13F

Investor

First Command Advisory Services, Inc.

CIK 0001727336 · filed 2026-05-07 · SEC filing

13F book

$14.8B

Positions

1152

396 new · 27 sold

Largest name

38.4%

Ishares Tr

Est. mark

−$298.1M

Price effect on 756 names still held. Flow $797.4M.
NameTickerSharesValueWeightEst. markChange
Ishares Tr—8.73M$5.7B38.4%−$277.1MCut−$664.3M
Blackrock Etf Trust—29.2M$1.7B11.5%−$59.5MAdded$323.5M
Invesco Exch Traded Fd Tr Ii—4.76M$1.13B7.6%−$72.6MAdded−$68.6M
Ishares Tr—15.8M$1.07B7.2%$24MAdded$32.7M
Ishares Tr—6.51M$809.6M5.5%$26.7MAdded$32.1M
Dimensional Etf Trust—14.9M$581M3.9%—New
Ishares Tr—3.95M$506.2M3.4%−$33.9MAdded−$19.5M
Spdr Index Shs Fds—5.28M$394.4M2.7%$66.2MCut$61.3M
Ishares Inc—4.41M$372.2M2.5%$16.3MCut−$30.9M
Spdr Series Trust—4.25M$325.5M2.2%−$12.8MAdded$47M
Ishares Tr—2.61M$236M1.6%$2.79MCut$2.21M
Vanguard Index Fds—561.6K$161.3M1.1%−$1.71MCut−$3.34M
Ishares Tr—3.11M$143.5M1.0%−$943.1KAdded$18.1M
Ishares Tr—1.67M$139.4M0.9%$1.78MAdded$4.92M
Dimensional Etf Trust—1.77M$115.1M0.8%$7.7MCut$4.15M
Spdr Series Trust—1.83M$108.2M0.7%$2.08MAdded$16.1M
Invesco Exchange Traded Fd T—1.43M$107.7M0.7%$200.7KCut−$1.96M
Ishares Tr—1.52M$106.7M0.7%$1.15MAdded$1.59M
American Centy Etf Tr—1.78M$106.6M0.7%—New
Ishares Gold Tr—1.03M$90.8M0.6%$7.2MCut$1.42M
Dimensional Etf Trust—1.09M$77.7M0.5%$1.59MCut−$1.05M
Spdr Series Trust—714.2K$69.9M0.5%−$6.28MCut−$7.16M
Ishares Inc—942K$65.7M0.4%$1.21MAdded$33.6M
Vanguard Scottsdale Fds—1.1M$64.2M0.4%−$208.3KCut−$1.91M
Vanguard Index Fds—195.2K$51.1M0.3%$775.2KCut−$360.3K
Vanguard Index Fds—570.8K$50.6M0.3%$120KCut−$2.57M
Spdr Series Trust—867.3K$39.5M0.3%$1.97MCut$535K
Schwab Strategic Tr—1.18M$36.2M0.2%$3.76MAdded$4.42M
Spdr Series Trust—738.8K$35.7M0.2%$948.9KAdded$5.24M
Spdr Series Trust—1.12M$33.7M0.2%−$126.9KAdded$4.26M
Ishares Tr—817.1K$30.1M0.2%−$393.9KAdded$3.56M
Dimensional Etf Trust—479.4K$29.9M0.2%$1.4MCut$1.04M
Ishares Tr—271.8K$25.5M0.2%−$556.7KAdded$2.73M
Dimensional Etf Trust—483.2K$25.5M0.2%$1.38MAdded$1.56M
Ishares Tr—587.2K$22.9M0.2%$710.5KCut−$3.64M
Invesco Exch Trd Slf Idx Fd—475.1K$21.5M0.1%$377.7KCut$223.8K
Vanguard Index Fds—35.5K$21.2M0.1%−$1.02MAdded−$479.4K
Invesco Exch Traded Fd Tr Ii—149.7K$15.8M0.1%−$14KAdded$933.1K
Apple Inc.AAPL48.5K$12.3M0.1%−$876.4KCut−$918.8K
Microsoft CorpMSFT25.9K$9.57M0.1%−$2.85MAdded−$2.6M
Ishares Tr—91.2K$7.9M0.1%$153.5KAdded$1.41M
Exxon Mobil Corp—40.5K$6.87M0.0%$2MCut$1.78M
Berkshire Hathaway Inc Del—12.8K$6.15M0.0%−$298.6KAdded−$249.7K
Goldman Sachs Etf Tr—48.7K$6.09M0.0%−$352.5KCut−$807.2K
Vanguard Index Fds—18.3K$5.88M0.0%−$152.2KAdded$2.34M
Nvidia CorpNVDA31.5K$5.49M0.0%−$370.8KAdded−$225.6K
Amazon Com IncAMZN26.2K$5.45M0.0%−$576.3KAdded−$445.1K
Chevron Corp NewCVX23.8K$4.92M0.0%$1.29MAdded$1.32M
Northrop Grumman Corp—5.85K$3.99M0.0%$655.8KCut$624.5K
Jpmorgan Chase & Co.—11.6K$3.42M0.0%−$313.8KAdded−$187K
Lockheed Martin CorpLMT5.61K$3.39M0.0%$677.2KCut$558.7K
Alphabet Inc—11.8K$3.39M0.0%−$304.6KAdded−$159.8K
Johnson & JohnsonJNJ13.7K$3.35M0.0%$514.3KCut$369K
Procter And Gamble CoPG20.6K$2.97M0.0%$23.3KCut−$279.4K
Ishares Silver Tr—41.6K$2.83M0.0%$154.7KCut$148.1K
Walmart Inc.WMT22.1K$2.74M0.0%$284.5KCut$283.9K
Alphabet Inc—9.08K$2.61M0.0%−$212.7KAdded−$4.49K
Vanguard Specialized Funds—12.1K$2.61M0.0%−$57.3KCut−$278.2K
Eli Lilly & CoLLY2.46K$2.27M0.0%−$361.7KAdded−$242.1K
Home Depot, Inc.HD6.07K$2M0.0%−$90KAdded−$41K
RTX CorpRTX9.97K$1.92M0.0%$94.8KCut$25.8K
Caterpillar IncCAT2.71K$1.92M0.0%$359.2KAdded$405.9K
Meta Platforms, Inc.META3.34K$1.91M0.0%−$262.2KAdded−$56.2K
Ishares Tr—16.7K$1.89M0.0%−$169.4KHeld
Dimensional Etf Trust—66.9K$1.78M0.0%$2.27KAdded$1.4M
Cisco Sys Inc—22.8K$1.77M0.0%$12.3KAdded$74.2K
Visa Inc.V5.81K$1.76M0.0%−$276.3KAdded−$242.2K
Mcdonalds CorpMCD5.47K$1.7M0.0%$27.3KAdded$79.2K
Union Pac Corp—6.93K$1.68M0.0%$75.6KAdded$134.3K
Spdr S&P 500 Etf Tr—2.34K$1.52M0.0%−$74KCut−$101.3K
Costco Whsl Corp New—1.48K$1.48M0.0%$192.7KAdded$236.5K
American Express CoAXP4.67K$1.41M0.0%−$307.8KAdded−$275.7K
L3harris Technologies Inc—4.03K$1.39M0.0%$200KAdded$253.1K
Coca Cola CoKO18.1K$1.38M0.0%$110KAdded$127.6K
Merck & Co., Inc.MRK11.3K$1.36M0.0%$160.2KAdded$236.5K
AbbVie Inc.ABBV6.12K$1.33M0.0%−$67.3KCut−$365.5K
American Beacon Select Funds—25.5K$1.32M0.0%—New
Boeing Co—6.42K$1.28M0.0%−$116.2KCut−$130.5K
Csx CorpCSX30K$1.23M0.0%$142.9KAdded$152.8K
At&T Inc—42.3K$1.23M0.0%$175.4KCut$128.9K
Pepsico IncPEP7.79K$1.21M0.0%$91.6KAdded$92.1K
Broadcom Inc.AVGO3.87K$1.2M0.0%−$104.6KAdded$208.3K
Duke Energy Corp New—8.42K$1.1M0.0%$112.9KAdded$139K
Vanguard Star Fds—14.3K$1.1M0.0%$23.9KCut−$221.3K
Cummins IncCMI1.99K$1.07M0.0%$53.1KAdded$89.1K
Netflix IncNFLX11K$1.06M0.0%$23.7KAdded$129K
Invesco Qqq Tr—1.79K$1.03M0.0%−$66.4KCut−$71.9K
Invesco Exch Trd Slf Idx Fd—51.8K$1.01M0.0%−$2.23KAdded$46.4K
Vanguard Growth Etf—2.31K$1.01M0.0%−$117.8KCut−$364.1K
Invesco Exch Trd Slf Idx Fd—51.1K$1M0.0%−$5.46KAdded$64.1K
Abbott LabsABT9.7K$996.3K0.0%−$219.5KCut−$280.1K
Ge Aerospace—3.48K$988.7K0.0%−$84.4KCut−$102.6K
Tesla, Inc.TSLA2.66K$988.5K0.0%−$186.7KAdded−$88.1K
Oracle Corp—6.52K$959.7K0.0%−$302.7KAdded−$274.4K
Booz Allen Hamilton Hldg Cor—11.7K$915.9K0.0%−$74.3KCut−$149.3K
Nextera Energy Inc—9.52K$884.6K0.0%$119.3KAdded$124.7K
Ishares Tr—4.18K$883K0.0%−$3.85KHeld
Bank America Corp—17.5K$852.4K0.0%−$109.3KCut−$198.3K
International Business Machs—3.47K$841.3K0.0%−$186.2KAdded−$183.3K
GE Vernova Inc.GEV959$837.1K0.0%$210.3KCut$160.7K
Hershey CoHSY3.97K$825.3K0.0%$101.7KAdded$111.1K
Invesco Exch Trd Slf Idx Fd—40.4K$825.3K0.0%−$6.58KAdded$59.2K
Southwest Airls Co—21.4K$803.9K0.0%−$80.4KAdded−$79.4K
Select Sector Spdr Tr—13K$797.6K0.0%$214KAdded$219.6K
Invesco Exch Trd Slf Idx Fd—47K$785.3K0.0%−$8.61KAdded$59.9K
Amgen IncAMGN2.21K$778.3K0.0%$52.8KAdded$74.2K
Invesco Exch Trd Slf Idx Fd—41.5K$775.2K0.0%−$6.64KAdded$59.3K
Verizon Communications IncVZ15.3K$765.9K0.0%$137.5KAdded$174.7K
Vanguard Whitehall Fds—5.09K$754K0.0%$20.9KAdded$98.2K
Constellation Energy CorpCEG2.65K$738.9K0.0%−$194.2KAdded−$187.7K
General Dynamics CorpGD2.08K$713.2K0.0%$12.6KAdded$68.2K
Southern Co—7.24K$698.8K0.0%$64.9KAdded$92K
Invesco Exch Traded Fd Tr Ii—9.55K$698.4K0.0%$16.4KHeld
Ishares Tr—1.63K$694.7K0.0%−$76.4KHeld
Adtalem Global Ed IncCVSA5.92K$682.3K0.0%$69.7KHeld
Leidos Holdings, Inc.LDOS4.33K$673.6K0.0%−$107.8KCut−$120.9K
Vanguard Bd Index Fds—9.04K$665.7K0.0%—New
Ishares Tr—2.99K$654.5K0.0%$239Added$641.8K
Lowes Cos Inc—2.76K$651.7K0.0%−$13.5KCut−$59K
Invesco Exch Trd Slf Idx Fd—27.5K$649.4K0.0%−$225Added$176K
Disney Walt Co—6.63K$639.4K0.0%−$108.6KAdded−$71.3K
Mastercard IncMA1.26K$628.1K0.0%−$89.5KCut−$112.9K
Invesco Exch Trd Slf Idx Fd—26.2K$619K0.0%−$524Cut−$451.4K
Intel CorpINTC13.6K$598K0.0%$93.6KAdded$120.1K
Shopify Inc.SHOP5.01K$594K0.0%−$212.1KHeld
Analog Devices IncADI1.86K$591.1K0.0%$82.5KAdded$114.3K
Automatic Data Processing In—2.84K$578.1K0.0%−$148.6KAdded−$135.2K
Slb Limited/NvSLB11.2K$577.9K0.0%$140.1KAdded$164.5K
Ishares Tr—4.29K$567.4K0.0%−$31.1KCut−$33.3K
Select Sector Spdr Tr—4.22K$560.3K0.0%−$46.7KCut−$91.7K
Ishares Tr—4.15K$550.1K0.0%$3.78KCut−$27.1K
Cheniere Energy, Inc.LNG1.93K$548.2K0.0%$172.7KCut$172.5K
Goldman Sachs Group Inc—647$547.4K0.0%−$19.3KAdded$32.3K
First Tr Exchange-Traded Fd—11.6K$547.1K0.0%$11.1KCut−$84.1K
Texas Instrs Inc—2.75K$532.9K0.0%$53.5KAdded$83.1K
Fedex CorpFDX1.49K$530K0.0%$100.2KHeld
Wells Fargo Co New—6.57K$523.2K0.0%−$80.1KAdded−$26K
Colgate Palmolive CoCL6K$511.7K0.0%$37.3KHeld
Dominion Energy, IncD8K$494.7K0.0%$21.3KAdded$107.5K
Applied Matls Inc—1.42K$486.7K0.0%$104KAdded$171.6K
Nucor CorpNUE2.86K$483.8K0.0%$17KAdded$20.7K
Starbucks CorpSBUX5.36K$480.2K0.0%$27.7KAdded$46.4K
Hbt Finl Inc.—17.8K$476.5K0.0%—New
Lam Research CorpLRCX2.13K$454.1K0.0%$80.3KAdded$130.5K
Invesco Exch Trd Slf Idx Fd—19.4K$453.4K0.0%−$1.25KAdded$174.3K
Comcast Corp New—14.3K$411.5K0.0%−$16KAdded$5.53K
Unitedhealth Group IncUNH1.44K$390.5K0.0%−$78.4KAdded−$44.3K
Franklin Templeton Etf Tr—9.64K$384K0.0%—New
Deere & CoDE672$378.6K0.0%$64.9KAdded$69.4K
Honeywell Intl Inc—1.64K$370.2K0.0%$46.2KAdded$78.8K
Air Prods & Chems Inc—1.27K$369.8K0.0%$55.3KCut$53.6K
Aflac IncAFL3.3K$361.6K0.0%−$1.85KHeld
Ishares Tr—1.66K$354.9K0.0%$5.5KAdded$7.63K
Eaton Corp PlcETN954$341.2K0.0%$33.8KAdded$66.3K
Dimensional Etf Trust—10K$339.4K0.0%$12.9KCut−$7.29K
Thermo Fisher Scientific Inc.TMO680$334.2K0.0%−$59.3KAdded−$56.9K
Global Pmts Inc—4.83K$325.3K0.0%−$48.3KAdded−$45.3K
Invesco Exch Trd Slf Idx Fd—13.7K$315.3K0.0%−$762Added$174.4K
Select Sector Spdr Tr—1.93K$312.6K0.0%$12.8KHeld
Qualcomm Inc—2.41K$310K0.0%−$98.7KAdded−$89.4K
NIKE, Inc.NKE5.64K$297.9K0.0%−$59.5KAdded−$50.7K
Pnc Finl Svcs Group Inc—1.43K$297.8K0.0%−$916Cut−$38.1K
ConocophillipsCOP2.2K$290.4K0.0%$75.7KAdded$105.7K
Philip Morris Intl Inc—1.71K$283.4K0.0%$7.66KAdded$43.1K
Ezcorp IncEZPW11.1K$282.9K0.0%—New
Kimberly Clark CorpKMB2.92K$282K0.0%−$11.7KAdded$13.2K
Caci Intl Inc—499$271.4K0.0%$5.52KHeld
Exelon CorpEXC5.45K$267.3K0.0%$27.4KAdded$47.2K
Cardinal Health IncCAH1.24K$262.2K0.0%$7.04KAdded$13.2K
Mccormick & Co Inc—5.12K$258K0.0%−$90.4KHeld
Ross Stores, Inc.ROST1.19K$257.4K0.0%$36.5KAdded$77.2K
Invesco Exch Trd Slf Idx Fd—12.1K$256.9K0.0%−$3.77KCut−$5.91K
Corning Inc—1.87K$254.5K0.0%$84.4KAdded$101.8K
Pfizer IncPFE9.04K$253.9K0.0%$26.8KAdded$44.1K
Select Sector Spdr Tr—1.72K$251.9K0.0%−$14KCut−$55.3K
Royal Caribbean Group—905$249.1K0.0%−$2.9KAdded$28.2K
Invesco Exch Trd Slf Idx Fd—4.07K$244.5K0.0%−$4.11KCut−$10.1K
Shell Plc—2.55K$237.1K0.0%$27.4KAdded$133.7K
Mckesson CorpMCK271$234.5K0.0%$12.2KHeld
Ishares Tr—5.31K$225.8K0.0%$16.5KCut$9.99K
Invesco Exch Trd Slf Idx Fd—13.6K$224.2K0.0%−$3.13KAdded$1.61K
Ishares Tr—2.14K$221.8K0.0%$2.17KAdded$7.96K
Parsons Corp Del—4.07K$220.6K0.0%−$31.1KHeld
Citigroup Inc—1.94K$219.9K0.0%−$5.66KAdded$18.6K
Wec Energy Group, Inc.WEC1.9K$219.6K0.0%$19.3KAdded$22.1K
Capital One Finl Corp—1.19K$217.6K0.0%−$63.9KAdded−$41K
Invesco Exch Trd Slf Idx Fd—10.3K$213.2K0.0%−$3.25KAdded$1.18K
Ishares Tr—574$212.8K0.0%−$9.28KCut−$14.7K
Amkor Technology, Inc.AMKR4.7K$211.6K0.0%$26.1KHeld
Constellation Brands, Inc.STZ1.38K$206.8K0.0%$16.5KAdded$17.4K
Danaher Corporation—1.09K$206.7K0.0%−$42.8KCut−$46K
Vanguard Index Fds—1.05K$206.6K0.0%$5.38KAdded$9.31K
Ishares Tr—1.41K$206.1K0.0%$6.63KHeld
Valero Energy Corp—832$205.6K0.0%$61.7KAdded$86.4K
Rockwell Automation, IncROK562$201.7K0.0%−$16.8KAdded−$14.6K
Norfolk Southn Corp—682$195.7K0.0%−$1.17KAdded−$18
Schwab Strategic Tr—7.74K$194.3K0.0%−$8.75KHeld
Invesco Exch Trd Slf Idx Fd—9.43K$194.2K0.0%−$2.71KCut−$4.9K
Waste Mgmt Inc Del—818$188K0.0%$7.1KAdded$33.3K
Bristol-Myers Squibb Co—3.05K$184.9K0.0%$16.9KAdded$49.1K
Invesco Exch Traded Fd Tr Ii—3.66K$184.7K0.0%$6.28KAdded$10.9K
Micron Technology IncMU525$177.4K0.0%$18.2KAdded$78.4K
Advanced Micro Devices IncAMD853$173.5K0.0%−$6.9KAdded$35.8K
Spdr Series Trust—1.78K$172K0.0%$4.33KHeld
Coca Cola Cons Inc—875$167.8K0.0%$33.6KCut$2.98K
Wisdomtree Tr—5.92K$167.2K0.0%−$5.39KHeld
Invesco Exchange Traded Fd T—1.15K$166.6K0.0%$7.05KAdded$17.9K
Novartis Ag—1.07K$163K0.0%$1.93KAdded$145.1K
Stryker CorpSYK493$162.1K0.0%−$9.61KAdded$13.4K
Roche Hldgs Ag Basel—3.18K$160.8K0.0%—New
Camtek LtdCAMT1.05K$159.3K0.0%—New
Cigna GroupCI596$159K0.0%−$5.05KHeld
Microchip Technology Inc.—2.43K$157.2K0.0%$2.07KAdded$9.37K
Ford Mtr Co—13.5K$155.5K0.0%−$16.6KAdded$17.8K
Salesforce, Inc.CRM829$154.8K0.0%−$55.2KAdded−$32K
Ishares Tr—429$153K0.0%−$7.24KHeld
Altria Group, Inc.MO2.31K$152.3K0.0%$17.7KAdded$31K
Science Applications Intl Co—1.6K$151.8K0.0%−$9.14KAdded−$8.47K
Invesco Exch Trd Slf Idx Fd—6.05K$150.3K0.0%−$1.55KHeld
Tri Contl Corp—4.69K$148.3K0.0%−$5.02KHeld
American Elec Pwr Co Inc—1.13K$148.1K0.0%$12.5KAdded$56.5K
Invesco Exch Traded Fd Tr Ii—1.13K$144.9K0.0%$2.03KHeld
Select Sector Spdr Tr—2.93K$144.7K0.0%−$15.8KHeld
Invesco Exch Trd Slf Idx Fd—6.74K$140.6K0.0%−$1.72KHeld
Invesco Exch Trd Slf Idx Fd—5.51K$140.1K0.0%−$2.4KCut−$13.8K
3M COMMM957$139K0.0%−$12.9KAdded−$142
Entergy Corp New—1.23K$138.2K0.0%$21.8KAdded$37.1K
Palantir Technologies Inc.PLTR923$135K0.0%−$29KCut−$48.6K
CARRIER GLOBAL CorpCARR2.34K$131.8K0.0%$7.22KAdded$21.8K
Invesco Exch Trd Slf Idx Fd—5.38K$130.5K0.0%−$1.74KHeld
Invesco Exch Trd Slf Idx Fd—5.93K$129.5K0.0%−$1.26KHeld
Archer-Daniels-Midland CoADM1.76K$128.2K0.0%$26.8KHeld
S&P Global Inc.SPGI301$128K0.0%−$22KAdded$9.92K
Crown Castle Inc.CCI1.56K$126.5K0.0%−$11.5KAdded−$9.1K
Spdr Index Shs Fds—2.75K$125.8K0.0%$2.06KHeld
Tidal Trust I—6.25K$124.8K0.0%—New
Invesco Exchange Traded Fd T—648$124.4K0.0%$233Held
Iron Mtn Inc Del—1.22K$124.3K0.0%$21.1KAdded$33.1K
Schwab Strategic Tr—4.83K$123.8K0.0%−$6.13KCut−$49.6K
Ebay IncEBAY1.36K$123.4K0.0%$4.12KAdded$32K
Trane Technologies PlcTT294$122.5K0.0%$5.7KAdded$42K
Ppl Corp—3.18K$121.4K0.0%$9.93KAdded$12K
Bank New York Mellon Corp—1K$118.9K0.0%$1.56KAdded$47.4K
Te Connectivity PlcTEL561$117.3K0.0%−$5.47KAdded$49.9K
Eqt CorpEQT1.84K$116.8K0.0%$18.4KAdded$18.8K
Ishares Tr—470$116.6K0.0%$865Cut−$9.47K
Avista CorpAVA2.85K$114.6K0.0%$4.57KHeld
Sysco CorpSYY1.56K$111.1K0.0%−$3.68KCut−$4.86K
Dte Energy Co—756$110.6K0.0%$12.7KAdded$15.4K
Vanguard Index Fds—597$110K0.0%$4.13KCut−$2.79K
Ameren CorpAEE970$106.6K0.0%$8.57KAdded$21.5K
American Centy Etf Tr—952$105.2K0.0%$8.08KHeld
Taiwan Semiconductor Mfg Ltd—311$105.1K0.0%$10.6KCut$5.13K
Evergy, Inc.EVRG1.28K$104.8K0.0%$11.6KAdded$16K
Vaneck Etf Trust—273$104.5K0.0%$6.34KHeld
Oge Energy Corp.OGE2.16K$103.6K0.0%$11.4KHeld
Telefonaktiebolaget Lm Erics—9.17K$103.4K0.0%—New
Vanguard World Fd—706$102.3K0.0%$2.68KHeld
Medtronic PlcMDT1.18K$102.3K0.0%−$10.1KAdded−$2.72K
Ball CorpBALL1.73K$102K0.0%$10.6KHeld
Takeda Pharmaceutical Co Ltd—5.5K$102K0.0%—New
Ishares Tr—710$101K0.0%$3.88KHeld
Jacobs Solutions Inc.J787$100.2K0.0%−$3.37KAdded$14.1K
Sprott Asset Management Lp—2.81K$99.7K0.0%$6.8KCut−$25.7K
Abb Ltd -Spons Adr—1.22K$99.1K0.0%—New
Warner Bros. Discovery, Inc.WBD3.6K$98.8K0.0%−$3.27KAdded$29.6K
Clorox Co Del—950$98.4K0.0%$2.52KAdded$7.7K
Vanguard Intl Equity Index F—1.82K$98.2K0.0%$527Held
Gilat Satellite Networks LtdGILT6.59K$97.5K0.0%—New
Adams Diversified Equity Fd—4.42K$96.8K0.0%−$6.32KHeld
Vanguard World Fd—258$94.7K0.0%−$11.8KCut−$134K
Asml Holding N V—71$93.8K0.0%$4.27KAdded$75.6K
Illinois Tool Wks Inc—358$93.2K0.0%$5.01KHeld
Target CorpTGT758$91.9K0.0%$14.2KAdded$32.5K
Blackstone Inc.BX798$91.8K0.0%−$25.1KAdded−$6.89K
Arista Networks, Inc.ANET744$91.3K0.0%−$4.65KAdded$17.4K
Mercadolibre IncMELI52$89.9K0.0%−$14.8KHeld
Phillips 66PSX490$89.3K0.0%$21.2KAdded$37.8K
Schwab Charles Corp—948$89.1K0.0%−$3.43KAdded$31.3K
Travelers Companies, Inc.TRV304$88.7K0.0%$345Added$26.9K
Emerson Elec Co—672$88K0.0%−$1.13KAdded−$214
Chubb Limited—270$88K0.0%$3.75KCut−$133.9K
Intuitive Surgical IncISRG175$80.7K0.0%−$8.96KAdded$32.5K
Spdr Index Shs Fds—1.77K$80.6K0.0%$2.19KHeld
Principal Financial Group In—893$80.5K0.0%$1.7KHeld
Smith A O CorpAOS1.21K$79.7K0.0%−$1.14KHeld
Monster Beverage Corp New—1.1K$79.5K0.0%−$4.62KHeld
Invesco Exchange Traded Fd T—730$78.6K0.0%−$4.56KHeld
Paypal Hldgs Inc—1.7K$76.9K0.0%−$16.6KAdded$3.26K
Tjx Cos Inc New—474$75.7K0.0%$853Added$54.2K
General Mtrs Co—1.02K$75.7K0.0%−$6.93KCut−$21.3K
Kroger CoKR1.04K$75.3K0.0%$9.57KAdded$14.7K
BlackRock, Inc.BLK77$74.1K0.0%−$8.36KHeld
Cvs Health CorpCVS1.02K$73.5K0.0%−$6.58KAdded$4.26K
Welltower Inc.WELL371$73.3K0.0%$2.7KAdded$32K
Ametek Inc/AME342$73.3K0.0%$2.75KAdded$10.9K
Linde PlcLIN146$72.4K0.0%$2.29KAdded$58.3K
Bp Plc—1.53K$72K0.0%$7.2KAdded$51.6K
Gsk Plc—1.3K$71.8K0.0%$3.47KAdded$44.6K
Occidental Pete Corp—1.1K$71.8K0.0%$24KAdded$30.4K
A P Moeller Maersk A A F—5.59K$71.5K0.0%—New
Levi Strauss & Co New—3.83K$70.9K0.0%−$8.63KHeld
Pinnacle West Cap Corp—700$70.5K0.0%$8.43KHeld
Vanguard Intl Equity Index F—849$70K0.0%−$1KHeld
Palo Alto Networks IncPANW430$68.9K0.0%−$7.09KAdded$14.2K
Schwab Strategic Tr—2.33K$67.8K0.0%−$8.13KCut−$66.8K
Ishares Tr—674$67.8K0.0%$1.64KAdded$25.3K
Vanguard Whitehall Fds—764$67.6K0.0%−$2.28KHeld
Ishares Tr—371$67.3K0.0%−$6.77KHeld
Wisdomtree Tr—615$67.2K0.0%$4.55KCut−$1.35K
Corteva, Inc.CTVA801$67.1K0.0%$13.4KCut−$2.59K
Accenture Plc Ireland—333$66K0.0%−$23.3KCut−$67.9K
Ishares Tr—617$65.5K0.0%—New
Profesionally Managed Portfo—1.23K$64.8K0.0%—New
Martin Marietta Matls Inc—110$64.8K0.0%−$2.58KAdded$17.4K
Bluerock Pvt Real Estate Fd—3.82K$63.4K0.0%$3.94KAdded$26.7K
Fulton Finl Corp Pa—3.11K$63.2K0.0%$3.14KHeld
Equity ResidentialEQR1.06K$63K0.0%−$3.4KAdded$6.26K
Coca-Cola Europacific Partne—690$62.5K0.0%−$590Added$26.8K
Vaneck Etf Trust—680$62.4K0.0%$4.08KHeld
NWPX Infrastructure, Inc.NWPX793$61.7K0.0%—New
Mitsubishi Elec Corp Adr—948$61.5K0.0%—New
Amphenol Corp New—486$61.5K0.0%−$1.35KAdded$40.4K
Carnival Corp Ltd.CCL2.37K$61.3K0.0%−$8.87KAdded$3.17K
Broadridge Finl Solutions In—372$60.6K0.0%−$22.4KCut−$34.3K
Koninklijke Ahold Delhaize NV—1.3K$60.4K0.0%—New
Pacer Fds Tr—1.31K$60.1K0.0%$3KHeld
Delta Air Lines Inc DelDAL897$59.6K0.0%−$1.88KAdded$14.9K
Edison Intl—812$59.4K0.0%$10.7KHeld
Ishares Tr—842$59.2K0.0%−$598Held
DT Midstream, Inc.DTM439$59.1K0.0%$6.58KHeld
Morgan Stanley—348$57.3K0.0%−$881Added$45.2K
Select Sector Spdr Tr—522$56.9K0.0%−$5.44KHeld
HCA Healthcare, Inc.HCA120$56.8K0.0%$664Added$8.24K
Globe Life Inc—408$56.8K0.0%−$282Held
Enterprise Prods Partners L—1.5K$56.8K0.0%$8.67KHeld
Aebi Schmidt Hldg Ag—5.65K$54.9K0.0%−$16.6KHeld
Us Bancorp Del—1.05K$54.6K0.0%−$1.4KCut−$30.8K
Schwab Strategic Tr—1.87K$54.4K0.0%$1.12KCut−$16.6K
Cbre Group, Inc.CBRE401$54.3K0.0%−$785Added$49.3K
Invesco Exchange Traded Fd T—1.16K$54.1K0.0%$75Held
Sandridge Energy IncSD3.28K$53.5K0.0%—New
Vanguard Tax-Managed Fds—828$53.1K0.0%$1.33KCut−$47.3K
Ishares Tr—390$52.9K0.0%$5.5KHeld
Fti Consulting, IncFCN296$52.3K0.0%$1.76KHeld
Sempra—536$52.1K0.0%$4.25KAdded$10.3K
Ishares Tr—536$52.1K0.0%$514Held
National Grid Plc—613$51.9K0.0%$4.33KAdded$5.68K
DuPont de Nemours, Inc.DD1.13K$51.6K0.0%$6.31KCut−$29.5K
Johnson Ctls Intl Plc—391$51.3K0.0%$2.04KAdded$29.7K
First Tr Exchange-Traded Fd—974$49.5K0.0%$5.61KAdded$11K
Elevance Health Inc Formerly—167$48.9K0.0%−$9.65KHeld
Williams Cos Inc—669$48.7K0.0%$6.22KAdded$19.2K
Check Point Software Tech Lt—340$48.6K0.0%—New
Ishares Tr—253$48.5K0.0%−$1.72KCut−$25.8K
Eni S P A—854$48.5K0.0%—New
Hp IncHPQ2.52K$48.4K0.0%−$7.49KAdded−$5.99K
Tc Energy Corp—770$48.2K0.0%$5.84KHeld
Zto Express Cayman Inc—1.9K$47.7K0.0%—New
Wabtec—190$47.5K0.0%$692Added$43.4K
Gilead Sciences, Inc.GILD340$47.4K0.0%$1.85KAdded$33.8K
Canon Inc Sponsored Adr—1.71K$47.4K0.0%—New
Arcutis Biotherapeutics, Inc.ARQT2K$47.1K0.0%−$11KHeld
Ishares Tr—147$46.1K0.0%−$1.35KHeld
Proshares Tr—435$46.1K0.0%$844Held
Consolidated Edison IncED407$46.1K0.0%$3.53KAdded$20.7K
Adobe Inc.ADBE189$45.9K0.0%−$11.3KAdded$8.84K
Qnity Electronics, Inc.Q398$45.9K0.0%—New
Prologis Inc.—345$45.6K0.0%$461Added$32.6K
Ishares Tr—450$45.3K0.0%−$428Held
Otis Worldwide CorpOTIS575$44.3K0.0%−$4.98KAdded$1.96K
Kimbell Rty Partners Lp—3K$43.4K0.0%$8.13KHeld
Moderna, Inc.MRNA850$43.2K0.0%$18.1KCut$18.1K
Marvell Technology, Inc.MRVL435$43.1K0.0%$4KAdded$19K
American Airls Group IncAAL3.96K$42.5K0.0%−$17.5KAdded−$16K
Dbs Group Holdings Limited Sponsored Adr—234$41.9K0.0%—New
Cme Group Inc.CME142$41.9K0.0%$490Added$35.9K
Hilton Worldwide Hldgs Inc—136$41.4K0.0%$639Added$30.4K
Tyson Foods, Inc.TSN640$41K0.0%$2.51KAdded$14K
Stanley Black & Decker, Inc.SWK575$40.9K0.0%−$1.85KHeld
Becton Dickinson & CoBDX255$40.1K0.0%−$7.37KAdded$1.28K
Intuit Inc.INTU92$39.8K0.0%−$4.83KAdded$25.9K
Ishares Tr—400$39.7K0.0%−$170Added$11.9K
Spdr Series Trust—696$39.4K0.0%—New
Okta, Inc.OKTA500$39.4K0.0%−$3.88KHeld
Robinhood Mkts Inc—559$38.7K0.0%−$14.5KAdded$1.42K
China Construction Bank Corp—1.77K$38.6K0.0%—New
Global X Fds—539$38.2K0.0%$3.26KHeld
Alliant Energy CorpLNT530$38K0.0%$3.58KHeld
Yum Brands IncYUM243$37.8K0.0%$513Added$19.3K
Singapore Telecommunic F—970$37.5K0.0%—New
Uber Technologies, IncUBER517$37.2K0.0%−$2.26KAdded$18.3K
Howmet Aerospace Inc.HWM161$37.1K0.0%$1.09KAdded$28.3K
Engie Sa Spons Adr—1.13K$37.1K0.0%—New
First Tr Exchange-Traded Fd—170$36.7K0.0%−$2.42KHeld
Xcel Energy Inc—459$36.5K0.0%$2.23KAdded$6.92K
M & T Bk Corp—176$36.4K0.0%$923Cut−$34.5K
Crh Plc—345$36.3K0.0%−$528Added$32.9K
Vertex Pharmaceuticals Inc—81$36.2K0.0%−$538Added$355
Public Svc Enterprise Grp In—445$36K0.0%$289Held
Simon Ppty Group Inc New—193$36K0.0%$46Added$29.9K
Cencora, Inc.COR113$35.5K0.0%−$2.2KAdded$4.09K
Vertiv Holdings CoVRT141$35.3K0.0%$443Added$34.5K
Snap-on IncSNA97$35.2K0.0%$131Added$32.8K
Ishares Tr—185$35.1K0.0%$1.55KHeld
Transdigm Group IncTDG30$34.8K0.0%−$854Added$28.1K
Motorola Solutions, Inc.MSI80$34.7K0.0%$3.4KAdded$9.04K
Ishares Tr—462$34.4K0.0%$1.36KHeld
Canadian Natl Ry Co—330$33.9K0.0%$1.29KHeld
Boston Beer Co IncSAM145$33.4K0.0%$5.11KHeld
Parker-Hannifin CorpPH37$33.1K0.0%$602Held
Andersons, Inc.ANDE460$33K0.0%—New
Bhp Group Ltd—453$33K0.0%—New
Vulcan Matls Co—121$32.9K0.0%—New
Newmont Corp—303$32.8K0.0%$462Added$27.3K
Kinder Morgan Inc Del—972$32.6K0.0%$912Added$28.4K
Global X Fds—969$32.2K0.0%−$2.92KHeld
Nova Ltd.NVMI74$32.1K0.0%—New
Spdr Series Trust—351$32.1K0.0%$815Held
Fastenal CoFAST692$32.1K0.0%$2.61KAdded$15.4K
Agilent Technologies, Inc.A281$32.1K0.0%−$2.5KAdded$16.6K
Siriusxm Holdings Inc—1.38K$31.8K0.0%$4.04KAdded$5.54K
Ase Technology Hldg Co Ltd—1.46K$31.7K0.0%$1.51KAdded$27.4K
Telos Corp Md—7.5K$31.4K0.0%−$6.82KHeld
Invesco Exchange Traded Fd T—188$31.2K0.0%$1.71KHeld
Imax CorpIMAX816$31K0.0%—New
First Finl Bankshares Inc—1.05K$30.9K0.0%−$440Held
Eastman Chem Co—401$30.6K0.0%$4.8KAdded$6.17K
Global X Fds—1K$30.5K0.0%$937Held
Ppg Inds Inc—284$30.4K0.0%$1.25KHeld
Digital Rlty Tr Inc—167$30.1K0.0%$510Added$27K
Select Sector Spdr Tr—600$30K0.0%$2.77KHeld
Kkr & Co Inc—324$30K0.0%−$384Added$28.6K
Dow Inc.DOW719$29.9K0.0%$13.1KCut−$8.84K
Ntt Inc Sponsored Adr—1.2K$29.8K0.0%—New
Compania De Minas Buenaventu—822$29.6K0.0%—New
Hsbc Hldgs Plc—351$29.5K0.0%$139Added$27.4K
ServiceNow, Inc.NOW275$28.8K0.0%−$6.81KAdded$7.3K
Solstice Advanced Matls Inc—376$28.6K0.0%—New
Vanguard World Fd—41$28.6K0.0%−$2.3KHeld
British Amern Tob Plc—488$28.6K0.0%$843Added$3.3K
Synchrony Financial—418$28.4K0.0%−$2.79KAdded$13.3K
Oreilly Automotive Inc—308$28.4K0.0%$33Added$25.7K
Select Sector Spdr Tr—255$28.3K0.0%−$1.75KHeld
Cloudflare, Inc.NET136$28.1K0.0%$377Added$20K
International Paper Co—785$28K0.0%−$2.19KAdded$4.67K
Etf Ser Solutions—836$27.8K0.0%—New
Brookfield Corp—681$27.5K0.0%—New
Tractor Supply Co—600$27.2K0.0%−$2.83KHeld
Alibaba Group Hldg Ltd—216$27.1K0.0%−$4.14KAdded−$1.63K
Western Digital CorpWDC100$27K0.0%—New
Essential Utils Inc—666$26.8K0.0%$1.27KHeld
Koninklijke Philips N V—970$26.6K0.0%—New
Live Nation Entertainment In—174$26.5K0.0%—New
Heico Corp New—124$26.2K0.0%−$330Added$24.2K
Ind & Comm Bk Of-Unspon Adr—1.48K$26.2K0.0%—New
Spdr Index Shs Fds—556$26.1K0.0%$56Held
Dover CorpDOV124$25.8K0.0%—New
Veralto CorpVLTO292$25.8K0.0%−$3.25KAdded−$2.72K
Genuine Parts CoGPC243$25.7K0.0%−$4.18KHeld
Alaska Air Group, Inc.ALK685$25.2K0.0%−$9.26KHeld
Progressive Corp—127$25.2K0.0%−$1.06KAdded$17K
Skyworks Solutions, Inc.SWKS470$25.2K0.0%−$4.63KHeld
Monolithic Pwr Sys Inc—23$25.2K0.0%$3.56KAdded$7.93K
Freeport-Mcmoran IncFCX423$24.9K0.0%—New
Global X Fds—333$24.8K0.0%$3.16KHeld
Airbnb, Inc.ABNB196$24.8K0.0%−$1.85KHeld
Ishares Tr—77$24.5K0.0%−$1.92KHeld
Cadence Design System Inc—88$24.5K0.0%−$3.05KCut−$17.1K
Cognizant Technology Solutio—396$24.3K0.0%−$411Added$22.7K
New Oriental Ed & Technology—429$24.3K0.0%—New
Hartford Insurance Group Inc—179$24.2K0.0%−$42Added$21.9K
Eversource EnergyES347$24K0.0%$612Added$2.9K
Huntington Ingalls Inds Inc—63$23.9K0.0%$2.51KHeld
Spdr Gold Tr—55$23.7K0.0%$1.87KCut−$17.9K
Lennar Corp—268$23.3K0.0%−$415Added$20.6K
First Tr Exchange-Traded Fd—99$23.2K0.0%−$3.48KHeld
Kt CorpKT1.08K$23.1K0.0%—New
Silicon Motion Technology CORPSIMO202$22.7K0.0%—New
Spire Inc—250$22.6K0.0%$1.96KHeld
Packaging Corp Amer—106$22.5K0.0%—New
Fujitsu Ltd—1.09K$22.4K0.0%—New
Itt Inc.ITT117$22.3K0.0%$1.99KHeld
Fortive CorpFTV400$22.1K0.0%$28Held
D R Horton Inc—161$22.1K0.0%−$184Added$18.2K
DoorDash, Inc.DASH147$22.1K0.0%−$1.98KAdded$16.2K
Landstar Sys Inc—134$21.5K0.0%$2.23KHeld
Cintas CorpCTAS126$21.3K0.0%−$682Added$14.5K
Ishares Tr—183$21.2K0.0%$1.42KHeld
Woori Finl Group Inc—319$21.2K0.0%—New
Allstate Corp—102$21.2K0.0%−$9Added$18.3K
United Parcel Service IncUPS215$21.2K0.0%−$56Added$14.2K
Booking Holdings Inc.BKNG5$21.1K0.0%−$5.72KHeld
Metlife Inc—296$20.9K0.0%−$1.87KAdded$2.94K
F N B Corp—1.25K$20.9K0.0%−$475Held
Zillow Group Inc—500$20.7K0.0%−$13.4KHeld
Boc Hong Kong Hldgs Ltd Sponsored Adr—189$20.7K0.0%—New
Schwab Strategic Tr—537$20.5K0.0%$1.18KHeld
United Airls Hldgs Inc—223$20.5K0.0%—New
Brown & Brown, Inc.BRO314$20.5K0.0%−$1.46KAdded$12.4K
Ishares Tr—62$20.4K0.0%$1.71KHeld
Pulte Group Inc—170$20K0.0%$19Added$15.4K
Barclays Plc—944$20K0.0%−$133Added$19.2K
Wolters Kluwer N V Sponsored A—265$19.9K0.0%—New
Capital Group Dividend Value—464$19.7K0.0%−$510Held
American Intl Group Inc—261$19.6K0.0%−$1.3KAdded$8.86K
Boston Scientific CorpBSX313$19.6K0.0%−$3.59KAdded$9.15K
Tower Semiconductor LtdTSEM111$19.5K0.0%—New
Nuscale Pwr Corp—1.79K$19.4K0.0%−$5.96KHeld
Enbridge Inc—351$19K0.0%$2.21KHeld
Devon Energy Corp New—374$18.8K0.0%$5.12KCut$3.8K
Henkel Ag Co Kgaa Sponsored Adr—1.04K$18.8K0.0%—New
Crowdstrike Hldgs Inc—48$18.7K0.0%−$2.98KAdded$927
Vistra Corp.VST122$18.3K0.0%—New
MSCI Inc.MSCI34$18.3K0.0%−$208Added$14.9K
Mid-Amer Apt Cmntys Inc—150$18.3K0.0%−$2.52KHeld
United Rentals, Inc.URI25$18.2K0.0%−$1.37KAdded$4.46K
Mondelez Intl Inc—316$18.2K0.0%$1.2KHeld
Amentum Holdings, Inc.AMTM695$18.1K0.0%−$2.03KHeld
Copart IncCPRT541$18K0.0%−$179Added$16.8K
Oneok Inc /New/OKE196$17.7K0.0%$2.67KAdded$6.1K
Hexcel Corp New—216$17.5K0.0%$1.52KHeld
Secom Co Ltd Unsp Adr—1.82K$17.4K0.0%—New
Ing Groep N.V.—660$17.2K0.0%−$154Added$15K
First Tr Exchange Traded Fd—346$17.2K0.0%$1.59KHeld
Zoetis Inc.ZTS142$16.8K0.0%−$183Added$13.8K
Brookfield Infrastructure CorpBIPC420$16.5K0.0%—New
General Mls IncGIS444$16.5K0.0%−$307Added$15K
Raymond James Finl Inc—114$16.5K0.0%−$269Added$13.8K
Hewlett Packard Enterprise C—692$16.5K0.0%−$145Held
Datadog, Inc.DDOG139$16.4K0.0%−$2.14KAdded$226
Select Sector Spdr Tr—200$16.4K0.0%$860Held
Schwab Strategic Tr—588$16.4K0.0%$377Held
Shinhan Financial Group Co L—266$16.3K0.0%—New
Ati IncATI110$16K0.0%—New
Vodafone Group Plc New—1.06K$16K0.0%$1.68KAdded$3.73K
Daiwa House Industry Co Ltd Adr—505$15.9K0.0%—New
United Microelectronics CorpUMC1.76K$15.8K0.0%—New
JP MORGAN CHASE 4.625pcnt PREFERRED—804$15.4K0.0%—New
Markel Group Inc.MKL8$15.3K0.0%—New
Seagate Technology Hldngs Pl—39$15.3K0.0%$2.56KAdded$9.23K
H World Group Ltd—304$15.3K0.0%—New
Schwab Strategic Tr—602$14.9K0.0%$428Cut−$13.7K
Dell Technologies Inc.DELL90$14.8K0.0%$3.44KHeld
Waters Corp—49$14.6K0.0%—New
Brookfield Asset Managmt Ltd—327$14.5K0.0%−$1.34KAdded$5.71K
Marathon Pete Corp—59$14.4K0.0%$3.02KAdded$8.39K
Baker Hughes Company—234$14.3K0.0%$2.14KAdded$8K
Iqvia Hldgs Inc—83$14.2K0.0%−$439Added$12.4K
Idexx Labs Inc—25$14K0.0%−$688Added$9.99K
Tenaris S A—241$14K0.0%—New
StoneX Group Inc.SNEX172$13.9K0.0%−$1.67KAdded$2.93K
Realty Income CorpO221$13.6K0.0%$241Added$10.9K
Invesco Actvely Mngd Etc Fd—777$13.5K0.0%$3.16KHeld
Novo-Nordisk A S—366$13.5K0.0%−$5.17KHeld
Gallagher Arthur J & Co—61$13.2K0.0%−$254Added$11.7K
Block Inc—218$13.1K0.0%−$89Added$11.9K
Haleon Plc—1.3K$13K0.0%−$65Added$6.5K
Roblox CorpRBLX230$13K0.0%−$759Added$10.5K
Baidu Inc—115$12.8K0.0%−$2.21KHeld
Interactive Brokers Group In—191$12.8K0.0%—New
Lpl Finl Hldgs Inc—42$12.6K0.0%—New
Snowflake Inc.SNOW82$12.4K0.0%−$274Added$11.5K
Pimco Etf Tr—134$12.4K0.0%−$107Held
Versant Media Group, Inc.VSNT334$12.4K0.0%—New
Bnp Paribas—259$12.3K0.0%—New
Biogen Inc.BIIB67$12.3K0.0%—New
T-Mobile Us Inc—58$12.2K0.0%$119Added$8.73K
Natwest Group Plc—763$12.2K0.0%—New
First Tr Exchange-Traded Fd—244$12.2K0.0%−$44Held
Veeva Sys Inc—69$12.1K0.0%−$95Added$11.7K
Dollar Gen Corp New—102$12.1K0.0%−$1.22KAdded$560
Ralph Lauren CorpRL35$12K0.0%−$336Held
Roper Technologies IncROP34$12K0.0%−$366Added$10.3K
Nnn Reit, Inc.NNN286$12K0.0%$480Added$4.09K
Ww Grainger Inc—11$12K0.0%$900Cut−$12.2K
Criteo S.A.CRTO664$11.9K0.0%—New
Metlife Inc 4 4.75 Pfdpfd Ser F—648$11.9K0.0%—New
SoFi Technologies, Inc.SOFI748$11.9K0.0%−$6.67KAdded−$5.09K
Tokio Marine Hldgs Inc Adr—250$11.8K0.0%—New
Kla CorpKLAC8$11.8K0.0%$2.06KHeld
Truist Finl Corp Dp—648$11.7K0.0%—New
Wells Fargo & 4.75 Pfd—618$11.7K0.0%—New
Cms Energy Corp—150$11.6K0.0%$1.15KHeld
Schwab Strategic Tr—455$11.6K0.0%−$128Held
Ameriprise Finl Inc—26$11.6K0.0%−$919Added$1.75K
Leonardo S P A Unsponsored Adr—343$11.5K0.0%—New
Nuveen Real Asset Income & G—934$11.5K0.0%−$1.22KHeld
Marsh & Mclennan Cos Inc—66$11.4K0.0%−$241Added$7.74K
Fortinet, Inc.FTNT140$11.4K0.0%$48Added$9.77K
Eog Res Inc—79$11.4K0.0%—New
Huntington—669$11.4K0.0%—New
Jiayin Group Inc.JFIN2.66K$11.2K0.0%−$4.29KHeld
Siemens Energy Ag Npv Adr—66$11.1K0.0%—New
Grupo Televisa S A B—3.83K$11.1K0.0%—New
Charles Schwab Corp—625$11.1K0.0%—New
American Tower Corp New—63$10.9K0.0%−$72Added$6.66K
Church & Dwight Co Inc—116$10.8K0.0%$151Added$9.48K
JP Morgan Chase PFD 4.75—552$10.8K0.0%—New
M &T Bk Corp Fix To—435$10.7K0.0%—New
Diamondback Energy, Inc.FANG54$10.7K0.0%$2.56KHeld
Fair Isaac CorpFICO10$10.7K0.0%—New
Xylem Inc.XYL89$10.6K0.0%—New
Exchange Traded Concepts Tru—160$10.5K0.0%$363Held
Marriott Intl Inc New—32$10.5K0.0%$538Held
Morgan Stanley—593$10.3K0.0%—New
Ge Healthcare Technologies I—145$10.3K0.0%−$1.44KAdded−$588
Ishares Tr—108$10.3K0.0%−$77Held
Ishares Tr—259$10.3K0.0%$422Held
Bank Of America Corp—593$10.1K0.0%—New
Moodys Corp—23$10K0.0%−$1.04KAdded$2.88K
Liberty Media Corp Del—118$10K0.0%—New
Allstate Corp—495$9.94K0.0%—New
Ss&C Technologies Hldgs Inc—147$9.93K0.0%—New
Deutsche Telekom Ag—265$9.83K0.0%—New
Arch Cap Group Ltd 4 550 Dep Pfd G—598$9.82K0.0%—New
Unilever Plc—171$9.8K0.0%—New
Teva Pharmaceutical Inds Ltd—324$9.76K0.0%—New
China Merchants Bank—303$9.68K0.0%—New
Techtronic Inds Ltd Sponsored Adr—144$9.58K0.0%—New
Ishares Tr—104$9.5K0.0%$532Held
Ono Pharmaceutical Co Fsponsored Adr 0 333333333333 Ord Shs—1.75K$9.24K0.0%—New
At&T Inc—434$9.23K0.0%—New
Arch Cap Group Ltd—96$9.21K0.0%—New
Republic Svcs Inc—42$9.2K0.0%$298Held
Bank America Corp Dp—518$9.1K0.0%—New
Bank America Corp—450$9.08K0.0%—New
State Str Corp Dep—416$8.99K0.0%—New
Wells Fargo & Company—472$8.91K0.0%—New
Solventum CorpSOLV136$8.88K0.0%−$1.9KHeld
Jd.Com Inc—300$8.87K0.0%$261Held
Jpmorgan Chase & Co—470$8.84K0.0%—New
U.S. Bancorp Preferred S—497$8.76K0.0%—New
Wells Fargo 5.625 Pfd—372$8.75K0.0%—New
Williams Sonoma IncWSM48$8.75K0.0%$180Held
DHT Holdings, Inc.DHT474$8.66K0.0%—New
Hyatt Hotels CorpH60$8.63K0.0%—New
Spdr Series Trust—300$8.6K0.0%−$54Held
Berkley (Wr) Corporation—454$8.58K0.0%—New
Truist Finl Corp—415$8.54K0.0%—New
Arcelormittal Sa Luxembourg—164$8.52K0.0%—New
Nestle Sa Adr—86$8.52K0.0%—New
Public Storage Oper—559$8.51K0.0%—New
Restaurant Brands Intl Inc—115$8.5K0.0%$471Added$2.84K
Bank Of China Ltd—531$8.5K0.0%—New
Apollo Global Mgmt Inc—76$8.47K0.0%−$267Added$7.31K
CHARLES SCHWAB 5.950per PFD SER D PERP MTY NON CUM CALL 6/01/21 @25—346$8.39K0.0%—New
Bank Of Amer 5.375 Pfd—387$8.38K0.0%—New
FabrinetFN16$8.34K0.0%$1.06KHeld
Swire Pac Ltd—754$8.34K0.0%—New
Nextera Energy Cap—364$8.32K0.0%—New
Citizens Finl Gr 5 Pfd—439$8.31K0.0%—New
GoDaddy Inc.GDDY100$8.27K0.0%—New
Fifth Third 4.95 Pfd—436$8.24K0.0%—New
Tyler Technologies IncTYL24$8.22K0.0%—New
Loews CorpL76$8.11K0.0%$39Added$5.27K
Banco Bilbao Vizcaya Argenta—374$8.1K0.0%−$126Added$6.33K
Metlife Inc 5.625 Pfd—359$8.06K0.0%—New
Old Dominion Freight Line In—41$8.01K0.0%—New
Invesco Exch Traded Fd Tr Ii—71$7.96K0.0%—New
Ishares Tr—262$7.94K0.0%−$168Held
Chemours CoCC360$7.93K0.0%$3.69KCut−$4.55K
Chipotle Mexican Grill IncCMG245$7.84K0.0%−$499Added$4.14K
Keycorp—317$7.83K0.0%—New
Whirlpool Corp—145$7.82K0.0%−$2.64KHeld
Electronic Arts Inc.EA38$7.75K0.0%−$4Added$5.7K
Entegris IncENTG66$7.74K0.0%—New
U S Bancorp—513$7.7K0.0%—New
Quanta Svcs Inc—14$7.69K0.0%$635Added$5.58K
Toast, Inc.TOST289$7.66K0.0%−$1.96KAdded−$80
Costar Group, Inc.CSGP187$7.54K0.0%—New
Norwegian Cruise Line Hldg L—400$7.48K0.0%−$1.45KHeld
Reddit, Inc.RDDT55$7.41K0.0%−$5.24KCut−$14.9K
Bank Of Amer 5.875 Pfd—300$7.38K0.0%—New
Proshares Tr—85$7.34K0.0%$186Held
Japan Tob Inc F—382$7.32K0.0%—New
Citigroup Inc 6.25—294$7.25K0.0%—New
Ishares Tr—61$7.22K0.0%$288Held
Autodesk, Inc.ADSK30$7.18K0.0%−$1.7KHeld
Kenvue Inc.KVUE411$7.09K0.0%−$2Added$2.65K
Vici Pptys Inc—255$7.01K0.0%−$41Added$5.13K
Banco Santander Sa—619$6.98K0.0%−$247Added$543
Wells Fargo 4.375 Pfd—398$6.95K0.0%—New
Invesco Exch Traded Fd Tr Ii—99$6.92K0.0%$431Held
First Tr Exchange-Traded Fd—409$6.86K0.0%—New
Ea Series Trust—461$6.8K0.0%—New
Pg&E Corp—386$6.8K0.0%—New
Axon Enterprise, Inc.AXON16$6.79K0.0%−$1.43KAdded$1.12K
Live Oak Bancshares Inc—205$6.78K0.0%−$263Held
Autozone IncAZO2$6.76K0.0%−$27Held
Tokyo Electron Ltd—55$6.72K0.0%—New
Otsuka Hldgs Co Ltd—189$6.68K0.0%—New
Quest Diagnostics IncDGX34$6.66K0.0%$270Added$4.58K
Arch Capital Group—342$6.66K0.0%—New
Ares Management Corporation—61$6.66K0.0%—New
Ituran Location And Control—131$6.62K0.0%—New
Morgan Stanle 5.85 Pfd—278$6.6K0.0%—New
Trend Micro Adr—197$6.56K0.0%—New
Public Storage Oper Co—24$6.5K0.0%—New
Kraft Heinz CoKHC288$6.48K0.0%−$507Held
Vanguard Scottsdale Fds—59$6.47K0.0%—New
China Yuchai Intl Ltd—168$6.47K0.0%—New
Invesco Exchange Traded Fd T—137$6.28K0.0%−$3Held
Garmin LtdGRMN27$6.26K0.0%$408Added$3.42K
Intercontinental Exchange In—39$6.13K0.0%−$98Added$2.73K
Goldman Sachs Grou—317$6.04K0.0%—New
Targa Res Corp—24$6.02K0.0%$728Added$3.99K
Paccar IncPCAR52$6.01K0.0%$30Added$5.46K
Citizens Finl Group Inc—100$6K0.0%$105Added$2.08K
Brookfield Renewable CorpBEPC150$5.97K0.0%—New
Keycorp 5.65 5.65 Pfd—287$5.97K0.0%—New
Dte Energy Co Cal—362$5.96K0.0%—New
Nice Ltd—54$5.95K0.0%—New
Capital One Fi 4.8 Pfd—330$5.88K0.0%—New
Sunbelt Rentals Holdings, Inc.SUNB90$5.86K0.0%—New
Cf Inds Hldgs Inc—45$5.84K0.0%$1.47KAdded$3.68K
Citizens Finl Group—226$5.84K0.0%—New
Capital One Finl Corp DP Shs P—313$5.84K0.0%—New
Public Stora 4.875 Pfd—311$5.79K0.0%—New
Regions Financial—232$5.78K0.0%—New
Huntingtn Bancshares Pfd—234$5.76K0.0%—New
Ulta Beauty, Inc.ULTA11$5.75K0.0%—New
Recruit Holdings Co Ltd Unspon—643$5.74K0.0%—New
Berkley W R Corp—86$5.7K0.0%−$268Added$792
Bank New York Mellon—227$5.67K0.0%—New
World Gold Tr—61$5.65K0.0%$446Held
Equitable Hldgs Inc—288$5.59K0.0%—New
Nuveen New York Qlt Mun Inc—500$5.58K0.0%−$55Held
Guidewire Software, Inc.GWRE37$5.53K0.0%−$1.34KAdded$308
Ralliant CorpRAL133$5.53K0.0%−$1.24KHeld
Cellebrite DI Ltd.CLBT400$5.51K0.0%−$1.7KHeld
Widepoint CorpWYY1.1K$5.5K0.0%−$419Held
Verisk Analytics, Inc.VRSK29$5.5K0.0%−$203Added$4.16K
Dte Energy Co Jr Sub—266$5.47K0.0%—New
Jpmorgan Chase 4.2 Pfd—312$5.46K0.0%—New
Ishares Tr—118$5.46K0.0%—New
Northern Tr Corp—39$5.44K0.0%$72Added$2.17K
Us Foods Hldg Corp—59$5.44K0.0%$996Held
Cms Energy Corp—243$5.37K0.0%—New
Sumitomo Mitsui Finl Group I—271$5.35K0.0%$54Added$2.86K
Invesco Exch Traded Fd Tr Ii—46$5.29K0.0%—New
Fifth Third Bancorp—113$5.27K0.0%−$10Added$2.51K
First Tr Exchange-Traded Fd—206$5.26K0.0%—New
Alps Etf Tr—100$5.23K0.0%$112Held
Societe Generale France Sponsored Adr—349$5.12K0.0%—New
Public Stora 4 625 Pfdpfd Ser L—290$5.08K0.0%—New
Edwards Lifesciences CorpEW63$5.04K0.0%−$108Added$3.25K
Mettler Toledo International Inc/MTD4$5.04K0.0%−$532Held
Silicom Ltd.SILC239$5.04K0.0%—New
Alphatec Hldgs Inc—455$4.95K0.0%−$4.62KHeld
Toyota Motor Corp—24$4.95K0.0%−$159Added$665
Qxo Inc—253$4.91K0.0%$33Held
Cms Energy 4.2 Pfd—293$4.91K0.0%—New
U.S. Bancorp 5 5.5 Pfd—224$4.89K0.0%—New
First Tr Exchange Traded Fd—153$4.88K0.0%—New
Sandoz Group Ag—62$4.85K0.0%—New
Astrazeneca Plc OrdAZN25$4.84K0.0%—New
AT&T Inc Depositary Shs Pfd Series C—262$4.82K0.0%—New
Sherwin Williams CoSHW15$4.81K0.0%−$45Added$596
Keysight Technologies, Inc.KEYS17$4.8K0.0%—New
Renaissancere—229$4.76K0.0%—New
Korea Elec Pwr Corp—330$4.7K0.0%—New
Keycorp Perp Pfd—198$4.7K0.0%—New
Ishares Tr—54$4.68K0.0%$100Held
Carlisle Cos Inc—14$4.67K0.0%$193Held
Zim Integrated Shipping Serv—177$4.66K0.0%—New
Voya Financial Inc—203$4.66K0.0%—New
Woodward, Inc.WWD13$4.65K0.0%$723Held
Liberty Media Corp Del—59$4.61K0.0%—New
Prudential Finl Inc—282$4.59K0.0%—New
Mizuho Financial Group Inc—578$4.59K0.0%$270Added$1.41K
Tanscanada Pipeline Str—192$4.55K0.0%—New
Truist Finl Corp—99$4.55K0.0%−$110Added$2.88K
Regions Financial Corp New—174$4.54K0.0%−$89Added$2.08K
Perimeter Solutions, Inc.PRM186$4.54K0.0%—New
First Tr Exchange-Traded Fd—115$4.53K0.0%—New
Public Storag 5.15 Pfd—229$4.49K0.0%—New
Global Ship Lease Inc New—120$4.47K0.0%—New
Industria De Diseno Textil SA—307$4.42K0.0%—New
Corebridge Finl Inc—194$4.42K0.0%—New
Fifth Third 6.625 Pfd—175$4.41K0.0%—New
Argenx SEARGX6$4.38K0.0%−$664Held
Caseys Gen Stores Inc—6$4.37K0.0%$1.05KHeld
United Overseas Bk Ltd Sponsor—76$4.34K0.0%—New
Bjs Whsl Club Hldgs Inc—44$4.33K0.0%$327Added$819
SiteOne Landscape Supply, Inc.SITE32$4.26K0.0%$274Held
Ccc Intelligent Solutions Hl—708$4.25K0.0%—New
Wingstop Inc.WING27$4.18K0.0%−$2.26KHeld
Liberty Global Ltd—346$4.18K0.0%—New
Wells Fargo & 4.25 Pfdpfd Ser Dd—241$4.16K0.0%—New
Mosaic Co NewMOS163$4.16K0.0%$230Held
Strategy Inc—33$4.12K0.0%−$163Added$3.21K
Nokia Corp—502$4.04K0.0%—New
Nuveen Quality Muncp Income—349$4.01K0.0%−$181Held
Rio Tinto Plc—43$4.01K0.0%$384Added$1.69K
Proshares Tr—96$4K0.0%—New
Alnylam Pharmaceuticals, Inc.ALNY12$3.97K0.0%−$200Added$2.78K
Hoya Corp Sponsored Adr—23$3.97K0.0%—New
Annaly Capital Management In—187$3.96K0.0%−$226Held
Ishares Tr—40$3.88K0.0%—New
Paychex IncPAYX42$3.87K0.0%−$843Held
Regeneron Pharmaceuticals, Inc.REGN5$3.86K0.0%$4Held
UBS Group AGUBS98$3.8K0.0%−$287Added$2.12K
First Tr Exchange Traded Fd—34$3.77K0.0%—New
Floor & Decor Hldgs Inc—73$3.71K0.0%—New
Coinbase Global, Inc.COIN21$3.67K0.0%−$309Added$2.31K
Watsco Inc—10$3.64K0.0%$268Held
Trade Desk, Inc.TTD159$3.61K0.0%—New
Daiichi Sankyo Adr—201$3.6K0.0%—New
First Tr Exchange Traded Fd—22$3.6K0.0%—New
Morgan Stanl 6.875 Pfd—140$3.57K0.0%—New
Bayer Ag Sponsored Adr—310$3.56K0.0%—New
Resideo Technologies, Inc.REZI105$3.54K0.0%−$148Held
Fidelity Covington Trust—17$3.54K0.0%—New
Ferguson Enterprises Inc—15$3.5K0.0%—New
Ceragon Networks LtdCRNT1.62K$3.5K0.0%—New
Hologic Inc—46$3.48K0.0%$50Held
On Semiconductor CorpON56$3.47K0.0%$210Added$2.01K
Kimco Realty 5.25 Pfd—172$3.44K0.0%—New
Hdfc Bank LtdHDB138$3.43K0.0%−$1.61KHeld
Kimco Realty 5.125 Pfd—177$3.43K0.0%—New
Public Storage Depositary Shs Pfd Series H—157$3.43K0.0%—New
U.S. Bancorp 4 4 Pfdpfd Ser M—216$3.42K0.0%—New
Morgan Stanl 4.875 Pfd—170$3.41K0.0%—New
Tanger Inc.SKT100$3.4K0.0%—New
Select Sector Spdr Tr—74$3.4K0.0%$237Held
Super Micro Computer Inc—149$3.39K0.0%—New
Chugai—122$3.36K0.0%—New
Ms Ad Ins Group Hldgs Adr—128$3.31K0.0%—New
Humana IncHUM19$3.3K0.0%−$823Added$741
Formfactor IncFORM34$3.3K0.0%$1.4KHeld
Avalonbay Cmntys Inc—20$3.29K0.0%−$153Added$1.65K
Archrock, Inc.AROC94$3.27K0.0%$825Held
NCR Atleos CorpNATL75$3.27K0.0%$411Held
Teradyne, IncTER11$3.26K0.0%—New
Regions Financial—200$3.26K0.0%—New
Aon plcAON10$3.23K0.0%−$211Added$757
Moog Inc—11$3.22K0.0%$540Held
Global X Fds—63$3.2K0.0%—New
Repsol S A F—113$3.2K0.0%—New
Cincinnati Finl Corp—20$3.16K0.0%—New
Atmos Energy CorpATO17$3.14K0.0%$290Held
First Horizon—125$3.09K0.0%—New
P T Telekomunikasi Indonesia—164$3.06K0.0%—New
Graco IncGGG36$3.05K0.0%—New
Citizens Finl Group—120$3.03K0.0%—New
Teledyne Technologies IncTDY5$3.02K0.0%$471Held
Digital Realty 5.2 Pfd—155$3.01K0.0%—New
American Finl Group—146$3K0.0%—New
Kb Finl Group Inc—30$2.99K0.0%—New
Affiliated Managers—151$2.96K0.0%—New
Keurig Dr Pepper Inc.KDP112$2.95K0.0%−$188Held
J P Morgan Exchange Traded F—52$2.95K0.0%−$29Held
Cmsenergycorporation—138$2.94K0.0%—New
Equinix IncEQIX3$2.94K0.0%$643Held
Q2 Hldgs Inc—62$2.93K0.0%−$1.54KHeld
Viking Therapeutics, Inc.VKTX90$2.93K0.0%—New
Yum China Hldgs Inc—60$2.93K0.0%$63Held
AT&T Inc 5 Dep Rep Pfd Ser A—149$2.93K0.0%—New
Canadian Nat Res Ltd—60$2.92K0.0%$893Held
Waste Connections, Inc.WCN18$2.92K0.0%—New
Umb Financial Var Pfd—112$2.91K0.0%—New
Las Vegas Sands CorpLVS54$2.91K0.0%−$605Held
Nextera Energy Cap—116$2.88K0.0%—New
Dte Energy Co Cal—119$2.88K0.0%—New
Advantest Corp—21$2.85K0.0%—New
Relx Plc—86$2.85K0.0%−$625Held
Carvana Co.CVNA9$2.83K0.0%—New
Procore Technologies, Inc.PCOR49$2.79K0.0%—New
Imperial Brands Plc Spon Adr—68$2.79K0.0%—New
First Tr Exchange-Traded Fd—60$2.79K0.0%—New
Applovin CorpAPP7$2.79K0.0%−$1.93KHeld
Petroleo Brasileiro Sa Petro—134$2.78K0.0%$1.19KHeld
Take-Two Interactive Softwar—14$2.77K0.0%—New
Himax Technologies, Inc.HIMX350$2.75K0.0%—New
Invesco Exchange Traded Fd T—36$2.74K0.0%—New
Fiserv IncFISV49$2.73K0.0%−$79Added$2.27K
Invesco Exchange Traded Fd T—50$2.73K0.0%−$236Held
MongoDB, Inc.MDB11$2.69K0.0%−$874Added$595
Ryder Sys Inc—13$2.66K0.0%$173Held
Ryan Specialty Holdings, Inc.RYAN78$2.63K0.0%—New
Oklo Inc.OKLO53$2.63K0.0%−$1.18KHeld
Newsmax Inc.NMAX500$2.61K0.0%−$1.26KHeld
Darden Restaurants IncDRI13$2.55K0.0%$157Held
ServiceTitan, Inc.TTAN40$2.54K0.0%−$1.72KHeld
Intercontinental Hotels Grou—19$2.54K0.0%−$118Added$282
Appfolio IncAPPF16$2.52K0.0%—New
Standard Chartered- Unsp Adr—59$2.52K0.0%—New
Nu Hldgs Ltd—175$2.52K0.0%—New
Sanofi Sa—52$2.5K0.0%−$7Added$1.39K
Stifel Finl Corp Dep—104$2.5K0.0%—New
Western Asset Emerging Mkts—254$2.49K0.0%−$206Cut−$1.26K
Resmed Inc—11$2.47K0.0%—New
Workday, Inc.WDAY19$2.47K0.0%−$1.61KHeld
Reinsurance Grp Of America I—12$2.45K0.0%$8Held
Fidelity Covington Trust—67$2.43K0.0%−$127Held
Affiliated Managers—151$2.43K0.0%—New
Mid Penn Bancorp IncMPB75$2.41K0.0%$85Held
Vanguard Charlotte Fds—50$2.4K0.0%—New
Ishares Tr—10$2.4K0.0%—New
Gatx CorpGATX14$2.39K0.0%$16Held
Ventas, Inc.VTR29$2.37K0.0%$128Held
Xcel Energy Inc Nt—95$2.35K0.0%—New
Totalenergies SeTTE25$2.33K0.0%—New
Medical Pptys Trust IncMPT500$2.31K0.0%−$185Held
Cirrus Logic, Inc.CRUS16$2.31K0.0%$418Held
Morgan Stanley Pfd A 1/1000—120$2.31K0.0%—New
Regions Financial—98$2.3K0.0%—New
American Financial Group—127$2.29K0.0%—New
FirstCash Holdings, Inc.FCFS12$2.26K0.0%$343Held
Extra Space Storage Inc.EXR17$2.23K0.0%—New
Centerpoint Energy IncCNP51$2.2K0.0%$246Held
B & G Foods Inc NewBGS457$2.2K0.0%$233Held
Cracker Barrel Old Ctry Stor—78$2.19K0.0%$212Held
Owens Corning New—20$2.19K0.0%—New
BorgWarner IncBWA40$2.17K0.0%$368Held
Liberty Live Holdings Inc—23$2.17K0.0%—New
Equifax IncEFX12$2.16K0.0%—New
Ally Finl Inc—55$2.16K0.0%−$333Held
Webster Finl Corp—31$2.15K0.0%$201Held
Ark Etf Tr—19$2.14K0.0%—New
Draftkings Inc New—98$2.12K0.0%−$1.26KCut−$3.19K
Webster Finl Corp—102$2.11K0.0%—New
Morgan Stanley 6.5—83$2.1K0.0%—New
Vanguard Index Fds—7$2.09K0.0%—New
Globe Life Inc—135$2.08K0.0%—New
Schneider Elec Sa Adr—38$2.07K0.0%—New
Sap Se—12$2.06K0.0%−$860Held
Victory Portfolios Ii—52$2.05K0.0%$5Held
Coca-Cola Femsa Sab De Cv—21$2.05K0.0%$60Held
Willis Towers Watson PlcWTW7$2.04K0.0%−$265Held
Stifel Finl Corp Sr—103$2.01K0.0%—New
Healthpeak Properties, Inc.DOC122$2K0.0%$42Held
Valmont Inds Inc—5$2K0.0%−$14Held
Lithia Mtrs Inc—8$2K0.0%−$661Held
Roku, IncROKU21$1.99K0.0%—New
Synopsys IncSNPS5$1.98K0.0%−$367Held
Albemarle Corp—11$1.98K0.0%$419Held
Abrdn Precious Metals Basket—9$1.97K0.0%$118Held
Centene Corp Del—60$1.96K0.0%−$505Held
Diageo Plc—26$1.94K0.0%−$71Added$1.42K
Cullen Frost Bankers—114$1.94K0.0%—New
Equitable Hldgs Inc—51$1.89K0.0%−$537Held
Macerich CoMAC100$1.89K0.0%—New
Mdu Res Group Inc—91$1.89K0.0%$110Held
Arrow Electrs Inc—13$1.86K0.0%$432Held
Dollar Tree, Inc.DLTR17$1.86K0.0%—New
Akamai Technologies IncAKAM16$1.84K0.0%$442Held
Lloyds Banking Group Plc—365$1.84K0.0%−$89Added$92
Fidelity Natl Information Sv—39$1.83K0.0%—New
Range Res Corp—40$1.81K0.0%—New
Rpm Intl Inc—18$1.79K0.0%−$83Held
Putnam Premier Income Tr—500$1.77K0.0%$5Held
Twilio IncTWLO14$1.76K0.0%−$230Held
Huntington Bancshares Inc—112$1.75K0.0%−$190Held
Dolby Laboratories, Inc.DLB29$1.74K0.0%−$120Held
Houlihan Lokey, Inc.HLI12$1.72K0.0%−$367Held
Eagle Matls Inc—9$1.71K0.0%—New
Cboe Global Mkts Inc—6$1.69K0.0%$180Held
Ingersoll Rand Inc.IR21$1.68K0.0%$13Added$574
Coherent Corp.COHR7$1.67K0.0%—New
Wintrust Finl Corp—12$1.67K0.0%−$11Held
Hitachi Ltd—57$1.66K0.0%—New
Dexcom IncDXCM26$1.63K0.0%—New
Expedia Group, Inc.EXPE7$1.62K0.0%—New
East West Bancorp IncEWBC15$1.6K0.0%−$85Held
Middleby CorpMIDD12$1.59K0.0%−$193Held
Camden Ppty Tr—16$1.56K0.0%−$198Held
Gildan Activewear Inc.GIL28$1.56K0.0%−$191Held
Avery Dennison CorpAVY9$1.55K0.0%−$83Held
Charles Riv Labs Intl Inc—9$1.55K0.0%−$242Held
Zoom Communications, Inc.ZM19$1.53K0.0%—New
PENTAIR plcPNR17$1.48K0.0%−$289Held
Insulet CorpPODD7$1.47K0.0%−$521Held
M & T BK Corp—57$1.46K0.0%—New
Sonoco Prods Co—27$1.46K0.0%$282Held
Box Inc—61$1.44K0.0%−$383Held
Spire Inc Nt 86—60$1.44K0.0%—New
Morgan Stanley 6.625—56$1.44K0.0%—New
EXPAND ENERGY CorpEXE13$1.43K0.0%—New
Zscaler, Inc.ZS10$1.4K0.0%—New
Organon & Co.OGN234$1.4K0.0%−$276Held
Bio Rad Labs Inc—5$1.39K0.0%−$121Held
Sony Group Corp—67$1.39K0.0%−$171Added$491
WEX Inc.WEX9$1.38K0.0%$36Held
Sba Communications Corp NewSBAC8$1.38K0.0%−$170Held
American Wtr Wks Co Inc New—10$1.36K0.0%$56Held
Bloom Energy CorpBE10$1.35K0.0%—New
U.S. Bancorp 5.56 Pfd—72$1.34K0.0%—New
CoreWeave, Inc.CRWV17$1.32K0.0%—New
Insmed IncINSM8$1.31K0.0%−$84Held
Rocket Lab CorpRKLB20$1.28K0.0%−$111Held
Cabot CorpCBT17$1.28K0.0%$153Held
Reinsurance Grp Of—50$1.27K0.0%—New
Smucker J M Co—13$1.25K0.0%−$18Cut−$84.2K
Glencore plc/ADRGLCNF82$1.25K0.0%—New
Mgic Invt Corp Wis—47$1.23K0.0%−$139Held
Radian Group IncRDN37$1.22K0.0%−$108Held
Essex Ppty Tr Inc—5$1.22K0.0%—New
Viatris IncVTRS90$1.22K0.0%$95Held
Kyndryl Hldgs Inc—92$1.21K0.0%−$1.24KHeld
Newell Brands Inc.NWL350$1.2K0.0%−$101Held
Orix Corp—40$1.2K0.0%$31Held
Structural Monitoring Systems Cdi—4.42K$1.2K0.0%$164Held
Ishares Inc—10$1.2K0.0%—New
BXP, Inc.BXP23$1.19K0.0%−$358Held
Copt Defense PropertiesCDP39$1.19K0.0%$109Held
Suncor Energy Inc New—18$1.19K0.0%$392Held
Garrett Motion Inc.GTX63$1.15K0.0%$47Held
Cooper Cos Inc—16$1.14K0.0%−$167Held
Toronto Dominion Bk Ont—12$1.12K0.0%—New
Henry Jack & Assoc Inc—7$1.11K0.0%−$171Held
Mitsubishi Ufj Finl Group In—65$1.1K0.0%—New
Ishares Tr—19$1.09K0.0%$298Held
Best Buy Co IncBBY17$1.09K0.0%−$47Held
Coterra Energy Inc—31$1.09K0.0%—New
London Stk Exchange Group Sponsored Ads—36$1.07K0.0%—New
lululemon athletica inc.LULU7$1.07K0.0%—New
Ecolab Inc.ECL4$1.07K0.0%$8Added$541
Digital Realt 5.85 Pfd—48$1.06K0.0%—New
Allianz Se—25$1.05K0.0%—New
Amadeus IT Group SA—18$1.02K0.0%—New
First Solar, Inc.FSLR5$9860.0%−$320Held
Lvmh Moet Hennessy Lou Vuitton—9$9830.0%—New
First Horizon—56$9760.0%—New
Kddi Corp-Unsponsored Adr—58$9730.0%—New
Claros Mtg Tr Inc—400$9520.0%−$272Held
Ncr Voyix Corporation—150$9500.0%−$580Held
Schwab Strategic Tr—19$9300.0%$71Cut−$30.2K
Deutsche Bank A G—32$9280.0%−$275Added−$159
Block H & R Inc—29$9200.0%−$344Held
Trimble Inc.TRMB14$9130.0%—New
Occidental Pete Corp—21$9010.0%$496Held
Price T Rowe Group IncTROW10$9010.0%−$123Held
V2X, Inc.VVX13$8910.0%$182Held
EnersysENS5$8690.0%—New
Ishares Tr—11$8630.0%—New
AIA Group Ltd—19$8460.0%—New
Wendys Co—113$7850.0%—New
Ciena CorpCIEN2$7760.0%—New
Symrise Ag Unsponsord Adr—36$7640.0%—New
Smurfit Westrock PlcSW19$7570.0%$22Held
Zurich Insurance Group Ag Sponsored Adr—21$7460.0%—New
Papa Johns Intl Inc—23$7450.0%−$140Held
Kbr, Inc.KBR20$7410.0%—New
Lendingclub CorpHAPN50$7160.0%—New
Daikin Ind—59$7100.0%—New
Ferrari N.V.RACE2$6770.0%−$62Held
Lumen Technologies, Inc.LUMN97$6740.0%−$80Held
Atlas Copco Ab Sp Adr A New—38$6690.0%—New
Gen Digital Inc—35$6590.0%−$293Held
Pernod Ric—44$6560.0%—New
Kinross Gold Corp—21$6410.0%—New
Avantor, Inc.AVTR81$6350.0%−$293Held
Albany Intl Corp—12$6270.0%$19Held
Conmed CorpCNMD17$6010.0%−$89Held
Amer Sports, Inc.AS18$5930.0%−$79Held
United Therapeutics Corp Del—1$5930.0%—New
Shin-Etsu Chemical Co., Ltd.SHECF29$5900.0%—New
Prudential Finl Inc—6$5860.0%−$91Held
Rocket Cos Inc—40$5700.0%—New
Acuity Inc—2$5600.0%−$160Held
Banco Bradesco S A—153$5580.0%—New
Innovative Indl Pptys Inc—11$5520.0%—New
Mtu Aero Engines Ag—3$5440.0%—New
Koninklijke Kpn Nv Sponsored Adr—98$5400.0%—New
Cie Generale des Etablissements Michelin SA ADR—31$5280.0%—New
Exelixis, Inc.EXEL12$5150.0%—New
AdvanSix Inc.ASIX21$5120.0%$149Held
PENN Entertainment, Inc.PENN34$5110.0%$9Held
Verisign Inc—2$4970.0%—New
Legrand S A Unsponsored Adr—16$4950.0%—New
Franco Nev Corp—2$4940.0%—New
Rolls-Royce Holdings P F—32$4930.0%—New
Mohawk Inds Inc—5$4920.0%−$55Held
Hubspot IncHUBS2$4880.0%−$315Held
Rb Global Inc.RBA5$4790.0%—New
Gartner IncIT3$4750.0%−$282Held
Spdr Dow Jones Indl Average—1$4640.0%−$17Cut−$38K
Ryanair Holdings Plc—8$4620.0%—New
Insperity, Inc.NSP16$4330.0%−$187Held
Akzo Nobel Nv Sponsrd Ads New—22$4210.0%—New
Anheuser Busch Inbev Sa/Nv—6$4160.0%—New
Embraer S.A.EMBJ7$4150.0%—New
Genpact Limited—11$4100.0%−$105Held
E On Se Sponsored Adr—18$3990.0%—New
Clean Energy Fuels Corp.CLNE150$3720.0%—New
Axa Sa—8$3680.0%—New
Prosus Nv -Spon Adr—38$3520.0%—New
Seven & I Hldgs Co Ltd—26$3510.0%—New
James Hardie Inds Plc—18$3410.0%—New
Plug Power IncPLUG150$3390.0%—New
Clp Hldgs Ltd Fsponsored Adr 1 Adr Reps 1 Ord Shs—36$3390.0%—New
Sea LtdSE4$3310.0%−$179Held
Safran—4$3280.0%—New
Thales Unsponsord Adr—5$2940.0%—New
Mercedes-Benz Group AG—19$2900.0%—New
Disco Corporation/ADRDISPF7$2850.0%—New
Equinor Asa—6$2530.0%—New
Immunovant, Inc.IMVT10$2480.0%—New
Magnum Ice Cream Co Nv—16$2340.0%—New
Ea Series Trust—2$2330.0%—New
Fidelity National Financial, Inc.FNF5$2320.0%−$41Held
Sika Ag Unsponsord Adr—14$2300.0%—New
Exchange Listed Fds Tr—7$2240.0%−$2Held
Charter Communications Inc N—1$2160.0%$7Held
Nintendo Ltd Adr—15$2140.0%—New
On Hldg Ag—6$2040.0%—New
Flutter Entmt Plc—2$2040.0%−$226Held
Audiocodes LtdAUDC24$2020.0%—New
Cie Financiere Rich-Unsp Adr—11$1940.0%—New
Cronos Group Inc.CRON69$1730.0%—New
Anz Group Hldgs Ltd Funsponsored Adr 1 Adr Reps 1 Ord Shs—6$1520.0%—New
Bae Systems Plc—1$1170.0%—New
C S L Limited F—4$980.0%—New
Infineon Technologies—2$900.0%—New
Softbank Group Corp Unsp Adr E—7$850.0%—New
Nexxen Intl Ltd—13$850.0%—New
Publicis Groupe-Adr—3$620.0%—New
Novavax IncNVAX6$490.0%—New
Sunrun Inc.RUN2$270.0%—New
Vaxart, Inc.VXRT40$240.0%—New
Fuelcell Energy Inc—3$200.0%—New
Blink Charging Co.BLNK30$170.0%—New
Softbank Corp—1$130.0%—New
VivoSim Labs, INC.VIVS1$10.0%−$1Held
Argex Titanium Inc—600$00.0%$0Held
Navient Corporation—0$00.0%—New
Cornerstone Strategic Invest—0$00.0%—New
Slm Corp—0$00.0%—New
Ark Etf Tr—0$00.0%—New
Contra Cyberark Soft Fnpv—3$00.0%—New
Vanguard Intl Equity Index F—0$00.0%—New
Myrexis Inc—4$00.0%—New
RedHawk Holdings Corp—10K$00.0%$0Held
Virtual Ed Link Inc—8K$00.0%$0Held
Contra Abiomed Inc Com—5$00.0%$0Held
Walgreens Boots Alliance—660$00.0%—New
Esc John Hancock Exchange Traded Fd Tr Multifactor Utils Etf—84$00.0%$0Held
Argo Corporation Pfd—100$00.0%—New
Cornerstone Total Return Fd—0$00.0%—New
Bitcoin Services Inc Xxxregistration Revoked By The Sec Eff: 07/29/21—600$00.0%$0Held
Infinity Stone Ventures Corp—5K$00.0%$0Held
Revlon Grp Hldgs Llc Wt Exp—154$00.0%$0Held
Aleafia Health Inc F—418$00.0%—New
Confluent Inc—0$00.0%—New
Contra Bluebird Bio In F—9$00.0%—New
Highlands Reit Inc—2.66K$00.0%−$826Held
Fisker Inc—192$00.0%$0Cut$0
Ishares Tr—0$00.0%—New
Escrow Altegrity Inc Com—56$00.0%$0Cut$0
IberAmerican Lithium Corp COM—837$00.0%—New

Positions as of Q1 2026. 13F filings arrive up to 45 days after quarter-end and omit shorts. Values are quarter-end marks, as filed. Estimated mark is the price effect on shares still held — not realized P&L or investment advice.