HoldingsChannel.com
Frontier Investment Mgmt Co. Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
Apple Computer Inc      $81,901
     AAPL368,480+5,820$82,528
     Put2,800UNCH$627
Pioneer Natural Res Co 600,314 +56 $75,501
     PXD600,314+56$75,501
First Trust North American Ene (EMLP) 2,665,266 +95,910 $68,204
     EMLP2,665,266+95,910$68,204
Berkshire Hathaway Cl B      $59,827
     BRK.B286,101+63,341$59,515
     BRK.A100UNCH$312
Wells Fargo & Co      $54,170
     WFC677,397+85,392$34,168
     WFC.PRQ757,059+50,159$20,002
Guggenheim S&P 500 R Equal Weig 346,784 +16,259 $53,755
     COM346,784+16,259$53,755
Visa Inc 309,911 +4,298 $53,308
     V309,911+4,298$53,308
Rydex S&P Equal Weight ETF 464,152 +18,991 $50,166
     COM464,152+18,991$50,166
Exxon Mobil Corp 635,679 +29,357 $44,885
     XOM635,679+29,357$44,885
Gaming & Leisure Properties 1,060,685 +31,121 $40,561
     GLPI1,060,685+31,121$40,561
TransCanada Corp 778,169 +778,169 $40,301
     COM778,169+778,169$40,301
Markel Corp Hldg Co 33,052 +500 $39,064
     MKL33,052+500$39,064
Johnson & Johnson 289,360 +13,680 $37,437
     JNJ289,360+13,680$37,437
General Motors 957,276 +34,289 $35,879
     COM957,276+41,389$35,879
Microsoft Corp. 252,060 -20,047 $35,044
     MSFT252,060-20,047$35,044
Schwab U.S. Mid Cap ETF (SCHM) 614,388 +18,453 $34,737
     SCHM614,388+18,453$34,737
Verizon Communications 521,125 +16,321 $31,455
     VZ521,125+16,321$31,455
Medtronic PLC 263,037 +2,819 $28,571
     MDT263,037+2,819$28,571
Wal Mart Stores Inc 230,026 -9,180 $27,300
     WMT230,026-9,180$27,300
Golub Capital BDC Inc 1,447,409 +100,421 $27,269
     GBDC1,447,409+100,421$27,269
Comcast Corp A 594,980 +3,475 $26,822
     CMCSA594,980+3,475$26,822
Ares Capital Corp 1,268,197 +63,336 $23,633
     ARCC1,268,197+63,336$23,633
Schwab Emerging Markets Equity 901,169 +36,362 $22,646
     SCHE901,169+36,362$22,646
A T & T Corp 579,925 +42,142 $21,944
     T579,925+42,142$21,944
Templeton Global Incm Fd      $21,584
     GIM3,497,801+287,791$21,476
     COM10,846-102$108
Mercury General Corporation 365,194 +18,515 $20,407
     MCY365,194+18,515$20,407
Seagate Technology 369,993 +22,578 $19,902
     COM369,993+22,578$19,902
GOLDMAN SACHS GROUP INC PFD SE      $18,376
     GS.PRJ675,900+40,575$18,094
     GS1,362-62$282
Total SA Adr 345,402 +30,536 $17,961
     TOT345,402+30,536$17,961
Adobe Systems Inc 64,814 UNCH $17,905
     ADBE64,814UNCH$17,905
Chimera Investment Corp Pfd Se      $17,392
     CIM.PRA655,574+44,057$17,392
General Mills 315,432 +14,588 $17,387
     GIS315,432+14,588$17,387
Energy Transfer Equity LP 1,298,660 +88,979 $16,986
     ET1,298,660+88,979$16,986
Firstenergy Corp 345,034 +11,601 $16,641
     FE345,034+11,601$16,641
Schwab International Equity ET 472,897 +987 $15,066
     SCHF472,897+987$15,066
Vodafone Group ADR 685,089 +67,804 $13,640
     COM685,089+67,804$13,640
PIMCO Investment Grade Corpora 120,634 -640 $13,236
     CORP120,634-640$13,236
Allstate Corp      $13,101
     ALL.PRB493,462+55,878$13,101
Cisco Systems 263,663 +2,203 $13,028
     CSCO263,663+2,203$13,028
Independent Bank Group Inc 247,235 UNCH $13,007
     IBTX247,235UNCH$13,007
International Paper 305,306 +22,403 $12,768
     IP305,306+22,403$12,768
ALPS Sector Dividend Dogs ETF (SDOG) 290,477 +73,436 $12,737
     SDOG290,477+73,436$12,737
Occidental Petroleum Corp 282,805 +50,938 $12,576
     OXY282,805+50,938$12,576
Kraft Heinz Co 397,155 +27,929 $11,095
     KHC397,155+27,929$11,095
Schwab U.S. Small Cap ETF (SCHA) 144,006 +3,023 $10,042
     SCHA144,006+3,023$10,042
PIMCO Total Return ETF (BOND) 79,802 -724 $8,690
     BOND79,802-724$8,690
Parsley Energy Inc 461,865 +1,000 $7,759
     COM461,865+1,000$7,759
CenturyLink Inc 547,025 -16,699 $6,827
     CTL547,025-16,699$6,827
Kforce Inc 142,859 +2,762 $5,405
     KFRC142,859+2,762$5,405
NVIDIA Corp 30,804 -1,255 $5,362
     NVDA30,804-1,255$5,362

See Full List: All Stocks Held By Frontier Investment Mgmt Co.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Frontier Investment Mgmt Co.

Size ($ in 1000's)
At 09/30/2019: $1,575,324
At 06/30/2019: $1,491,626

Frontier Investment Mgmt Co. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Frontier Investment Mgmt Co. 13F filings. Link to 13F filings: SEC filings

Frontier Investment Mgmt Co. Top Holdings 13F Filings | www.HoldingsChannel.com

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