HoldingsChannel.com
Usca Ria LLC Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
ISHARES TR (AGG) 187,134 +35,265 $20,837
     AGG187,134+35,265$20,837
MICROSOFT CORP 137,633 -2,428 $18,437
     MSFT137,633-2,428$18,437
ENTERPRISE PRODS PARTNERS L 545,140 +6,188 $15,738
     EPD545,140+6,188$15,738
AT&T INC 439,233 -31,963 $14,719
     T439,233-31,963$14,719
PFIZER INC 327,005 -31,938 $14,166
     PFE327,005-31,938$14,166
BERKSHIRE HATHAWAY INC DEL      $12,932
     BRK.B44,239+737$9,430
     BRK.A11UNCH$3,502
ABBVIE INC 168,009 +50,317 $12,218
     ABBV168,009+50,317$12,218
QUALCOMM INC 155,249 -21,606 $11,810
     QCOM155,249-21,606$11,810
APPLE INC 59,235 -4,276 $11,724
     AAPL59,235-4,276$11,724
MAIN STREET CAPITAL CORP 280,111 +1,218 $11,518
     MAIN280,111+1,218$11,518
EXXON MOBIL CORP 140,064 +22,123 $10,733
     XOM140,064+22,123$10,733
ISHARES TR (EFA) 160,246 +13,520 $10,533
     EFA160,246+13,520$10,533
GILEAD SCIENCES INC 155,892 +6,030 $10,532
     GILD155,892+6,030$10,532
GENERAL MLS INC 195,009 -4,638 $10,242
     GIS195,009-4,638$10,242
CISCO SYS INC 186,204 -2,632 $10,191
     CSCO186,204-2,632$10,191
ALPHABET INC 9,231 +843 $9,978
     GOOG9,231+843$9,978
WALMART INC 89,984 +3,776 $9,942
     WMT89,984+3,776$9,942
JOHNSON & JOHNSON 69,227 +8,012 $9,642
     JNJ69,227+8,012$9,642
KINDER MORGAN INC DEL 457,355 -19,745 $9,550
     KMI457,355-19,745$9,550
SPDR S&P 500 ETF TR (SPY) 32,192 -182 $9,432
     SPY32,192-182$9,432
GENERAL MTRS CO 240,213 +14,286 $9,255
     GM240,213+14,286$9,255
JPMORGAN CHASE & CO 82,720 +9,889 $9,248
     JPM82,720+9,889$9,248
UNITED PARCEL SERVICE INC 89,539 +10,422 $9,247
     UPS89,539+10,422$9,247
AMAZON COM INC 4,881 +139 $9,243
     AMZN4,881+139$9,243
METLIFE INC 185,641 +18,487 $9,221
     MET185,641+18,487$9,221
PRUDENTIAL FINL INC 88,732 +10,883 $8,962
     PRU88,732+10,883$8,962
INTERNATIONAL BUSINESS MACHS 64,677 +9,014 $8,919
     IBM64,677+9,014$8,919
INTEL CORP 184,775 +35,901 $8,845
     INTC184,775+35,901$8,845
WELLS FARGO CO NEW 184,369 +12,503 $8,724
     WFC184,369+12,503$8,724
CHEVRON CORP NEW 63,951 +8,291 $7,958
     CVX63,951+8,291$7,958
DOMINION ENERGY INC 102,597 +6,616 $7,933
     D102,597+6,616$7,933
TARGET CORP 91,028 +7,313 $7,884
     TGT91,028+7,313$7,884
NOVARTIS A G 84,076 +17,673 $7,677
     NVS84,076+17,673$7,677
VISA INC 43,977 +766 $7,632
     V43,977+766$7,632
PHILIP MORRIS INTL INC 94,734 +4,341 $7,439
     PM94,734+4,341$7,439
EATON CORP PLC 84,703 +1,074 $7,054
     ETN84,703+1,074$7,054
ARCHER DANIELS MIDLAND CO 172,647 +4,159 $7,044
     ADM172,647+4,159$7,044
EVERSOURCE ENERGY 86,579 +39,326 $6,559
     ES86,579+39,326$6,559
SUNTRUST BKS INC 104,214 +43,822 $6,550
     STI104,214+43,822$6,550
PHILLIPS 66 68,871 +4,009 $6,442
     PSX68,871+4,009$6,442
INVESCO QQQ TR 34,299 +2,104 $6,405
     QQQ34,299+2,104$6,405
HOME DEPOT INC 30,616 +7,798 $6,367
     HD30,616+7,798$6,367
UNITED TECHNOLOGIES CORP 48,641 +4,858 $6,333
     UTX48,641+4,858$6,333
ALTRIA GROUP INC 129,840 +374 $6,148
     MO129,840+374$6,148
MASTERCARD INC 22,859 +709 $6,047
     MA22,859+709$6,047
DISNEY WALT CO 43,145 +2,783 $6,025
     DIS43,145+2,783$6,025
ALPHABET INC 5,558 +507 $6,018
     GOOGL5,558+507$6,018
MARATHON PETE CORP 101,634 +90,566 $5,679
     MPC101,634+90,566$5,679
BROADCOM INC 19,593 -227 $5,640
     AVGO19,593-227$5,640
ISHARES TR (IJK) 24,890 +1,891 $5,632
     IJK24,890+1,891$5,632

See Full List: All Stocks Held By Usca Ria LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Usca Ria LLC

Size ($ in 1000's)
At 06/30/2019: $985,129
At 03/31/2019: $923,899

Usca Ria LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Usca Ria LLC 13F filings. Link to 13F filings: SEC filings

Usca Ria LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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