HoldingsChannel.com
Frontier Investment Mgmt Co. Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
Pioneer Natural Res Co 600,258 -34 $92,356
     PXD600,258-34$92,356
Apple Computer Inc      $71,224
     AAPL362,660+13,882$71,778
     Put2,800UNCH$554
First Trust North American Ene (EMLP) 2,569,356 +98,843 $64,619
     EMLP2,569,356+98,843$64,619
Visa Inc 305,613 -8,839 $53,039
     V305,613-8,839$53,039
Guggenheim S&P 500 R Equal Weig 330,525 +1,846 $52,540
     COM330,525+1,846$52,540
Rydex S&P Equal Weight ETF 445,161 +7,049 $47,988
     COM445,161+7,049$47,988
Berkshire Hathaway Cl B      $47,804
     BRK.B222,760-8,300$47,486
     BRK.A100+100$318
Wells Fargo & Co      $46,577
     WFC592,005+22,528$28,014
     WFC.PRQ706,900+50,036$18,563
Exxon Mobil Corp 606,322 +29,512 $46,462
     XOM606,322+29,512$46,462
Gaming & Leisure Properties 1,029,564 +40,679 $40,132
     GLPI1,029,564+40,679$40,132
Johnson & Johnson 275,680 +618 $38,397
     JNJ275,680+618$38,397
TransCanada Corp 762,527 -48,475 $37,760
     TRP762,527-48,475$37,760
Microsoft Corp. 272,107 -17,570 $36,451
     MSFT272,107-17,570$36,451
General Motors      $35,563
     COM915,887+34,340$35,289
     Call7,100-19,900$274
Markel Corp Hldg Co 32,552 +836 $35,469
     MKL32,552+836$35,469
Schwab U.S. Mid Cap ETF (SCHM) 595,935 +17,436 $34,022
     SCHM595,935+17,436$34,022
Verizon Communications 504,804 +16,464 $28,839
     VZ504,804+16,464$28,839
Wal Mart Stores Inc 239,206 -2,278 $26,430
     WMT239,206-2,278$26,430
Medtronic PLC 260,218 +5,215 $25,343
     MDT260,218+5,215$25,343
Comcast Corp A 591,505 -8,117 $25,009
     CMCSA591,505-8,117$25,009
Golub Capital BDC Inc 1,346,988 +102,439 $23,976
     GBDC1,346,988+102,439$23,976
Schwab Emerging Markets Equity 864,807 +13,101 $22,693
     SCHE864,807+13,101$22,693
Mercury General Corporation 346,679 +18,059 $21,667
     MCY346,679+18,059$21,667
Ares Capital Corp 1,204,861 +73,304 $21,615
     ARCC1,204,861+73,304$21,615
Templeton Global Incm Fd      $20,528
     GIM3,210,010+228,356$20,416
     COM10,948-102$112
Adobe Systems Inc 64,814 +40,400 $19,097
     ADBE64,814-2,600$19,097
A T & T Corp 537,783 +47,480 $18,021
     T537,783+47,480$18,021
Total SA Adr 314,866 +22,804 $17,566
     TOT314,866+22,804$17,566
Energy Transfer Equity LP 1,209,681 +130,443 $17,032
     ET1,209,681+130,443$17,032
GOLDMAN SACHS GROUP INC PFD SE      $16,778
     GS.PRJ635,325+44,413$16,487
     GS1,424-225$291
Seagate Technology 347,415 +26,375 $16,370
     COM347,415+26,375$16,370
Chimera Investment Corp Pfd Se      $15,851
     CIM.PRA611,517+44,683$15,851
General Mills 300,844 +16,540 $15,800
     GIS300,844+16,540$15,800
Schwab International Equity ET 471,910 +19,923 $15,144
     SCHF471,910+19,923$15,144
Cisco Systems 261,460 +2,896 $14,310
     CSCO261,460+2,896$14,310
Firstenergy Corp 333,433 +15,767 $14,274
     FE333,433+15,767$14,274
Independent Bank Group Inc 247,235 UNCH $13,588
     IBTX247,235UNCH$13,588
PIMCO Investment Grade Corpora 121,274 +5,769 $13,031
     CORP121,274+5,769$13,031
International Paper 282,903 +19,521 $12,255
     IP282,903+19,521$12,255
Occidental Petroleum Corp 231,867 +37,927 $11,658
     OXY231,867+37,927$11,658
Kraft Heinz Co 369,226 +62,076 $11,461
     KHC369,226+62,076$11,461
Allstate Corp      $11,220
     ALL.PRB437,584+43,807$11,220
Vodafone Group ADR 617,285 +85,440 $10,080
     COM617,285+85,440$10,080
Schwab U.S. Small Cap ETF (SCHA) 140,983 +5,162 $10,077
     SCHA140,983+5,162$10,077
ALPS Sector Dividend Dogs ETF (SDOG) 217,041 +24,467 $9,441
     SDOG217,041+24,467$9,441
Parsley Energy Inc 460,865 UNCH $8,761
     COM460,865UNCH$8,761
PIMCO Total Return ETF (BOND) 80,526 -3,365 $8,655
     BOND80,526-3,365$8,655
CenturyLink Inc 563,724 -28,598 $6,629
     CTL563,724-28,598$6,629
NVIDIA Corp 32,059 +755 $5,265
     NVDA32,059+755$5,265
SPDR R Portfolio Large Cap ETF (SPLG) 151,472 +5,489 $5,232
     SPLG151,472+5,489$5,232

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 06/30/2019: $1,491,626
At 03/31/2019: $1,608,821

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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