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  Name: GUARDIAN INVESTMENT MANAGEMENT
  City: SAN FRANCISCO,CA.
  State: CA
  Zip: 94104
   
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Portfolio Summary View Filing
  Filing Report Date : 2024-03-31
  Total Value : $124,362,000
  Total Value Change : $5,636,000
  Securities Held Change : -2
   
All Securities Held : 54
  New Positions : 0
  Closed Positions : 4
  Increased Positions : 18
  Unchanged Positions : 11
  Decreased Positions : 25

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Holdings Found : 25     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
   (AAPL)1 Year Chart         AAPL Apple Inc 1 - $169.30 $17,380,000 101,353 13.98% -5,282,000 -16,354 0.001    Personal Computers
   (NVDA)1 Year Chart         NVDA NVIDIA Corporation 2 - $877.35 $9,620,000 10,647 7.74% 4,103,000 -494 0    Semiconductor - Speci...
   (AMGN)1 Year Chart         AMGN Amgen Inc 5 - $269.98 $4,334,000 14,829 3.48% -9,000 -249 0.003    Biotechnology
   (JPM)1 Year Chart         JPM JP Morgan Chase & Co 6 - $193.49 $4,041,000 20,174 3.25% 225,000 -2,261 0.001    Domestic Money Center...
   (COST)1 Year Chart         COST Costco Wholesale Corp 8 - $729.18 $3,810,000 5,200 3.06% 265,000 -170 0.001    Discount, Variety Stores
   (JNJ)1 Year Chart         JNJ Johnson & Johnson 9 - $146.14 $3,689,000 23,322 2.97% -6,000 -250 0.001    Drug Manufacturers - ...
   (ABBV)1 Year Chart         ABBV Abbvie Inc. 10 - $159.62 $3,683,000 20,226 2.96% 255,000 -1,895 0.001    Drug Manufacturers - ...
   (CVX)1 Year Chart         CVX Chevron Corp 11 - $165.89 $3,349,000 21,228 2.69% 97,000 -575 0.001    Integrated Oil & Gas
   (ITW)1 Year Chart         ITW Illinois Tool Works Inc 16 - $248.28 $2,308,000 8,600 1.86% -259,000 -1,200 0.003    Diversified Machinery
   (CMCSA)1 Year Chart         CMCSA Comcast Corp 19 - $38.57 $2,172,000 50,112 1.75% -683,000 -15,000 0.001    CATV Systems
   (MRK)1 Year Chart         MRK Merck & Co Inc 20 - $131.20 $2,138,000 16,200 1.72% 208,000 -1,500 0.001    Drug Manufacturers - ...
   (CSX)1 Year Chart         CSX CSX Corp 26 - $33.99 $1,640,000 44,250 1.32% 75,000 -900 0.002    Railroads
   (XOM)1 Year Chart         XOM Exxon Mobil Corp 27 - $117.96 $1,603,000 13,793 1.29% 164,000 -600 0    Integrated Oil & Gas
   (ABT)1 Year Chart         ABT Abbott Laboratories 29 - $107.53 $1,412,000 12,425 1.14% 9,000 -325 0.001    Drug Manufacturers - ...
   (CSCO)1 Year Chart         CSCO Cisco Systems Inc 31 - $47.86 $1,358,000 27,200 1.09% -67,000 -1,000 0    Networking & Communic...
   (MMM)1 Year Chart         MMM 3M Co 32 - $91.83 $1,315,000 12,400 1.06% -62,000 -200 0.002    Conglomerates
   (C)1 Year Chart         C Citigroup Inc 35 - $62.66 $1,040,000 16,440 0.84% 116,000 -1,515 0.001    Domestic Money Center...
   (SO)1 Year Chart         SO Southern Co 36 - $73.21 $998,000 13,910 0.8% -12,000 -500 0.001    Electric Utilities
   (AXP)1 Year Chart         AXP American Express Co 37 - $235.64 $994,000 4,367 0.8% 129,000 -250 0.001    Credit Services
   (T)1 Year Chart         T AT&T Corp 38 - $16.75 $968,000 54,976 0.78% -24,000 -4,156 0.001    Long Distance Carriers
   (PFE)1 Year Chart         PFE Pfizer Inc 43 - $25.40 $769,000 27,700 0.62% -740,000 -24,700 0    Drug Manufacturers - ...
   (BMY)1 Year Chart         BMY Bristol-Myers Squibb Co 44 - $44.85 $766,000 14,125 0.62% -508,000 -10,700 0.001    Drug Manufacturers - ...
   (NSC)1 Year Chart         NSC Norfolk Southern Corp 51 - $249.65 $529,000 2,075 0.43% 15,000 -100 0.001    Railroads
   (DUK)1 Year Chart         DUK Duke Energy Corp 52 - $97.71 $527,000 5,449 0.42% -26,000 -250 0.001    Electric Utilities
   (DIS)1 Year Chart         DIS Walt Disney Co 54 - $112.73 $398,000 3,250 0.32% 41,000 -700 0    Entertainment - Diver...

      25 Records Found
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