Ballast Inc

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Berkshire Hathaway Inc
BRK.B
$2.48M0.415,8990%+$00.78
Green Brick Partners, Inc.
GRBK
$4.43M0.1673,4940%+$01.4
Consolidated Edison, Inc.
ED
$1.29M<0.0114,160+5.4%+$65,928.080.41
Truist Financial Corporation
TFC
$1.59M<0.0140,801+4.38%+$66,733.760.5
The Travelers Companies, Inc.
TRV
$1.61M<0.016,987+0.79%+$12,657.700.51
Target Corporation
TGT
$2M<0.0111,278+2.64%+$51,390.890.63
Duke Energy Corporation
DUK
$1.48M<0.0115,330+2.93%+$42,165.550.47
The PNC Financial Services Group, Inc.
PNC
$1.4M<0.018,670+7.5%+$97,768.840.44
UnitedHealth Group Incorporated
UNH
$7.3M<0.0114,755+17.02%+$1.06M2.31
Bank of America Corporation
BAC
$1.68M<0.0144,197+2.54%+$41,446.550.53
Micron Technology, Inc.
MU
$1.53M<0.0113,013+0.46%+$7,073.400.49
Advanced Micro Devices, Inc.
AMD
$1.51M<0.018,339+2.24%+$33,029.670.48
The Walt Disney Company
DIS
$1.36M<0.0111,122+5.73%+$73,783.080.43
Deere & Company
DE
$1.17M<0.012,857+16.18%+$163,474.490.37
Raytheon Technologies Corporation
RTX
$1.2M<0.0112,294+4.83%+$55,201.990.38
Johnson & Johnson
JNJ
$3.23M<0.0120,399+1.69%+$53,626.411.02
Salesforce, Inc.
CRM
$1.54M<0.015,115+0.14%+$2,108.260.49
Union Pacific Corporation
UNP
$1.31M<0.015,3250%+$00.41
Costco Wholesale Corporation
COST
$2.25M<0.013,076+5.05%+$108,429.250.71
The Procter & Gamble Company
PG
$2.58M<0.0115,893+9.4%+$221,471.230.82
Honeywell International Inc.
HON
$1.19M<0.015,799+5.4%+$60,959.260.38
Texas Instruments Incorporated
TXN
$1.27M<0.017,268+4.98%+$60,102.440.4
Chubb Limited
CB
$1.21M<0.014,684+1.6%+$19,175.620.38
PepsiCo, Inc.
PEP
$1.44M<0.018,2420%+$00.46
Vanguard Emerging Markets Stock Index Fund
VWO
$2.57M<0.0161,550+1.82%+$46,030.550.81
Alphabet Inc.
GOOGL
$1.31M<0.018,682+1.9%+$24,450.650.41
Amazon.com, Inc.
AMZN
$2.89M<0.0115,997+6.34%+$172,082.530.91
Microsoft Corporation
MSFT
$6.65M<0.0115,802+0.73%+$48,382.802.1
Vanguard Mid Cap Index Fund
VO
$32.68M<0.01130,790+0.28%+$92,198.6210.33
Invesco S&P 500 Low Volatility ETF
SPLV
$11.92M<0.01181,028+1.31%+$153,806.633.77
iShares iBoxx $ Investment Grade Corporate Bond ETF
LQD
$1.62M<0.0114,889-0.46%-$7,406.560.51
Vanguard Health Care Index Fund
VHT
$8.25M<0.0130,508+1.14%+$93,058.032.61
iShares Core U.S. Aggregate Bond ETF
AGG
$1.6M<0.0116,315-0.37%-$5,876.400.51
Invesco S&P 500 Quality ETF
SPHQ
$21.03M<0.01348,040-0.04%-$8,821.336.65
Eli Lilly and Company
LLY
$3.56M<0.014,575-1.32%-$47,455.561.13
Vanguard Information Technology Index Fund
VGT
$2.46M<0.014,688-1.12%-$27,790.020.78
Apple Inc.
AAPL
$10.22M<0.0159,573+1.09%+$110,432.833.23
iShares 1-3 Year Treasury Bond ETF
SHY
$14.42M<0.01176,280+2.59%+$363,593.874.56
JPMorgan Chase & Co.
JPM
$2.85M<0.0114,242+3.61%+$99,348.810.9
Vanguard FTSE All-World ex-US Index Fund
VEU
$14.25M<0.01242,997+1.4%+$196,477.674.5
Vanguard Small Cap Index Fund
VB
$24.99M<0.01109,317+0.49%+$122,066.847.9
Invesco S&P 500 Equal Weight ETF
RSP
$11.2M<0.0166,104+0.65%+$71,812.883.54
iShares Russell 1000 Growth ETF
IWF
$8.64M<0.0125,635-0.57%-$49,209.882.73
Pacer US Cash Cows 100 ETF
COWZ
$13.4M<0.01230,629+1.24%+$163,695.874.24
iShares Russell 1000 Value ETF
IWD
$6.01M<0.0133,566+1.49%+$88,300.701.9
Exxon Mobil Corporation
XOM
$1.38M<0.0111,845+2.26%+$30,454.880.44
iShares Preferred and Income Securities ETF
PFF
$10.9M<0.01338,194+3.55%+$373,868.013.44
Walmart Inc.
WMT
$1.74M<0.0128,916+234.79%+$1.22M0.55
The Home Depot, Inc.
HD
$1.83M<0.014,758+1.73%+$31,071.600.58
Vanguard High Dividend Yield Index Fund
VYM
$13.07M<0.01107,994+0.8%+$103,688.754.13