AIMZ Investment Advisors, LLC

AIMZ Investment Advisors, LLC latest Q1_2021 13F filings reported $204,343,000 in market value on this 2021-04-28 report date . The portfolio quarterly return is 7.03%. This fund has 109 securities concentrations of 100% weights.

AIMZ Investment Advisors, LLC largest holding is Apple Inc. with weight of 6.18% and $12,620,000 in market value. The portfolio return is computed based on the amount invested in the new quarter. The following shows the portfolio details.

Portfolio Performance History

FILE DATEREPORT PERIODQTR YEARFILE TYPENOS. OF STOCKSREPORTED VALUERETURN
2021-04-282021-03-31Q1_202113F-HR109$204,343,0007.03%
2021-02-082020-12-31Q4_202013F-HR108$190,923,00014.30%

Portfolio Details

Stock NameTickersValueCurrent Value (x1000)Change Value %WeightComputed PriceShares Change %Current Shares
APPLE INCAAPLDECR$12,620-0.08%6.18%$122.150.00%103,317
MICROSOFT CORPMSFTINCR$8,6510.06%4.23%$235.780.00%36,691
QUALCOMM INCORPORATEDQCOMDECR$7,382-0.13%3.61%$132.580.00%55,678
INFOSYS LTDINFYINCR$6,2810.10%3.07%$18.72-0.01%335,503
PRICE T ROWE GROUP INCTROWINCR$6,2440.13%3.06%$171.600.00%36,386
REGENERON PHARMACEUTICALSREGNDECR$5,412-0.02%2.65%$473.120.00%11,439
NETAPP INCNTAPINCR$4,9210.10%2.41%$72.670.00%67,714
FACEBOOK INCFBINCR$4,7390.08%2.32%$294.550.00%16,089
EXPEDITORS INTL WASH INCEXPDINCR$4,6780.13%2.29%$107.680.00%43,444
ALEXION PHARMACEUTICALS INCALXNDECR$4,531-0.03%2.22%$152.890.00%29,635
C H ROBINSON WORLDWIDE INCCHRWINCR$4,4730.02%2.19%$95.430.00%46,873
GILEAD SCIENCES INCGILDINCR$4,4220.11%2.16%$64.620.00%68,426
WALGREENS BOOTS ALLIANCE INCWBAINCR$4,1660.37%2.04%$54.900.00%75,878
CISCO SYSTEMSCSCOINCR$4,0420.15%1.98%$51.710.00%78,162
AMGENAMGNINCR$3,7370.07%1.83%$248.79-0.01%15,021
ADOBE SYSTEMS INCORPORATEDADBEDECR$3,437-0.06%1.68%$475.38-0.01%7,230
CDK GLOBAL INCCDKINCR$3,4410.04%1.68%$54.060.00%63,649
DOLBY LABORATORIES INCDLBINCR$3,3980.01%1.66%$98.730.00%34,417
GLAXOSMITHKLINE PLCGSKDECR$3,290-0.03%1.61%$35.690.00%92,178
FRANKLIN RESOURCES INCBENINCR$3,1460.18%1.54%$29.600.00%106,291
FLIR SYS INCFLIRINCR$3,1170.29%1.53%$56.470.00%55,198
BERKSHIRE HATHAWAY INC NEWBRK/BINCR$3,0730.10%1.50%$255.470.00%12,029
INTERNATIONAL BUSINESS MACHINE COMPANYIBMINCR$2,8910.06%1.41%$133.260.00%21,695
CHECK POINT SOFTWARE TECH LTCHKPDECR$2,871-0.16%1.40%$111.970.00%25,640
UNITEDHEALTH GROUP INCUNHINCR$2,8110.06%1.38%$372.020.00%7,556
CINTAS CORPCTASDECR$2,803-0.06%1.37%$341.33-0.02%8,212
CIGNA CORP NEWCIINCR$2,6920.14%1.32%$241.74-0.02%11,136
LOWES COS INCLOWINCR$2,6690.18%1.31%$190.18-0.01%14,034
BRISTOL MYERS SQUIBB COBMYINCR$2,6430.01%1.29%$63.14-0.01%41,860
JOHNSON & JOHNSONJNJINCR$2,5850.05%1.27%$164.350.01%15,729
STRYKER CORPORATIONSYKDECR$2,602-0.01%1.27%$243.540.00%10,684
WALMART INCWMTDECR$2,484-0.06%1.22%$135.820.00%18,289
MERCK & CO INC NEWMRKINCR$2,3791.93%1.16%$77.102.11%30,857
PAYPAL HLDGS INCPYPLINCR$2,3220.03%1.14%$242.81-0.01%9,563
MEDTRONIC PLC USD 0.1MDTINCR$2,2260.01%1.09%$118.110.00%18,847
ILLINOIS TOOL WORKS INC USD 0.01ITWINCR$2,2160.09%1.08%$221.490.00%10,005
ABBOTT LABSABTINCR$2,1880.08%1.07%$119.84-0.01%18,258
PEPSICO INCPEPDECR$2,103-0.06%1.03%$141.44-0.01%14,869
TEVA PHARMACEUTICAL INDS LTDTEVAINCR$2,0270.19%0.99%$11.540.00%175,683
URBAN OUTFITTERS INCURBNINCR$1,9820.45%0.97%$37.190.00%53,291
ABBVIE INCABBVINCR$1,9240.00%0.94%$108.19-0.01%17,783
ANALOG DEVICES INCADIINCR$1,7790.05%0.87%$155.050.00%11,474
HOME DEPOT INCHDINCR$1,7400.15%0.85%$305.210.00%5,701
INTEL CORPINTCINCR$1,6540.27%0.81%$63.99-0.01%25,847
VERTEX PHARMACEUTICALS INCVRTXBUY$1,6170.00%0.79%$214.880.00%7,525
VANGUARD MID-CAP VALUE INDEX FUNDVOEINCR$1,5130.15%0.74%$134.840.02%11,221
COCA COLA COKODECR$1,472-0.05%0.72%$52.71-0.01%27,928
CAPRI HOLDINGS LIMITEDCPRIINCR$1,4490.21%0.71%$51.000.00%28,413
KOHL'S CORPKSSINCR$1,4510.46%0.71%$59.610.00%24,340
EMERSON ELEC COEMRINCR$1,4360.12%0.70%$90.240.00%15,913
AMDOCS LTDDOXDECR$1,388-0.01%0.68%$70.140.00%19,790
MYRIAD GENETICS INCMYGNINCR$1,3000.54%0.64%$30.460.00%42,685
ORACLE SYSTEMSORCLINCR$1,2390.08%0.61%$70.160.00%17,659
UNITED PARCEL SERVICEUPSINCR$1,2540.01%0.61%$170.030.00%7,375
NOVARTIS AG SPONSORED ADRNVSDECR$1,218-0.09%0.60%$85.500.00%14,246
3M COMMMINCR$1,1550.10%0.57%$192.760.00%5,992
TESLA MOTORS INCTSLADECR$1,169-0.05%0.57%$668.000.00%1,750
ALPHABET INC USD 0.001 CLS AGOOGLINCR$1,1100.18%0.54%$2063.200.00%538
NETFLIX INCNFLXDECR$1,045-0.04%0.51%$521.720.00%2,003
VANGUARD WHITEHALL FDSVYMINCR$9960.18%0.49%$101.040.07%9,857
WIPRO LTDWITINCR$1,0010.12%0.49%$6.340.00%157,851
DOLLAR TREE INCDLTRINCR$9550.04%0.47%$114.47-0.02%8,343
VANGUARD INDEX FDSVTVINCR$9230.16%0.45%$131.520.04%7,018
VANGUARD DIVIDEND APPRECIATION INDEX FUNDVIGINCR$9020.11%0.44%$147.070.07%6,133
BK OF AMERICA CORPBACINCR$8230.27%0.40%$38.700.00%21,264
NEXTGEN HEALTHCARE INCNXGNDECR$803-0.01%0.39%$18.100.00%44,355
EXXON MOBIL CORPXOMINCR$7840.34%0.38%$55.82-0.01%14,046
INVESCO EXCHANGE TRADED FD TPRFINCR$7580.14%0.37%$151.600.00%5,000
VANGUARD INTL EQUITY INDEX FVEUINCR$7570.04%0.37%$60.650.00%12,481
VANGUARD HEALTH CARE INDEX FUNDVHTINCR$7260.11%0.36%$228.660.09%3,175
MCDONALDS CORPMCDINCR$6670.04%0.33%$224.050.00%2,977
PFIZER COMPANY INCPFEDECR$625-0.02%0.31%$36.25-0.01%17,241
EBAY INCEBAYINCR$6150.22%0.30%$61.210.00%10,048
AMAZON COM INCAMZNDECR$563-0.05%0.28%$3093.410.00%182
AT&T INCTINCR$5680.02%0.28%$30.28-0.03%18,757
STARBUCKS CORPSBUXINCR$5720.02%0.28%$109.260.00%5,235
WELLS FARGO CO NEWWFCINCR$5770.28%0.28%$39.10-0.01%14,757
ISHARES TRUSMVINCR$5550.02%0.27%$69.170.00%8,024
ALPHABET INCGOOGINCR$5010.18%0.25%$2070.250.00%242
WESTERN ALLIANCE BANCORPWALINCR$5140.58%0.25%$94.500.00%5,439
SPIRIT AEROSYSTEMS HLDGS INCSPRINCR$4770.25%0.23%$48.670.00%9,800
GLOBAL PMTS INCGPNDECR$428-0.06%0.21%$201.790.00%2,121
PPL CORPPPLINCR$4210.02%0.21%$28.870.00%14,585
VERIZON COMMUNICATIONS INCVZDECR$407-0.01%0.20%$58.200.00%6,993
HONEYWELL INTL INCHONDECR$397-0.04%0.19%$216.94-0.06%1,830
SOUTHWEST AIRLINESLUVINCR$3820.31%0.19%$61.020.00%6,260
INVESCO EXCHANGE TRADED FD TPRFZINCR$3700.17%0.18%$176.190.00%2,100
J P MORGAN CHASE & CO COMJPMINCR$3660.20%0.18%$152.370.00%2,402
APPLIED MATLS INCAMATINCR$3510.55%0.17%$133.770.00%2,624
KLA CORPKLACINCR$3540.28%0.17%$330.840.00%1,070
S & P DEPOSITORY RECEIPTSSPYINCR$3470.06%0.17%$396.120.00%876
AUTOMATIC DATA PROCESSINGADPINCR$3180.07%0.16%$188.720.00%1,685
INVESCO QQQ TRQQQINCR$3230.02%0.16%$319.170.00%1,012
SEMPRA ENERGYSREINCR$3250.04%0.16%$132.380.00%2,455
COSTCO WHSL CORP NEWCOSTDECR$301-0.07%0.15%$352.050.00%855
DISNEY WALT CODISDECR$307-0.07%0.15%$184.61-0.09%1,663
DELL TECHNOLOGIES INCDELLINCR$2860.20%0.14%$88.160.00%3,244
SCHWAB U.S. LARGE-CAP VALUE ETFSCHVINCR$2630.10%0.13%$65.230.00%4,032
INTUITIVE SURGICAL INCISRGDECR$244-0.10%0.12%$739.390.00%330
ISHARES CORE HIGH DIVIDEND ETFHDVINCR$2410.09%0.12%$94.700.01%2,545
PNC FINL SVCS GROUP INCPNCINCR$2370.18%0.12%$175.430.00%1,351
ANTHEM INC USD 0.01ANTMBUY$2150.00%0.11%$358.330.00%600
VISA INCVDECR$226-0.03%0.11%$211.410.00%1,069
NIKE INCNKEDECR$212-0.05%0.10%$133.170.01%1,592
ROYAL DUTCH SHELL PLCRDS/ABUY$2040.00%0.10%$39.230.00%5,200
INTEVAC INCIVACDECR$179-0.01%0.09%$7.150.00%25,045
GENERAL ELECTRIC COMPANYGEINCR$1430.19%0.07%$13.12-0.02%10,898
HERITAGE COMM CORPHTBKINCR$1300.38%0.06%$12.250.00%10,612
NOKIA CORPNOKINCR$960.01%0.05%$3.970.00%24,200
MASTERCARD INCORPORATEDMASOLD$00.00%-100.00%$0.000.00%0
MARVELL TECHNOLOGY GROUPMRVLSOLD$00.00%-100.00%$0.000.00%0