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David A. Katz Fund Portfolio Q2/2011

|Includes: AA, ADI, ADM, AXP, BAC, BBT, BK, CCL, ConocoPhillips (COP), CSCO, CVS, CVX, DELL, DVN, EBAY, EXPE, GLW, HRS, IBM, JPM, KO, MET, MS, MSFT, MWW, PG, SPLS, STJ, STT, TDW, TEL, TEVA, VLO, VOD, WBA, WFC, WU, ZBH

David A. Katz Fund Investing Strategies By Dividend Yield – Stock Capital, Investment. Here is a current portfolio update of David A. Katz’s portfolio movements as of Q2/2011 (June 30, 2011). In total, he held 38 stocks with a total portfolio worth of USD 97,221,000.

David A. Katz’s fund positions as of Q2/2011 with actual share movements:
David A. Katz Fund Portfolio Q2/2011... 

Related Stock Ticker of David A. Katz’s Fund Portfolio:
COP, WFC, STT, DVN, DELL, EBAY, TDW, JPM, STJ, GLW, WU, AA, MWW, ZMH, WAG, CVX, MSFT, HRS, SPLS, CSCO, BK, ADI, MS, BAC, VLO, ADM, CCL, AXP, TEL, BBT, MET, PG, CVS, TEVA, EXPE, VOD, KO, IBM,
 

David A. Katz  Fund Share Buys:
HRS, MET, WFC, ADM, GLW, TEVA, VOD

David A. Katz Share Sells:
STJ, JPM, DVN, BK, TDW, WU, PG, EBAY, DELL, VLO, CVX, TEL, COP, ADI, ZMH, AXP, EXPE, WAG, KO, MHP, BMY, COV