HoldingsChannel.com
Frontier Investment Mgmt Co. Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
Pioneer Natural Res Co 600,292 +41,616 $91,412
     PXD600,292+41,616$91,412
iShares Lehman 20 plus Tr Bd (TLT)      $81,295
     Call560,800+560,800$70,908
     TLT82,151+23,568$10,387
Apple Computer Inc      $65,718
     AAPL348,778+30,425$66,250
     Put2,800+2,800$532
First Trust North American Ene (EMLP) 2,470,513 +311,621 $61,096
     EMLP2,470,513+311,621$61,096
Guggenheim S&P 500 R Equal Weig 328,679 +10,931 $50,888
     COM328,679+10,931$50,888
Visa Inc 314,452 +2,131 $49,114
     V314,452+2,131$49,114
Exxon Mobil Corp 576,810 +94,508 $46,606
     XOM576,810+94,508$46,606
Berkshire Hathaway Cl B      $46,418
     BRK.B231,060+8,739$46,418
Rydex S&P Equal Weight ETF 438,112 -3,657 $45,756
     COM438,112-3,657$45,756
Wells Fargo & Co      $44,628
     WFC569,477+42,143$27,517
     WFC.PRQ656,864+86,092$17,111
Johnson & Johnson 275,062 +6,768 $38,451
     JNJ275,062+6,768$38,451
Gaming & Leisure Properties 988,885 +97,884 $38,141
     GLPI988,885+97,884$38,141
TransCanada Corp 811,002 +85,910 $36,446
     TRP811,002+85,910$36,446
Microsoft Corp. 289,677 +117,726 $34,164
     MSFT289,677-23,874$34,164
General Motors      $33,707
     COM881,547+881,547$32,705
     Call27,000+27,000$1,002
Schwab U.S. Mid Cap ETF (SCHM) 578,499 +578,499 $32,043
     SCHM578,499+578,499$32,043
Markel Corp Hldg Co 31,716 +2,206 $31,597
     MKL31,716+2,206$31,597
Verizon Communications 488,340 -86,734 $28,876
     VZ488,340-86,734$28,876
Comcast Corp A 599,622 +22,107 $23,973
     CMCSA599,622+22,107$23,973
Wal Mart Stores Inc 241,484 -13,180 $23,552
     WMT241,484-13,180$23,552
Medtronic PLC 255,003 +161,138 $23,226
     MDT255,003+18,238$23,226
Golub Capital BDC Inc 1,244,549 +164,853 $22,253
     GBDC1,244,549+164,853$22,253
Schwab Emerging Markets Equity 851,706 +323,309 $22,153
     SCHE851,706+323,309$22,153
Ares Capital Corp 1,131,557 +147,170 $19,395
     ARCC1,131,557+147,170$19,395
Templeton Global Incm Fd      $18,896
     GIM2,981,654+393,147$18,784
     COM11,050-242$112
Energy Transfer Equity LP 1,079,238 +1,079,238 $16,588
     ET1,079,238+1,079,238$16,588
Mercury General Corporation 328,620 +40,408 $16,454
     MCY328,620+40,408$16,454
Total SA Adr 292,062 +41,887 $16,253
     TOT292,062+41,887$16,253
GOLDMAN SACHS GROUP INC PFD SE      $15,462
     GS.PRJ590,912+74,904$15,145
     GS1,649+325$317
A T & T Corp 490,303 +131,047 $15,376
     T490,303+131,047$15,376
Seagate Technology 321,040 +173,969 $15,375
     COM321,040+141,969$15,375
General Mills 284,304 +49,078 $14,713
     GIS284,304+49,078$14,713
Chimera Investment Corp Pfd Se      $14,500
     CIM.PRA566,834+78,438$14,500
Schwab International Equity ET 451,987 +78,408 $14,152
     SCHF451,987+78,408$14,152
Cisco Systems 258,564 +2,233 $13,960
     CSCO258,564+2,233$13,960
Firstenergy Corp 317,666 +32,863 $13,218
     FE317,666+32,863$13,218
Occidental Petroleum Corp 193,940 +193,940 $12,839
     OXY193,940+193,940$12,839
Independent Bank Group Inc 247,235 UNCH $12,681
     IBTX247,235UNCH$12,681
International Paper 263,382 +43,635 $12,187
     IP263,382+43,635$12,187
PIMCO Investment Grade Corpora 115,505 +12,399 $11,983
     CORP115,505+12,399$11,983
Allstate Corp      $10,049
     ALL.PRB393,777+144,164$10,049
Kraft Heinz Co 307,150 +116,151 $10,028
     KHC307,150+116,151$10,028
Vodafone Group ADR 531,845 +168,521 $9,669
     COM531,845+168,521$9,669
Schwab U.S. Small Cap ETF (SCHA) 135,821 -3,921 $9,498
     SCHA135,821-3,921$9,498
Parsley Energy Inc 460,865 -100 $8,895
     COM460,865-100$8,895
PIMCO Total Return ETF (BOND) 83,891 -3,070 $8,854
     BOND83,891-3,070$8,854
AXIS Capital Holdings Ltd Pfd      $8,364
     AXS.PRD344,608-8,355$8,364
ALPS Sector Dividend Dogs ETF (SDOG) 192,574 +26,283 $8,261
     SDOG192,574+26,283$8,261
CenturyLink Inc 592,322 +96,817 $7,102
     CTL592,322+96,817$7,102
Adobe Systems Inc      $6,506
     ADBE67,414+2,000$17,965
     Put43,000-21,400$11,459

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 03/31/2019: $1,608,821
At 12/31/2018: $1,350,867

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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