spdr Gold Minishares Trust 5 - $47.32 $25,362,000 619,957 4.79% 1,774,000 -23,479 0.308    N/A
   (AAPL)1 Year Chart         AAPL Apple Inc 7 - $189.72 $19,776,000 102,717 3.74% 1,683,000 -2,958 0.001    Personal Computers
   (VEA)1 Year Chart         VEA Vanguard Europe Pacific ETF 8 - $49.56 $18,742,000 391,282 3.54% 1,299,000 -7,687 0.018    Closed - End Fund - F...
   (MSFT)1 Year Chart         MSFT Microsoft Corp 9 - $423.08 $18,049,000 47,998 3.41% 2,711,000 -577 0.001    Application Software
   (GOOGL)1 Year Chart         GOOGL Alphabet Inc 12 - $172.51 $11,598,000 83,025 2.19% 672,000 -469 0.001    Search Engines & Info...
   (RLY)1 Year Chart         RLY Spdr Ssga Multi Asset Real ... 13 - $28.79 $11,193,000 411,212 2.12% -2,209,000 -85,881 1.772    N/A
   (COST)1 Year Chart         COST Costco Wholesale Corp 15 - $787.04 $9,691,000 14,681 1.83% 1,309,000 -155 0.003    Discount, Variety Stores
   (AMZN)1 Year Chart         AMZN Amazon.com Inc 16 - $185.99 $8,900,000 58,576 1.68% 1,401,000 -419 0.001    Internet Software & S...
   (V)1 Year Chart         V Visa Inc 17 - $281.50 $7,655,000 29,403 1.45% 789,000 -450 0.002    Business Services
   (UNH)1 Year Chart         UNH Unitedhealth Group Inc 19 - $517.55 $6,625,000 12,583 1.25% 163,000 -234 0.001    Health Care Plans
   (JNJ)1 Year Chart         JNJ Johnson & Johnson 23 - $152.67 $5,341,000 34,074 1.01% -400,000 -2,789 0.001    Drug Manufacturers - ...
   (ABT)1 Year Chart         ABT Abbott Laboratories 24 - $104.59 $5,116,000 46,483 0.97% 614,000 -3 0.003    Drug Manufacturers - ...
   (VUG)1 Year Chart         VUG Vanguard Growth VIPERS 25 - $351.38 $4,945,000 15,908 0.93% 492,000 -445 0.006    Closed - End Fund - E...
   (PGR)1 Year Chart         PGR Progressive Corp 26 - $209.25 $4,880,000 30,640 0.92% 154,000 -3,290 0.005    Property & Casualty I...
   (BIN)1 Year Chart         BIN Waste Connections, Inc 27 - $165.76 $4,741,000 31,761 0.9% 453,000 -168 0.012    Waste Management
   (ADBE)1 Year Chart         ADBE Adobe Systems Inc 29 - $485.35 $4,515,000 7,569 0.85% 501,000 -304 0.002    Application Software
   (FB)1 Year Chart         FB Meta Platforms Inc 30 - $481.54 $4,494,000 12,697 0.85% 486,000 -652 0.001    Internet Service Prov...
   (MMC)1 Year Chart         MMC Marsh & McLennan Companies Inc 32 - $206.33 $4,392,000 23,180 0.83% -84,000 -341 0.005    Insurance Brokers
   (IBM)1 Year Chart         IBM International Business Mach... 33 - $168.26 $4,348,000 26,587 0.82% 572,000 -329 0.003    Diversified Computer ...
   (NVDA)1 Year Chart         NVDA NVIDIA Corporation 35 - $946.30 $4,094,000 8,268 0.77% 276,000 -509 0    Semiconductor - Speci...
   (BOND)1 Year Chart         BOND Pimco Total Return Exchange... 41 - $89.43 $3,437,000 37,175 0.65% -43,000 -2,410 0.107    N/A
   (ACN)1 Year Chart         ACN Accenture Plc 42 - $308.52 $3,291,000 9,378 0.62% 290,000 -393 0.001    Management Services
   (GWW)1 Year Chart         GWW WW Grainger Inc 44 - $958.15 $3,002,000 3,622 0.57% 408,000 -127 0.007    Electronics Wholesale
   (ODFL)1 Year Chart         ODFL Old Dominion Freight Line Inc 46 - $195.06 $2,889,000 7,128 0.55% -118,000 -221 0.003    Trucking
   (AVGO)1 Year Chart         AVGO Broadcom Limited 48 - $1,436.17 $2,611,000 2,339 0.49% 549,000 -143 0.001    Semiconductor- Broad...
   (ORCL)1 Year Chart         ORCL Oracle Corp 49 - $121.63 $2,601,000 24,674 0.49% -16,000 -36 0.001    Application Software
   (TXN)1 Year Chart         TXN Texas Instruments Inc 51 - $195.53 $2,512,000 14,738 0.47% -132,000 -1,891 0.002    Semiconductor- Broad...
   (DE)1 Year Chart         DE Deere & Co 53 - $414.02 $2,196,000 5,491 0.42% 49,000 -198 0.002    Farm & Construction M...
   (QQQ)1 Year Chart         QQQ Invesco QQQ Trust Series I 56 - $452.90 $2,107,000 5,144 0.4% 261,000 -8 0.001    Closed - End Fund - Debt
   (PH)1 Year Chart         PH Parker Hannifin Corp 62 - $553.27 $1,553,000 3,370 0.29% 237,000 -8 0.003    Industrial Equipment ...
   (GOOG)1 Year Chart         GOOG Alphabet Inc 64 - $173.88 $1,401,000 9,944 0.26% 87,000 -23 0    Search Engines & Info...
   (VLO)1 Year Chart         VLO Valero Energy Corp 70 - $157.71 $1,146,000 8,817 0.22% -212,000 -765 0.002    Oil & Gas Refining, P...
   (CI)1 Year Chart         CI Cigna Corporation 73 - $343.28 $1,004,000 3,353 0.19% 40,000 -16 0.001    Health Care Plans
   (EFA)1 Year Chart         EFA iShares TR MSCI EAFE Indx FD 75 - $81.80 $904,000 12,002 0.17% 59,000 -258 0.002    Closed - End Fund - E...
   (LLY)1 Year Chart         LLY Eli Lilly & Co 76 - $787.02 $793,000 1,361 0.15% 31,000 -57 0    Drug Manufacturers - ...
   (XOM)1 Year Chart         XOM Exxon Mobil Corp 83 - $118.58 $682,000 6,825 0.13% -147,000 -223 0    Integrated Oil & Gas
   (HON)1 Year Chart         HON Honeywell International Inc 87 - $205.06 $645,000 3,077 0.12% 39,000 -202 0    Conglomerates
   (IEF)1 Year Chart         IEF iShares Lehman 7-10 Year Tr... 88 - $93.58 $616,000 6,387 0.12% -33,301,000 -363,930 0.002    Closed - End Fund - E...
   (PM)1 Year Chart         PM Philip Morris International... 89 - $100.57 $615,000 6,536 0.12% -14,000 -260 0    Cigarettes & Other To...
   (FTLS)1 Year Chart         FTLS First Trust Long Short Equity 91 - $0.00 $601,000 10,680 0.11% -54,000 -1,638 0.015    N/A
   (PG)1 Year Chart         PG Procter & Gamble Co 93 - $166.51 $589,000 4,017 0.11% -38,000 -285 0    Cleaning Products
   (CVS)1 Year Chart         CVS CVS/Caremark Corp 97 - $56.26 $531,000 6,726 0.1% 53,000 -124 0.001    Drug Stores
   (COP)1 Year Chart         COP ConocoPhillips 101 - $120.70 $458,000 3,948 0.09% -33,000 -154 0    Integrated Oil & Gas
   (IAU)1 Year Chart         IAU iShares COMEX Gold Trust 104 - $45.13 $426,000 10,910 0.08% 29,000 -435 0.001    Closed - End Fund - E...
   (PFE)1 Year Chart         PFE Pfizer Inc 105 - $28.82 $407,000 14,134 0.08% -136,000 -2,222 0    Drug Manufacturers - ...
   (TMUS)1 Year Chart         TMUS T-Mobile Us Inc 108 - $162.68 $351,000 2,191 0.07% 42,000 -17 0    Wireless Communications
   (ABBV)1 Year Chart         ABBV Abbvie Inc. 111 - $163.79 $329,000 2,125 0.06% 10,000 -17 0    Drug Manufacturers - ...
   (CRM)1 Year Chart         CRM Salesforce.com Inc 113 - $287.54 $315,000 1,198 0.06% 71,000 -4 0    Internet Software & S...
   (VEU)1 Year Chart         VEU Vanguard FTSE All-World ETF 115 - $57.31 $305,000 5,439 0.06% -83,000 -2,043 0.001    Closed - End Fund - F...
   (SYY)1 Year Chart         SYY SYSCO Corp 117 - $75.97 $271,000 3,705 0.05% 18,000 -121 0.001    Food Wholesale
   (MDT)1 Year Chart         MDT Medtronic Plc 119 - $84.72 $258,000 3,132 0.05% -18,000 -391 0    Medical Appliances & ...
   (WPC)1 Year Chart         WPC WP Carey & Co 121 - $59.47 $243,000 3,745 0.05% 29,000 -208 0.002    Property Management
   (DHR)1 Year Chart         DHR Danaher Corp 128 - $263.46 $220,000 951 0.04% -41,000 -99 0    General Building Mate...
   (MDLZ)1 Year Chart         MDLZ Mondelez International Inc 131 - $71.33 $212,000 2,925 0.04% -20,000 -421 0    Food - Major Diversified

      55 Records Found
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