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Portfolio Details


Standings (rank and portfolio value calculated
since portfolio creation to last update)
Rank Name Portfolio Average
21,619 of 49,484 usr1020 $238,606.55 $474,440.90

Current Holdings
Symbol Name
Cash $48.12
AAPL Apple Inc.
AZGDX AllianzGI Retirement 2015 Fund
BCITX American Century California Int
CHTR Charter Communications, Inc.
DELL Dell Inc.
DISH DISH Network Corporation
DTV DTE Energy Company 2016 Corpora
F Ford Motor Company
FB Facebook, Inc.
FCTFX Fidelity California Municipal I
FFFCX Fidelity Freedom 2010 Fund
FFFDX Fidelity Freedom 2020 Fund
FFFEX Fidelity Freedom 2030 Fund
FFFFX Fidelity Freedom 2040
FFTHX Fidelity Freedom 2035
FFTWX Fidelity Freedom 2025
FFVFX Fidelity Freedom 2015
FHIGX Fidelity Municipal Income Fund
FRESX Fidelity Real Estate Pt
FSPCX Fidelity Select Insurance Portf
GM General Motors Company
GOOG Alphabet Inc.
GOOGL Alphabet Inc.
H Hyatt Hotels Corporation Class
HD Home Depot, Inc. (The)
MAR Marriott International
MCD McDonald's Corporation
MMM 3M Company
MNYIX BNY Mellon New York Intermediat
MRK Merck & Company, Inc. (new)
MSFT Microsoft Corporation
PIVDX PIMCO RealPath 2035 Fund Class
QQQ PowerShares QQQ Trust, Series 1
SNE Sony Corporation
SPLS Staples, Inc.
TIVO TiVo Corporation
UPS United Parcel Service, Inc.
WFGYX Wells Fargo Advantage Dow Jones
WFQTX Wells Fargo Advantage Dow Jones

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Hot Stocks
MSFT: Microsoft Corporation $329.32
IBM: International Business Machines $152.58
INTC: Intel Corporation $33.85
CSCO: Cisco Systems, Inc. $48.93
ORCL: Oracle Corporation $103.66
AAPL: Apple Inc. $169.58
PFE: Pfizer, Inc. $30.84
XOM: Exxon Mobil Corporation $109.45
GE: General Electric Company $106.69
JPM: JP Morgan Chase & Co. $189.53