Morgan Stanley: Hold Until 2019

Stocks in fund: 32

More info coming soon! Until then if you have ideas for stock lists you'd like to see, then contact us via info@stocks.fund. Thanks and keep crushing the markets!
SYMBOL NAME OPEN CLOSE HIGH LOW LAST MARKET CAP INDUSTRY
NAME
SECTOR
NAME
AAPL Apple Inc. 150.48 151.02 151.42 149.95 119.78 Telecommunications Equipment
AMZN Amazon.com, Inc. 1025.00 1026.87 1031.59 1022.50 809.04 Internet Retail
FB Facebook, Inc. Class A 163.59 164.14 165.70 163.17 127.55 Internet Software/Services
PNRA Panera Bread Company Class A 314.86 314.93 314.98 314.85 214.53 Restaurants
ROST Ross Stores, Inc. 54.35 54.42 54.73 54.21 65.96 Apparel/Footwear Retail
SBAC SBA Communications Corp. Class A 138.96 138.46 138.96 136.39 106.39 Wireless Telecommunications
ACN Accenture Plc Class A 127.50 127.78 128.00 126.72 114.63 Information Technology Services
DHR Danaher Corporation 85.52 85.79 85.89 85.29 80.36 Medical Specialties
DG Dollar General Corporation 71.01 71.39 71.55 70.84 72.00 Discount Stores
JPM JPMorgan Chase & Co. 91.34 91.20 91.62 91.00 86.03 Major Banks
LB L Brands, Inc. 44.01 44.58 44.76 43.78 58.71 Apparel/Footwear Retail
EL Estee Lauder Companies Inc 96.46 96.94 97.17 96.29 80.87
ZAYO Zayo Group Holdings, Inc. 31.37 31.79 32.50 31.26 31.94 Specialty Telecommunications
STZ Constellation Brands, Inc. Class A 197.51 198.30 198.37 196.00 148.34 Beverages: Alcoholic
SERV ServiceMaster Global Holdings, Inc. 39.48 39.66 39.74 39.26 37.01 Other Consumer Services
BX Blackstone Group L.P. 34.83 34.78 35.09 34.56 31.02 Investment Managers
FRC First Republic Bank 100.44 99.99 100.80 99.54 94.04 Regional Banks
PM Philip Morris International Inc. 119.51 121.62 121.69 119.42 95.96 Tobacco
MTD Mettler-Toledo International Inc. 607.99 608.76 611.34 605.87 422.06 Miscellaneous Manufacturing
V Visa Inc. Class A 97.64 98.25 98.33 97.55 83.70 Finance/Rental/Leasing
CVS CVS Health Corporation 78.12 77.39 78.74 77.34 78.68 Drugstore Chains
HCA HCA Holdings, Inc. 85.96 85.23 86.66 85.05 79.29 Hospital/Nursing Management
NEE NextEra Energy, Inc. 141.94 141.80 142.06 141.33 122.45 Electric Utilities
NKE NIKE, Inc. Class B 57.60 57.77 57.88 57.39 53.08 Apparel/Footwear
IBM International Business Machines Corporation 150.02 147.53 150.25 146.71 175.80 Information Technology Services
WWAV WhiteWave Foods Company 56.23 56.24 56.25 56.23 55.18 Food: Meat/Fish/Dairy
PSA Public Storage 207.46 207.77 208.43 207.06 214.99 Real Estate Investment Trusts
TMUS T-Mobile US, Inc. 61.51 61.97 62.08 61.13 60.07 Wireless Telecommunications
GOOGL Alphabet Inc. Class A 990.01 992.77 995.60 987.01 824.37 Internet Software/Services
CMCSA Comcast Corporation Class A 39.26 39.34 39.36 38.84 72.61 Cable/Satellite TV
Back to Portfolios overview