0001095449-20-000014.txt : 20200212
0001095449-20-000014.hdr.sgml : 20200212
20200211190126
ACCESSION NUMBER: 0001095449-20-000014
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20191231
FILED AS OF DATE: 20200212
DATE AS OF CHANGE: 20200211
EFFECTIVENESS DATE: 20200212
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Mine & Arao Wealth Creation & Management, LLC.
CENTRAL INDEX KEY: 0001802994
IRS NUMBER: 770497790
STATE OF INCORPORATION: CA
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-19861
FILM NUMBER: 20598706
BUSINESS ADDRESS:
STREET 1: 901 CAMPISI WAY
STREET 2: SUITE 140
CITY: CAMPBELL
STATE: CA
ZIP: 95008
BUSINESS PHONE: (408) 377-7414
MAIL ADDRESS:
STREET 1: 901 CAMPISI WAY
STREET 2: SUITE 140
CITY: CAMPBELL
STATE: CA
ZIP: 95008
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
false
false
0001802994
XXXXXXXX
12-31-2019
12-31-2019
Mine & Arao Wealth Creation & Management, LLC.
901 CAMPISI WAY
SUITE 140
CAMPBELL
CA
95008
13F HOLDINGS REPORT
028-19861
N
Bud T. Mine
Managing Member
(408) 377-7414
Bud T. Mine
Campbell
CA
01-29-2020
0
240
106604
false
INFORMATION TABLE
2
table.2019-12.xml
13F HOLDINGS REPORT FOR DECEMBER 31, 2019
AFLAC IncCOM0010551026120SHSOLE00120
AT&T CorpCOM00206R10247112050SHSOLE0012050
Accenture Plc Cl ASHRS CLASS AG1151C10121100SHSOLE00100
Alcon IncORD SHSH01301128240SHSOLE0040
Alibaba Group Hldg LtdSPONSORED ADS01609W10242200SHSOLE00200
Ally Finl IncCOM02005N10015500SHSOLE00500
Amazon Com IncCOM02313510642172282SHSOLE002282
American Express CoCOM0258161091541233SHSOLE001233
American Water WorksCOM03042010361500SHSOLE00500
Amern Finl Group IncCOM02593210424220SHSOLE00220
American Tower Corp NewCOM03027X100149650SHSOLE00650
Anaplan IncCOM03272L108120SHSOLE0020
Anthem IncCOM03675210345150SHSOLE00150
Apple IncCOM037833100480916375SHSOLE0016375
Bank Amer CorpCOM06050510454715529SHSOLE0015529
Bank Hawaii CorpCOM06254010919200SHSOLE00200
Bank New York Mellon CorpCOM0640581008160SHSOLE00160
Baxter InTL IncCOM07181310926314SHSOLE00314
Berkshire Hathaway Inc DelCL B NEW0846707028993971SHSOLE003971
Beyond Meat IncCOM08862E10946604SHSOLE00604
Blackrock IncCOM09247X10192183SHSOLE00183
Bloom Energy CorpCOM CL A093712107263500SHSOLE003500
Boeing CoCOM097023105232711SHSOLE00711
Bristol-Myers Squibb CoCOM110122108345SHSOLE0045
CSX CorpCOM1264081031452010SHSOLE002010
Canopy Growth CorpCOM138035100462200SHSOLE002200
Cardinal Health IncCOM14149Y1087133SHSOLE00133
Caterpillar IncCOM1491231012701827SHSOLE001827
Chevron Corp NewCOM1667641003693065SHSOLE003065
Chipotle Mexican Grill IncCOM16965610584100SHSOLE00100
Cigna Corp NewCOM125523100105514SHSOLE00514
Cisco Sys IncCOM17275R1022916070SHSOLE006070
Citigroup IncCOM NEW17296742424300SHSOLE00300
Clorox Co DelCOM1890541093992600SHSOLE002600
Coca Cola CoCOM1912161001081952SHSOLE001952
Comcast Corp NewCL A20030N1011463255SHSOLE003255
Corbus Pharmaceutls HldgsCOM21833P10351000SHSOLE001000
Costco Whsl Corp NewCOM22160K1051552SHSOLE0052
Coupa Software IncCOM22266L10666450SHSOLE00450
Crowdstrike Hldgs IncCL A22788C10512242SHSOLE00242
Crown Castle Intl Corp NewCOM22822V1011711200SHSOLE001200
Delta Air Lines Inc DelCOM NEW247361702581000SHSOLE001000
SPDR Dow Jones Indl Avrg ETFUT SER 178467X1091559454697SHSOLE0054697
Disney Walt CoCOM2546871063432368SHSOLE002368
Docusign IncCOM256163106891200SHSOLE001200
Duke Energy Corp NewCOM NEW26441C20427300SHSOLE00300
Elanco Animal Health IncCOM28414H1034148SHSOLE00148
Enbridge IncCOM29250N10518450SHSOLE00450
Etf Managers TrETFMG ALTR HRVST26924G50814800SHSOLE00800
Exxon Mobil CorpCOM30231G102233SHSOLE0033
Facebook IncCL A30303M1024672275SHSOLE002275
Fedex CorpCOM31428X106115758SHSOLE00758
Fidelity Covington TRMSCI MATLS INDEX31609288111333SHSOLE00333
Fireeye IncCOM31816Q1017400SHSOLE00400
Flexshares TRIBOXX 5YR TRGT33939L6055202SHSOLE00202
Flowers Foods IncCOM34349810113600SHSOLE00600
General Electric CoCOM369604103222015SHSOLE002015
Glaxosmithkline PlcSPONSORED ADR37733W10538800SHSOLE00800
Global X FDSUS UBFR DEV ETF37954Y6731176569SHSOLE006569
Goldman Sachs Group IncCOM38141G104101440SHSOLE00440
Alphabet IncCAP STK CL A02079K305986736SHSOLE00736
Alphabet IncCAP STK CL C02079K10721101578SHSOLE001578
Granite Constr IncCOM38732810720710SHSOLE00710
GW Pharmaceutic PlcADS36197T10310100SHSOLE00100
Home Depot IncCOM43707610266300SHSOLE00300
Honeywell Intl IncCOM43851610695534SHSOLE00534
Huntington Ingalls Inds IncCOM4464131062571025SHSOLE001025
II Vi IncCOM902104108134SHSOLE0034
Illinois Tool Wks IncCOM45230810918101SHSOLE00101
Immunogen IncCOM45253H10111923250SHSOLE0023250
Intel CorpCOM458140100951589SHSOLE001589
International Business MachCOM459200101750SHSOLE0050
Invesco BLDRS Index FDS TRASIA 50ADR IDX46090C107872528SHSOLE002528
Invesco BLDRS Index FDX TRDEVLPD MKTS10046090C2062109SHSOLE00109
Invesco Exchange Traded FD TDWA MOMENTUM46137V837350SHSOLE0050
Invesco Exchange Traded FD TDYNMC BLDG CON46137V779275SHSOLE0075
Invesco QQQ TRUNIT SER 146090E1031871888041SHSOLE0088041
Invesco Exchange Traded FD TRS&P500 LOW VOL46138E3541192035SHSOLE002035
Invesco Exchange Traded FD TS&P500 PUR GWT46137V26655435SHSOLE00435
Ishares TR0-5 YR TIPS ETF46429B7473483460SHSOLE003460
Ishares TR3-7 YR TREAS BD464288661326SHSOLE0026
Ishares TRBARCLAYS 7-10 YR46428744017156SHSOLE00156
Ishares TRA RATE CP BD ETF46429B29112221SHSOLE00221
Ishares TRCONV BD ETF46435G102991580SHSOLE001580
Ishares TRCORE 1-5 YR USD46432F85981116088SHSOLE0016088
Ishares INCCORE MSCI EMKT46434G1039168SHSOLE00168
Ishares TRGLB CNSM STP ETF464288737731314SHSOLE001314
Ishares Gold TRUSTISHARES4642851054300SHSOLE00300
Ishares TR0-5YR HI YL CP46434V40760913126SHSOLE0013126
Ishares TRIBOXX INV CP ETF46428724216SHSOLE006
Ishares TRMSCI AC ASIA ETF46428818215200SHSOLE00200
Ishares TREAFE SML CP ETF464288273581SHSOLE0081
Ishares TRMSCI EMG MKT ETF464287234375SHSOLE0075
Ishares TRMSCI MIN VOL ETF46429B697851297SHSOLE001297
Ishares INCMSCI FRANCE ETF4642867077215SHSOLE00215
Ishares INCMSCI GERMANY ETF464286806421444SHSOLE001444
Ishares INCMSCI HONK KG ETF46428687117700SHSOLE00700
Ishares INCMSCI JPN ETF NEW46434G8221332238SHSOLE002238
Ishares TRMSCI USA ESG SLC46428880228210SHSOLE00210
Ishares TRRUS 1000 ETF46428762224132SHSOLE00132
Ishares TRS&P 500 VAL ETF46428740883638SHSOLE00638
Ishares TRCORE S&P MCP ETF4642875073591507SHSOLE001507
Ishares TRCOHEN STEER REIT464287564224819216SHSOLE0019216
Ishares TRDOW JONES US ETF4642878468305200SHSOLE005200
Ishares TRU.S. BAS MTL ETF46428783849500SHSOLE00500
Ishares TRU.S. FINLS ETF46428778849356SHSOLE00356
Ishares TRU.S. FIN SVC ETF4642877706104019SHSOLE004019
Ishares TRUS HLTHCARE ETF46428776215687268SHSOLE007268
Ishares TRNORTH AMERN NAT46428737427900SHSOLE00900
Ishares TRTIPS BD ETF4642871766795828SHSOLE005828
Ishares TRMSCI EAFE ETF4642874653915626SHSOLE005626
Ishares TRNASDAQ BIOTECH4642875561451200SHSOLE001200
Ishares TRRUSSELL 2000 ETF4642876553462086SHSOLE002086
Ishares TRCORE S&P MCP ETF46428750710475086SHSOLE005086
Ishares TRCORE S&P SCP ETF464287804138416507SHSOLE0016507
Ishares TRIBOXX HI YD ETF46428851340459SHSOLE00459
Ishares TRSELECT DIVID ETF464287168299228321SHSOLE0028321
Ishares TRCHINA LG-CAP ETF4642871841272906SHSOLE002906
Ishares TRMSCI KLD400 SOC464288570112932SHSOLE00932
Ishares TRPFD AND INCM SEC4642886872727234SHSOLE007234
Ishares TRU.S. PHARMA ETF46428883654336SHSOLE00336
Smuckers J M CoCOM NEW8326964051371315SHSOLE001315
Johnson & JohnsonCOM4781601042381630SHSOLE001630
Jpmorgan Chase & CoCOM46625H10010737700SHSOLE007700
Kellogg CompanyCOM4878361083064429SHSOLE004429
Kohls CorpCOM500255104701375SHSOLE001375
L Brands IncCOM50179710414750SHSOLE00750
L3harris Technologies IncCOM50243110920100SHSOLE00100
Labratory Corp Amer HldgsCOM NEW50540R40917100SHSOLE00100
Lamar AdvertisingCo NewCL A51281610926295SHSOLE00295
Lauder Estee Cos IncCL A518439104152738SHSOLE00738
Lilly Eli & CoCOM53245710866500SHSOLE00500
Lions Gate EntmNt CorpCL B NON VTG5359195002247SHSOLE00247
Lockheed Martin CorpCOM539830109217558SHSOLE00558
Lowes Cos IncCOM54866110741345SHSOLE00345
Macys IncCOM55616P104663875SHSOLE003875
Marriott Intl Inc NewCL A5719032021531008SHSOLE001008
Marvell Tech Group LtdORDG5876H10517650SHSOLE00650
Mastercard IncCL A57636Q1048132723SHSOLE002723
McDonalds CorpCOM58013510120100SHSOLE00100
Merck & Co IncCOM58933Y1056467102SHSOLE007102
Microsoft CorpCOM5949181045453454SHSOLE003454
Mondelez Intl IncCL A6092071051041881SHSOLE001881
Netflix IncCOM64110L10649151SHSOLE00151
Nike IncCL B6541061031021003SHSOLE001003
Nokia CorpSPONSORED ADR65490220492500SHSOLE002500
Nordstrom IncCOM65566410020500SHSOLE00500
Norfolk Southern CorpCOM6558441083241667SHSOLE001667
Northrop Grumman CorpCOM6668071026541900SHSOLE001900
Novartis A GSPONSORED ADR66987V10919200SHSOLE00200
Nuveen CA Quality Mun IncomCOM67066Y105302000SHSOLE002000
Nvidia CorpCOM67066G1042881225SHSOLE001225
Oracle CorpCOM68389X10559311184SHSOLE0011184
Orchard Therapeutics PLCADS68570P1011100SHSOLE00100
PG& E CorpCOM69331C108186SHSOLE0086
Pembina Pipeline CorpCOM70632710316425SHSOLE00425
Pepsico IncCOM71344810868496SHSOLE00496
Pfizer IncCOM71708110352413378SHSOLE0013378
Philip Morris Intl IncCOM71817210910118SHSOLE00118
Pimco ETF TR0-5 HIGH YIELD72201R78361607SHSOLE00607
Pimco ETF TRACTIVE BD ETF72201R775329SHSOLE0029
Pnc Finl Srvcs Group IncCOM69347510576478SHSOLE00478
Procter & Gamble CoCOM7427181098156527SHSOLE006527
PrologisCOM74340W10347529SHSOLE00529
Proshares TRS&P 500 DV ARIST74348A4673464578SHSOLE004578
Prudential Finl IncCOM744320102941000SHSOLE001000
Public StorageCOM74460D109733SHSOLE0033
Qualcomm IncCOM74752510353600SHSOLE00600
Raytheon CoCOM NEW75511150744200SHSOLE00200
Select Sector SPDR TRRL EST SEL SEC81369Y860260SHSOLE0060
Republic Svcs IncCOM76075910034376SHSOLE00376
Ringcentral IncCL A76680R20651300SHSOLE00300
Royal Dutch Shell PLCSPONS ADR A78025920612200SHSOLE00200
SAP SESPON ADR803054204540SHSOLE0040
SL Green Rlty CorpCOM78440X10128300SHSOLE00300
SPDR S&P 500 ETF TRTR UNIT78462F1031742354132SHSOLE0054132
Salesforce Com IncCOM79466L302122750SHSOLE00750
Schwab Strategic TREMRG MKTEQ ETF808524706973556SHSOLE003556
Schwab Strategic TRSCHWB FDT EMK LG808524730963230SHSOLE003230
Sector Sector SPDR TRTECHNOLOGY81369Y8031531665SHSOLE001665
Select Sector SPDR TRSBI HEALTHCARE81369Y20973720SHSOLE00720
Select Sector SPDR TRSBI INT-INDS81369Y70417210SHSOLE00210
Select Sector SPDR TRSBI INT-FINL81369Y605341116SHSOLE001116
Sempra EnergyCOM816851109114751SHSOLE00751
Simon Ppty Group Inc NewCOM82880610990606SHSOLE00606
Slack Technologies IncCOM CL A83088V1029415SHSOLE00415
SPDR SERIES TRUSTBLOOMBERG BRCLYS78468R62216SHSOLE006
SPDR SERIES TRUSTPORTFOLIO SHORT78464A47431990SHSOLE00990
SPDR SERIES TRUSTDJ REIT ETF78464A60725246SHSOLE00246
Select Sector SPDR TRSBI CONS STPLS81369Y3082694279SHSOLE004279
Select Sector SPDR TRSBI CONS DISCR81369Y40762491SHSOLE00491
SPDR SERIES TRUSTPRTFLO S&P500 VL78464A50845913140SHSOLE0013140
SPDR SERIES TRUSTS&P DIVID ETF78464A7636846357SHSOLE006357
SPDR SERIES TRUSTSSGA GNDER ETF78468R74701SHSOLE001
SPDR SERIES TRUSTPORTFOLIO TL STK78464A805741858SHSOLE001858
Square IncCL A85223410356900SHSOLE00900
Starbucks CorpCOM85524410982937SHSOLE00937
Stepan CoCOM85858610026250SHSOLE00250
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Synaptics IncCOM87157D109575SHSOLE0075
Teck Resources LtdCL B8787422044202SHSOLE00202
Tesla IncCOM88160R10148115SHSOLE00115
Teva Pharmaceutical Inds LtdSPONSORED ADS8816242096600SHSOLE00600
Textron IncCOM88320310118400SHSOLE00400
Thermo Fisher Scientific IncCOM883556102231711SHSOLE00711
Tiffany & Co NewCOM8865471081551162SHSOLE001162
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UBS AG London BRHEN LG CP GRWTH9026777802369SHSOLE0069
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Vaneck Vectors ETF TrustVIDEO GAMING92189F11434900SHSOLE00900
Vanguard BD Index FD IncINTERMED TERM9219378194665338SHSOLE005338
Vanguard BD Index FD IncTOTAL BD MRKT9219378353233857SHSOLE003857
Vanguard GroupDIV APP ETF92190884454430SHSOLE00430
Vanguard Tax Managed Intl FdFTSE DEV MKT ETF9219438582215025SHSOLE005025
Vanguard Intl Equity Index FGLB EX US ETF92204267611188SHSOLE00188
Vanguard Intl Equity Index FALLWRLD EX US922042775146527248SHSOLE0027248
Vanguard Index FDSMCAP GR IDXVIP92290853826166SHSOLE00166
Vanguard Scottsdale FDSMORTG-BACK SEC92206C77111213SHSOLE00213
Vanguard Index FDSREAL ESTATE ETF9229085531161252SHSOLE001252
Vanguard Index FDSS&P 500 ETF SHS92290836375254SHSOLE00254
Vanguard Index FDSSMALL CP ETF92290875126156SHSOLE00156
Vanguard Index FDSTOTAL STK MKT92290876952318SHSOLE00318
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Wd-40 CoCOM92923610719100SHSOLE00100
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