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MERRILL LYNCH & CO., INC.

Changes: All | New | Increased | Decreased | Sold Out

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
BECTON DICKINSON & CO BDXCommon233,124-1,657,91116,260,000-118,590,0000.02  Hist 09/30/2009
OIL SERVICE HOLDRS TRUST OIHDEPOSTRY RCPT1,500-12,10217,615,000-115,249,0000.02  Hist 09/30/2009
SPDR S&P MIDCAP 400 ETF TRUST MDYCommon1,400,555-1,051,739175,447,000-82,535,0000.22  Hist 09/30/2009
POSCO HOLDINGS INC. PKXCommon74,617-989,5837,755,000-80,222,0000.01  Hist 09/30/2009
SPDR S&P 500 ETF TRUST SPYUNIT SER 1921-6,6849,725,000-60,203,0000.01  Hist 09/30/2009
ENBRIDGE ENERGY PARTNERS LP EEPCOM40,056-1,453,0431,805,000-55,800,0000.00  Hist 09/30/2009
SPDR SERIES TRUST SHMCommon61,135-1,748,0741,471,000-41,407,0000.00  Hist 09/30/2009
Energy Transfer LP ETCommon31,090-1,440,574871,000-36,465,0000.00  Hist 09/30/2009
VANGUARD INTERNATIONAL EQUITY INDEX FUNDS VEUETF32,845-1,002,0441,419,000-35,744,0000.00  Hist 09/30/2009
McAfee, Inc. MFECommon1,157-836,88951,000-35,305,0000.000.00 Hist 09/30/2009
BANK OF AMERICA CORP /DE/ BACCommon3,126,110-3,275,37852,894,000-31,606,0000.07  Hist 09/30/2009
SK TELECOM CO LTD SKMCommon381,237-1,879,5926,653,000-27,599,0000.01  Hist 09/30/2009
PROVENA FOODS INC PZACOM85,785-1,194,5052,084,000-26,582,0000.00  Hist 09/30/2009
EVERSOURCE ENERGY NUCommon150,708-1,136,7203,578,000-25,144,0000.00  Hist 09/30/2009
Invesco DB Commodity Index Tracking Fund DBCCommon1,505,020-1,009,87233,200,000-23,687,0000.04  Hist 09/30/2009
GOOGLE INC. GOOGCL A507-64725,140,000-23,511,0000.03  Hist 09/30/2009
SHAW GROUP INC SGRCommon354,301-874,18411,370,000-22,303,0000.01  Hist 09/30/2009
GOLDMAN SACHS GROUP INC GSCOM1,380-1,71525,440,000-20,193,0000.03  Hist 09/30/2009
BCE INC BCECommon8,873-978,380219,000-20,179,0000.00  Hist 09/30/2009
iSHARES TRUST CIUCommon11,890-195,9021,231,000-19,546,0000.00  Hist 09/30/2009
SELECT SECTOR SPDR TRUST XLUPut11-6,98932,000-19,491,0000.00  Hist 09/30/2009
FRANKLIN RESOURCES INC BENCommon71,030-277,2277,146,000-17,933,0000.01  Hist 09/30/2009
VANGUARD WORLD FUND VPUCommon1,466-304,00690,000-17,759,0000.00  Hist 09/30/2009
GOOGLE INC. GOOGPut299-46214,826,000-17,257,0000.02  Hist 09/30/2009
SPDR SERIES TRUST XMEPut250-3,8881,141,000-14,174,0000.00  Hist 09/30/2009
BLACKBERRY Ltd RIMM 1,483-1,91310,030,000-14,112,0000.01  Hist 09/30/2009
PEPSI BOTTLING GROUP INC PBGCommon166,155-417,4766,053,000-13,697,0000.01  Hist 09/30/2009
AMERICA MOVIL SAB DE CV/ AMXSPON ADR L SHS9,296-343,957407,000-13,271,0000.00  Hist 09/30/2009
SPDR SERIES TRUST JNKCommon13,897-344,515535,000-12,078,0000.00  Hist 09/30/2009
EXXON MOBIL CORP XOMCall1,203-1,6658,254,000-11,796,0000.01  Hist 09/30/2009
SSGA FUNDS MANAGEMENT INC XLFPut171,559-52,734256,309,000-11,721,0000.32  Hist 09/30/2009
PATTERSON UTI ENERGY INC PTENCommon11,905-886,570180,000-11,374,0000.00  Hist 09/30/2009
POTASH CORP OF SASKATCHEWAN INC POT 739-1,1736,676,000-11,115,0000.01  Hist 09/30/2009
TTEC Holdings, Inc. TTECCommon9,465-705,807162,000-10,674,0000.00  Hist 09/30/2009
MICREL INC MCRLCommon4,346,785-1,927,49435,427,000-10,500,0000.04  Hist 09/30/2009
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