HoldingsChannel.com
All Stocks Held By Allred Capital Management LLC
As of  12/31/2019
   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
MICROSOFT CORPORATION 68,185 -965 $10,753
     MSFT68,185-965$10,753
ISHARES TR MSCI MIN VOL ETF (USMV) 122,288 -13,776 $8,022
     USMV122,288-13,776$8,022
STRYKER CORPORATION 33,686 -790 $7,072
     SYK33,686-790$7,072
VANGUARD DIVIDEND APPRECIATION ETF (VIG) 55,633 -4,752 $6,935
     VIG55,633-4,752$6,935
JOHNSON & JOHNSON 34,416 -523 $5,020
     JNJ34,416-523$5,020
3M COMPANY 19,307 -322 $3,406
     MMM19,307-322$3,406
WESTWOOD HLDGS GROUP INCORPORATED 105,216 UNCH $3,116
     WHG105,216UNCH$3,116
ISHARES TR S&P 500 GRWT ETF (IVW) 16,030 -2,994 $3,104
     IVW16,030-2,994$3,104
EXXON MOBIL CORPORATION 43,300 -2,434 $3,021
     XOM43,300-2,434$3,021
APPLE INCORPORATED 9,762 -3,135 $2,867
     AAPL9,762-3,135$2,867
TYLER TECHNOLOGIES INCORPORATED 9,375 -2,650 $2,813
     TYL9,375-2,650$2,813
UNITED TECHNOLOGIES CORPORATION 18,277 +2 $2,737
     UTX18,277+2$2,737
COCA COLA COMPANY 45,993 -2,381 $2,546
     KO45,993-2,381$2,546
BERKSHIRE HATHAWAY INCORPORATED DEL CLASS B NEW      $2,459
     BRK.B10,857-4,235$2,459
INTEL CORPORATION 39,656 -1,800 $2,373
     INTC39,656-1,800$2,373
DISNEY WALT COMPANY COM DISNEY 15,627 -761 $2,260
     DIS15,627-761$2,260
MERCK & COMPANY INCORPORATED 23,231 -179 $2,113
     MRK23,231-179$2,113
CHEVRON CORPORATION NEW 16,483 -977 $1,986
     CVX16,483-977$1,986
PROCTER & GAMBLE COMPANY 15,876 -547 $1,983
     PG15,876-547$1,983
PEPSICO INCORPORATED 14,502 -872 $1,982
     PEP14,502-872$1,982
VERIZON COMMUNICATIONS INCORPORATED 31,769 -3,200 $1,951
     VZ31,769-3,200$1,951
UNION PACIFIC CORPORATION 10,412 -212 $1,882
     UNP10,412-212$1,882
VANGUARD INDEX FUNDS S&P 500 ETF SHS NEW (VOO) 6,168 -875 $1,824
     VOO6,168-875$1,824
WALMART INCORPORATED 14,350 -1,205 $1,705
     WMT14,350-1,205$1,705
AT&T INCORPORATED 41,439 -5,165 $1,619
     T41,439-5,165$1,619
EMERSON ELEC COMPANY 20,726 -499 $1,581
     EMR20,726-499$1,581
COSTCO WHOLESALE CORPORATION NEW 4,987 -37 $1,466
     COST4,987-37$1,466
HOME DEPOT INCORPORATED 6,706 -401 $1,464
     HD6,706-401$1,464
BOEING COMPANY 4,460 -4 $1,453
     BA4,460-4$1,453
DUKE ENERGY CORPORATION NEW COM NEW 15,338 -1,718 $1,399
     DUK15,338-1,718$1,399
KRATOS DEFENSE & SEC SOLUTIONS COM NEW 74,650 -1,750 $1,344
     KTOS74,650-1,750$1,344
AUTOMATIC DATA PROCESSING INCORPORATED 7,871 -33 $1,342
     ADP7,871-33$1,342
JPMORGAN CHASE & COMPANY 9,404 -1,008 $1,311
     JPM9,404-1,008$1,311
INVESCO S&P 500 LOW VOLATILITY ETF (SPLV) 22,100 -658 $1,289
     SPLV22,100-658$1,289
HONEYWELL INTERNATIONAL INCORPORATED 7,215 +52 $1,277
     HON7,215+52$1,277
CME GROUP INCORPORATED 6,208 -189 $1,246
     CME6,208-189$1,246
AMAZON COM INCORPORATED 662 -166 $1,223
     AMZN662-166$1,223
SOUTHERN COMPANY 19,171 -1,509 $1,221
     SO19,171-1,509$1,221
AMGEN INCORPORATED 4,606 +26 $1,110
     AMGN4,606+26$1,110
COLGATE PALMOLIVE COMPANY 15,930 -6 $1,097
     CL15,930-6$1,097
ISHARES TR 1 3 YR TREAS BD (SHY) 12,421 -1 $1,051
     SHY12,421-1$1,051
SPDR PORTFOLIO AGGREGATE BOND ETF (SPAB) 34,379 -3,978 $1,010
     SPAB34,379-3,978$1,010
MARSH & MCLENNAN COMPANIES INCORPORATED 9,046 -23 $1,008
     MMC9,046-23$1,008
PFIZER INCORPORATED 25,410 -1,917 $996
     PFE25,410-1,917$996
ALLSTATE CORPORATION 8,613 -765 $968
     ALL8,613-765$968
ISHARES TR RUS 1000 GRW ETF (IWF) 5,329 -114 $937
     IWF5,329-114$937
SPDR HEALTH CARE SELECT SECTOR FUND (XLV) 9,092 -6,747 $926
     XLV9,092-6,747$926
LOWES COMPANIES INCORPORATED 7,470 +3 $895
     LOW7,470+3$895
ALPHABET INCORPORATED CAP STK CLASS A 662 -146 $887
     GOOGL662-146$887
ORACLE CORPORATION 16,608 -538 $880
     ORCL16,608-538$880
SPDR TECHNOLOGY SELECT SECTOR FUND (XLK) 9,455 -7,972 $867
     XLK9,455-7,972$867
ENTERPRISE PRODUCTS PARTNERS L P 29,401 -1,071 $828
     EPD29,401-1,071$828
ISHARES TR CORE S&P MCP ETF (IJH) 4,014 -222 $826
     IJH4,014-222$826
PHILIP MORRIS INTERNATIONAL INCORPORATED 9,617 -1,419 $818
     PM9,617-1,419$818
CISCO SYSTEMS INCORPORATED 17,039 -90 $817
     CSCO17,039-90$817
ABBVIE INCORPORATED 9,189 -1,759 $814
     ABBV9,189-1,759$814
VANGUARD VALUE ETF (VTV) 6,448 -322 $773
     VTV6,448-322$773
GENUINE PARTS COMPANY 7,050 UNCH $749
     GPC7,050UNCH$749
VANGUARD MID CAP GROWTH ETF (VOT) 4,712 -393 $748
     VOT4,712-393$748
BRISTOL MYERS SQUIBB COMPANY 11,438 +40 $734
     BMY11,438+40$734
FACEBOOK INCORPORATED CLASS A 3,566 -807 $732
     FB3,566-807$732
SCHLUMBERGER LIMITED 18,125 +80 $729
     SLB18,125+80$729
GENERAL DYNAMICS CORPORATION 4,103 -211 $724
     GD4,103-211$724
ATMOS ENERGY CORPORATION 6,350 UNCH $710
     ATO6,350UNCH$710
ISHARES TR RUS 1000 VAL ETF (IWD) 5,026 -224 $686
     IWD5,026-224$686
MCDONALDS CORPORATION 3,472 +186 $686
     MCD3,472+186$686
CONSOLIDATED EDISON INCORPORATED 7,478 +2 $677
     ED7,478+2$677
ALPHABET INCORPORATED CAP STK CLASS C 482 -125 $644
     GOOG482-125$644
RPM INTERNATIONAL INCORPORATED 8,202 -175 $630
     RPM8,202-175$630
SOUTHWEST AIRLS COMPANY 11,352 -168 $613
     LUV11,352-168$613
SPDR CONSUMER DISCRETIONARY SELECT SECTOR FUND (XLY) 4,857 -2,604 $609
     XLY4,857-2,604$609
CONSTELLATION BRANDS INCORPORATED CLASS A 3,145 +33 $597
     STZ3,145+33$597
HILLTOP HOLDINGS INCORPORATED 23,551 +9 $587
     HTH23,551+9$587
VANGUARD LARGE CAP ETF (VV) 3,953 +14 $584
     VV3,953+14$584
ABBOTT LABS 6,713 +20 $583
     ABT6,713+20$583
WELLS FARGO COMPANY NEW 10,539 -1,381 $567
     WFC10,539-1,381$567
LOCKHEED MARTIN CORPORATION 1,448 -38 $564
     LMT1,448-38$564
VANGUARD TOTAL BOND MARKET ETF (BND) 6,648 -1,023 $558
     BND6,648-1,023$558
ISHARES TR SHORT TREAS BD (SHV) 4,974 -4,684 $549
     SHV4,974-4,684$549
ISHARES TR USA MOMENTUM FCT (MTUM) 4,361 -593 $548
     MTUM4,361-593$548
INTERNATIONAL BUSINESS MACHINES 3,945 -26 $529
     IBM3,945-26$529
DOVER CORPORATION 4,548 +10 $524
     DOV4,548+10$524
COMCAST CORPORATION NEW CLASS A 11,254 -191 $506
     CMCSA11,254-191$506
GALLAGHER ARTHUR J & COMPANY 5,238 +11 $499
     AJG5,238+11$499
WD 40 COMPANY 2,463 -3 $478
     WDFC2,463-3$478
GENERAL ELECTRIC COMPANY 42,477 -1,410 $474
     GE42,477-1,410$474
WALGREENS BOOTS ALLIANCE INCORPORATED 7,872 -149 $464
     WBA7,872-149$464
VANGUARD GROWTH ETF (VUG) 2,502 -417 $456
     VUG2,502-417$456
UNITEDHEALTH GROUP INCORPORATED 1,537 -459 $452
     UNH1,537-459$452
DIAGEO P L C SPON ADR NEW 2,668 UNCH $449
     DEO2,668UNCH$449
SERVICENOW INCORPORATED 1,575 -60 $445
     NOW1,575-60$445
SALESFORCE COM INCORPORATED 2,723 -689 $443
     CRM2,723-689$443
EATON VANCE TAX ADVT DIV INCM 17,158 +17,158 $438
     EVT17,158+17,158$438
CHUBB LIMITED 2,808 UNCH $437
     CB2,808UNCH$437
VANGUARD MID CAP ETF (VO) 2,426 -309 $432
     VO2,426-309$432
DUPONT DE NEMOURS INCORPORATED 6,383 -290 $410
     DD6,383-290$410
AFLAC INCORPORATED 7,586 +26 $401
     AFL7,586+26$401
AMERICAN EXPRESS COMPANY 3,078 -38 $383
     AXP3,078-38$383
CLOROX COMPANY DEL 2,450 -31 $376
     CLX2,450-31$376
BP PLC SPONSORED ADR 9,811 -3,768 $370
     BP9,811-3,768$370
SIMMONS 1ST NATL CORPORATION CLASS A 1 PAR 13,770 UNCH $369
     SFNC13,770UNCH$369
UNITED PARCEL SERVICE INCORPORATED CLASS B 3,122 -3,905 $366
     UPS3,122-3,905$366
ASML HOLDING N V N Y REGISTRY SHS 1,225 UNCH $363
     ASML1,225UNCH$363
AMERISOURCEBERGEN CORPORATION 4,173 -395 $355
     ABC4,173-395$355
DOW INCORPORATED 6,467 -629 $354
     DOW6,467-629$354
PAYPAL HLDGS INCORPORATED 3,190 -302 $345
     PYPL3,190-302$345
SPDR CONSUMER STAPLES SELECT SECTOR FUND (XLP) 5,453 -8,338 $343
     XLP5,453-8,338$343
ISHARES TR SELECT DIVID ETF (DVY) 3,230 -279 $341
     DVY3,230-279$341
LINDSAY CORPORATION 3,507 +5 $337
     LNN3,507+5$337
CLEVELAND CLIFFS INCORPORATED 40,000 UNCH $336
     CLF40,000UNCH$336
CSX CORPORATION 4,533 +4 $328
     CSX4,533+4$328
PROS HOLDINGS INCORPORATED 5,475 UNCH $328
     PRO5,475UNCH$328
HUNTINGTON BANCSHARES INCORPORATED (HBAN) 21,603 +21,603 $326
     HBAN21,603+21,603$326
CHECK POINT SOFTWARE TECH LIMITED ORD 2,898 UNCH $322
     CHKP2,898UNCH$322
NASDAQ INCORPORATED 2,887 +8 $309
     NDAQ2,887+8$309
NOVARTIS A G SPONSORED ADR 3,240 -99 $307
     NVS3,240-99$307
BANK AMER CORPORATION 8,576 -1,067 $302
     BAC8,576-1,067$302
NVIDIA CORPORATION 1,252 -703 $295
     NVDA1,252-703$295
DOMINION ENERGY INCORPORATED 3,499 -1,608 $290
     D3,499-1,608$290
SYSCO CORPORATION 3,378 -60 $289
     SYY3,378-60$289
VANGUARD MID CAP VALUE ETF (VOE) 2,396 -117 $285
     VOE2,396-117$285
PPG INDUSTRIES INCORPORATED 2,066 -41 $276
     PPG2,066-41$276
NEWMONT GOLDCORP CORPORATION 6,245 +6,245 $271
     NEM6,245+6,245$271
LABORATORY CORPORATION AMER HLDGS COM NEW 1,596 UNCH $270
     LH1,596UNCH$270
MONDELEZ INTERNATIONAL INCORPORATED CLASS A 4,685 -171 $258
     MDLZ4,685-171$258
SPDR MSCI USA STRATEGICFACTORS ETF (QUS) 2,662 -301 $252
     QUS2,662-301$252
INTERCONTINENTAL EXCHANGE INCORPORATED (ICE) 2,690 -758 $249
     ICE2,690-758$249
MAGELLAN MIDSTREAM PRTNRS LP COM UNIT RP LP 3,954 -477 $249
     MMP3,954-477$249
FIRST TRUST MULTI ASSET DIVERSIFIED INCOME INDEX FUND (MDIV) 12,981 -2,902 $244
     MDIV12,981-2,902$244
VANGUARD FTSE ALL WORLD EX US ETF (VEU) 4,534 -389 $244
     VEU4,534-389$244
NIKE INCORPORATED CLASS B 2,390 +3 $242
     NKE2,390+3$242
PRUDENTIAL FINL INCORPORATED 2,556 UNCH $240
     PRU2,556UNCH$240
SPDR FINANCIAL SELECT SECTOR FUND (XLF) 7,814 -8,172 $240
     XLF7,814-8,172$240
GOLDMAN SACHS ACTIVEBETA INTERNATIONAL EQUITY ETF (GSIE) 7,903 -782 $239
     GSIE7,903-782$239
ALTRIA GROUP INCORPORATED 4,738 -5,727 $236
     MO4,738-5,727$236
FIRST TRUST LOW DURATION OPPORTUNITIES ETF (LMBS) 4,543 -1,231 $235
     LMBS4,543-1,231$235
BLACKROCK INCORPORATED 466 -29 $234
     BLK466-29$234
EATON VANCE TX MINING BY WRT OPP 15,500 +15,500 $232
     ETV15,500+15,500$232
NETFLIX INCORPORATED 703 -1,012 $227
     NFLX703-1,012$227
SPDR S&P MIDCAP 400 ETF TRUST (MDY) 601 -35 $226
     MDY601-35$226
WELLTOWER INCORPORATED REIT 2,719 -1,503 $222
     WELL2,719-1,503$222
SPDR S&P DIVIDEND ETF (SDY) 2,054 -872 $221
     SDY2,054-872$221
BROADCOM INCORPORATED 692 -339 $219
     AVGO692-339$219
RAYTHEON COMPANY COM NEW 975 +975 $214
     RTN975+975$214
SPDR INDUSTRIAL SELECT SECTOR FUND (XLI) 2,613 -5,054 $213
     XLI2,613-5,054$213
PRICE T ROWE GROUP INCORPORATED 1,688 +1,688 $206
     TROW1,688+1,688$206
PROGRESSIVE CORPORATION OHIO 2,802 -289 $203
     PGR2,802-289$203
ISHARES TR CORE S&P500 ETF (IVV) 621 +621 $201
     IVV621+621$201
TESLA INCORPORATED 470 +470 $197
     TSLA470+470$197
TELUS CORPORATION 4,976 +4,976 $192
     TU4,976+4,976$192
UNILEVER PLC SPON ADR NEW 3,357 -268 $192
     UL3,357-268$192
ENBRIDGE INCORPORATED got 4,808 -2,074 $191
     ENB4,808-2,074$191
ZIMMER BIOMET HLDGS INCORPORATED 1,274 +1,274 $191
     ZBH1,274+1,274$191
CORTEVA INCORPORATED 6,423 +6,423 $190
     CTVA6,423+6,423$190
GLAXOSMITHKLINE PLC SPONSORED ADR 3,975 -2,597 $187
     GSK3,975-2,597$187
VANECK VECTORS AGRIBUSINESS ETF (MOO) 2,692 +2,692 $185
     MOO2,692+2,692$185
AMERICAN ELEC PWR COMPANY INCORPORATED 1,931 +1,931 $183
     AEP1,931+1,931$183
DISCOVER FINL SVCS 2,154 +2,154 $183
     DFS2,154+2,154$183
VISA INCORPORATED COM CLASS A 951 -1,345 $179
     V951-1,345$179
ISHARES TR RUSSELL 2000 ETF (IWM) 1,062 +1,062 $176
     IWM1,062+1,062$176
CALAMOS DYNAMIC CONV & INCOME 8,275 +8,275 $175
     CCD8,275+8,275$175
CF INDUSTRIES HLDGS INCORPORATED 3,644 +3,644 $174
     CF3,644+3,644$174
AUTODESK INCORPORATED 945 +945 $173
     ADSK945+945$173
FIRST GTY BANCSHARES INCORPORATED (FGBI) 7,942 +7,942 $173
     FGBI7,942+7,942$173
FIDELITY NATL INFORMATION SVCS 1,181 +1,181 $164
     FIS1,181+1,181$164
HELIOS TECHNOLOGIES INCORPORATED 3,550 +3,550 $164
     HLIO3,550+3,550$164
ISHARES TR U.S. TECH ETF (IYW) 705 +705 $164
     IYW705+705$164
REALTY INCOME CORPORATION REIT 2,217 -477 $163
     O2,217-477$163
VANGUARD SMALL CAP GROWTH ETF (VBK) 820 +820 $163
     VBK820+820$163
VANGUARD SMALL CAP ETF (VB) 979 +979 $162
     VB979+979$162
HALLIBURTON COMPANY 6,596 +6,596 $161
     HAL6,596+6,596$161
STARBUCKS CORPORATION 1,819 -1,015 $160
     SBUX1,819-1,015$160
CROWN CASTLE INTERNATIONAL CORPORATION NEW REIT 1,109 +1,109 $158
     CCI1,109+1,109$158
EATON VANCE TX ADV GLB DIV OP 6,000 +6,000 $156
     ETO6,000+6,000$156
KIMBERLY CLARK CORPORATION 1,132 -415 $156
     KMB1,132-415$156
EATON CORPORATION PLC SHS 1,517 +1,517 $144
     ETN1,517+1,517$144
IQ MERGER ARBITRAGE ETF (MNA) 4,201 +4,201 $139
     MNA4,201+4,201$139
ISHARES TR MRNGSTR INC ETF (IYLD) 5,346 +5,346 $137
     IYLD5,346+5,346$137
VANGUARD TAX EXEMPT BOND ETF (VTEB) 2,559 +2,559 $137
     VTEB2,559+2,559$137
THE CHARLES SCHWAB CORPORATION 2,837 +2,837 $135
     SCHW2,837+2,837$135
PNC FINL SVCS GROUP INCORPORATED 838 +838 $134
     PNC838+838$134
EQUIFAX INCORPORATED 950 +950 $133
     EFX950+950$133
TEXAS INSTRS INCORPORATED 1,038 +1,038 $133
     TXN1,038+1,038$133
ISHARES INCORPORATED MIN VOL GBL ETF (ACWV) 1,379 +1,379 $132
     ACWV1,379+1,379$132
FORTUNE BRANDS HOME & SEC INCORPORATED 2,000 +2,000 $131
     FBHS2,000+2,000$131
DTE ENERGY COMPANY 1,000 +1,000 $130
     DTE1,000+1,000$130
SCHWAB US DIVIDEND EQUITY ETF (SCHD) 2,203 +2,203 $128
     SCHD2,203+2,203$128
MARATHON PETE CORPORATION 2,101 +2,101 $127
     MPC2,101+2,101$127
SBA COMMUNICATIONS CORPORATION NEW CLASS A REIT 525 +525 $127
     SBAC525+525$127
THERMO FISHER SCIENTIFIC INCORPORATED 391 +391 $127
     TMO391+391$127
TARGET CORPORATION 981 +981 $126
     TGT981+981$126
BROADRIDGE FINL SOLUTIONS INCORPORATED 1,014 +1,014 $125
     BR1,014+1,014$125
ISHARES TR CONV BD ETF (ICVT) 2,000 +2,000 $125
     ICVT2,000+2,000$125
CLOUGH GLOBAL EQUITY 10,204 +10,204 $123
     GLQ10,204+10,204$123
PPL CORPORATION 3,363 +3,363 $121
     PPL3,363+3,363$121
LULULEMON ATHLETICA INCORPORATED 518 +518 $120
     LULU518+518$120
ONEOK INCORPORATED NEW 1,571 +1,571 $119
     OKE1,571+1,571$119
ROYAL DUTCH SHELL PLC SPON ADR B      $115
     RDS.B1,516+1,516$91
     RDS.A405+405$24
CITIZENS FINL GROUP INCORPORATED 2,800 +2,800 $114
     CFG2,800+2,800$114
CALAMOS STRATEGIC TOTL RETN FD COM SH BEN INT 8,303 +8,303 $113
     CSQ8,303+8,303$113
ZIOPHARM ONCOLOGY INCORPORATED 24,000 +2,500 $113
     ZIOP24,000+2,500$113
ALASKA AIR GROUP INCORPORATED 1,656 +1,656 $112
     ALK1,656+1,656$112
ISHARES TR PHLX SEMICND ETF (SOXX) 448 +448 $112
     SOXX448+448$112
CDK GLOBAL INCORPORATED 2,034 +2,034 $111
     CDK2,034+2,034$111
MEDTRONIC PLC SHS 982 +982 $111
     MDT982+982$111
QUALCOMM INCORPORATED 1,237 +1,237 $109
     QCOM1,237+1,237$109
BROOKFIELD ASSET MGMT INC CLASS A LTD VT SH 1,867 +1,867 $108
     BAM1,867+1,867$108
BCE INCORPORATED COM NEW 2,327 -2,451 $108
     BCE2,327-2,451$108
FORD MTR COMPANY DEL 11,650 UNCH $108
     F11,650UNCH$108
INGERSOLL RAND PLC SHS 810 +810 $108
     IR810+810$108
INVESCO DWA MOMENTUM ETF (PDP) 1,663 +1,663 $107
     PDP1,663+1,663$107
ZOETIS INCORPORATED CLASS A 803 +803 $106
     ZTS803+803$106
ADOBE INCORPORATED 317 +317 $105
     ADBE317+317$105
ISHARES TR EXPND TEC SC ETF (IGM) 428 +428 $104
     IGM428+428$104
VANGUARD FTSE DEVELOPED MARKETS ETF (VEA) 2,345 +2,345 $103
     VEA2,345+2,345$103
L3HARRIS TECHNOLOGIES INCORPORATED 505 +505 $100
     LHX505+505$100
ENERGY TRANSFER LP COM UT LTD PTN 7,704 +7,704 $99
     ET7,704+7,704$99
PAYCHEX INCORPORATED 1,169 +1,169 $99
     PAYX1,169+1,169$99
DELL TECHNOLOGIES INCORPORATED CLASS C 1,906 +1,906 $98
     DELL1,906+1,906$98
FASTENAL COMPANY 2,648 +2,648 $98
     FAST2,648+2,648$98
INVESCO S&P 500 EX RATE SENSITIVE LOW VOLATILITY ETF (XRLV) 2,296 +2,296 $95
     XRLV2,296+2,296$95
TRANSDIGM GROUP INCORPORATED 166 +166 $93
     TDG166+166$93
ALLERGAN PLC SHS 482 +482 $92
     AGN482+482$92
BIOGEN INCORPORATED 310 +310 $92
     BIIB310+310$92
OCCIDENTAL PETE CORPORATION 2,234 +2,234 $92
     OXY2,234+2,234$92
SPDR COMMUNICATION SERVICES SELECT SECTOR FUND (XLC) 1,707 -3,482 $92
     XLC1,707-3,482$92
ISHARES TR IBOXX INV CP ETF (LQD) 713 +713 $91
     LQD713+713$91
REPUBLIC SVCS INCORPORATED 1,001 +1,001 $90
     RSG1,001+1,001$90
ARBOR RLTY TR INCORPORATED REIT 6,206 +6,206 $89
     ABR6,206+6,206$89
BLACKROCK ENHANCED EQT DIV TR 8,982 +8,982 $89
     BDJ8,982+8,982$89
CIGNA CORPORATION NEW 436 +436 $89
     CI436+436$89
COPART INCORPORATED 966 +966 $88
     CPRT966+966$88
SPDR PORTFOLIO INTERMEDIATE TERM CORPORATE BOND ETF (SPIB) 2,479 +2,479 $88
     SPIB2,479+2,479$88
ISHARES TR EXPANDED TECH (IGV) 373 +373 $87
     IGV373+373$87
ISHARES TR INTL MOMENTUM FT (IMTM) 2,790 +2,790 $87
     IMTM2,790+2,790$87
SPLUNK INCORPORATED 579 +579 $87
     SPLK579+579$87
UBER TECHNOLOGIES INCORPORATED 2,928 +2,928 $87
     UBER2,928+2,928$87
CDN IMPERIAL BK COMM TORONTO O 1,034 -1,420 $86
     CM1,034-1,420$86
DANA INCORPORATED 4,700 -5,300 $86
     DAN4,700-5,300$86
IHS MARKIT LIMITED SHS 1,147 +1,147 $86
     INFO1,147+1,147$86
ISHARES TR U.S. FIN SVC ETF (IYG) 560 +560 $85
     IYG560+560$85
CENTERPOINT ENERGY INCORPORATED 3,079 +3,079 $84
     CNP3,079+3,079$84
INVESCO S&P 500 BUYWRITE ETF (PBP) 3,915 +3,915 $84
     PBP3,915+3,915$84
BECTON DICKINSON & COMPANY 305 +305 $83
     BDX305+305$83
SPDR BLOOMBERG BARCLAYS CONVERTIBLE SECURITIES ETF (CWB) 1,500 +1,500 $83
     CWB1,500+1,500$83
TWITTER INCORPORATED 2,601 +2,601 $83
     TWTR2,601+2,601$83
MARTIN MARIETTA MATLS INCORPORATED 295 +295 $82
     MLM295+295$82
VODAFONE GROUP PLC NEW SPONSORED ADR 4,103 +4,103 $79
     VOD4,103+4,103$79
VERTEX PHARMACEUTICALS INCORPORATED 360 +360 $79
     VRTX360+360$79
CENTENE CORPORATION DEL 1,235 +1,235 $78
     CNC1,235+1,235$78
IDEXX LABS INCORPORATED 300 +300 $78
     IDXX300+300$78
NATIONAL GRID PLC SPONSORED ADR NE 1,248 +1,248 $78
     NGG1,248+1,248$78
OGE ENERGY CORPORATION 1,750 +1,750 $78
     OGE1,750+1,750$78
FIRST TRUST VALUE LINE DIVIDEND INDEX FUND (FVD) 2,130 +2,130 $77
     FVD2,130+2,130$77
FLEXSHARES MORNINGSTAR GLOBAL UPSTREAM NATURAL RESOURCES INDEX FUND (GUNR) 2,283 +2,283 $77
     GUNR2,283+2,283$77
FLEXSHARES STOXX GLOBAL BROAD INFRASTRUCTURE INDEX FUND (NFRA) 1,423 +1,423 $77
     NFRA1,423+1,423$77
NUTRIEN LIMITED 1,617 +1,617 $77
     NTR1,617+1,617$77
TOTAL S A SPONSORED ADS 1,394 +1,394 $77
     TOT1,394+1,394$77
CORNING INCORPORATED 2,598 +2,598 $76
     GLW2,598+2,598$76
IONIS PHARMACEUTICALS INCORPORATED 1,262 +1,262 $76
     IONS1,262+1,262$76
APERGY CORPORATION 2,210 +2,210 $75
     APY2,210+2,210$75
KRAFT HEINZ COMPANY 2,339 +2,339 $75
     KHC2,339+2,339$75
SPDR NUVEEN BLOOMBERG BARCLAYS SHORT TERM MUNICIPAL BOND ETF (SHM) 1,523 +1,523 $75
     SHM1,523+1,523$75
ANTHEM INCORPORATED 240 +240 $73
     ANTM240+240$73
ALIBABA GROUP HLDG LIMITED SPONSORED ADS 342 +342 $73
     BABA342+342$73
VANGUARD UTILITIES ETF (VPU) 509 +509 $73
     VPU509+509$73
VENTAS INCORPORATED REIT 1,259 -1,569 $73
     VTR1,259-1,569$73
METTLER TOLEDO INTERNATIONAL 91 +91 $72
     MTD91+91$72
SPDR PORTFOLIO SHORT TERM CORPORATE BOND ETF (SPSB) 2,324 +2,324 $72
     SPSB2,324+2,324$72
PROLOGIS INCORPORATED REIT 794 +794 $71
     PLD794+794$71
SEAGATE TECHNOLOGY PLC SHS 1,201 +1,201 $71
     STX1,201+1,201$71
CINEMARK HOLDINGS INCORPORATED 2,066 +2,066 $70
     CNK2,066+2,066$70
PACER TRENDPILOT US LARGE CAP ETF (PTLC) 2,101 +2,101 $70
     PTLC2,101+2,101$70
WISDOMTREE INTERNATIONAL EQUITY FUND (DWM) 1,290 +1,290 $69
     DWM1,290+1,290$69
ECOLAB INCORPORATED 355 +355 $69
     ECL355+355$69
REPLIGEN CORPORATION 750 +750 $69
     RGEN750+750$69
AIR PRODUCTS & CHEMICALS INCORPORATED 289 +289 $68
     APD289+289$68
TE CONNECTIVITY LIMITED REG SHS 709 +709 $68
     TEL709+709$68
AKAMAI TECHNOLOGIES INCORPORATED 776 +776 $67
     AKAM776+776$67
CULLEN FROST BANKERS INCORPORATED 684 +684 $67
     CFR684+684$67
FIDELITY NATIONAL FINANCIAL IN FNF GROUP COM 1,470 +1,470 $67
     FNF1,470+1,470$67
NORTHROP GRUMMAN CORPORATION 195 +195 $67
     NOC195+195$67
ISHARES TR CORE DIV GRWTH (DGRO) 1,565 +1,565 $66
     DGRO1,565+1,565$66
EXELON CORPORATION 1,450 +1,450 $66
     EXC1,450+1,450$66
INTERPUBLIC GROUP COMPANIES INCORPORATED 2,849 +2,849 $66
     IPG2,849+2,849$66
MARKEL CORPORATION 58 +58 $66
     MKL58+58$66
NORFOLK SOUTHERN CORPORATION 340 +340 $66
     NSC340+340$66
FIRST TRUST NASDAQ 100 TECHNOLOGY INDEX FUND (QTEC) 661 +661 $66
     QTEC661+661$66
FIRST REP BK SAN FRANCISCO CAL 553 +553 $65
     FRC553+553$65
O REILLY AUTOMOTIVE INCORPORATED NEW 148 +148 $65
     ORLY148+148$65
VALERO ENERGY CORPORATION NEW 691 +691 $65
     VLO691+691$65
ADVANCE AUTO PARTS INCORPORATED 399 +399 $64
     AAP399+399$64
GILEAD SCIENCES INCORPORATED 984 +984 $64
     GILD984+984$64
HILTON WORLDWIDE HLDGS INCORPORATED 576 +576 $64
     HLT576+576$64
ICON PLC SHS 369 +369 $64
     ICLR369+369$64
SPDR PORTFOLIO S&P 500 GROWTH ETF (SPYG) 1,534 +1,534 $64
     SPYG1,534+1,534$64
TRUIST FINL CORPORATION 1,133 +1,133 $64
     TFC1,133+1,133$64
ZEBRA TECHNOLOGIES CORPORATION CLASS A 250 +250 $64
     ZBRA250+250$64
ACCENTURE PLC IRELAND SHS CLASS A 300 +300 $63
     ACN300+300$63
CARNIVAL CORPORATION PAIRED CTF 1,235 +1,235 $63
     CCL1,235+1,235$63
SPDR GOLD SHARES (GLD) 438 +438 $63
     GLD438+438$63
CARMAX INCORPORATED 723 +723 $63
     KMX723+723$63
ARCH CAP GROUP LIMITED ORD 1,436 +1,436 $62
     ACGL1,436+1,436$62
CAPITAL SOUTHWEST CORPORATION 3,000 +3,000 $62
     CSWC3,000+3,000$62
DELTA AIR LINES INCORPORATED DEL COM NEW 1,052 +1,052 $62
     DAL1,052+1,052$62
KANSAS CITY SOUTHERN COM NEW 407 +407 $62
     KSU407+407$62
MAXIM INTEGRATED PRODUCTS INCORPORATED 1,000 +1,000 $62
     MXIM1,000+1,000$62
MERCADOLIBRE INCORPORATED 106 +106 $61
     MELI106+106$61
SANOFI SPONSORED ADR 1,214 +1,214 $61
     SNY1,214+1,214$61
ALEXION PHARMACEUTICALS INCORPORATED 551 +551 $60
     ALXN551+551$60
CBRE GROUP INCORPORATED CLASS A 981 +981 $60
     CBRE981+981$60
INVESCO WATER RESOURCES ETF (PHO) 1,564 +1,564 $60
     PHO1,564+1,564$60
VULCAN MATLS COMPANY 416 +416 $60
     VMC416+416$60
WESTERN DIGITAL CORPORATION 941 +941 $60
     WDC941+941$60
EDWARDS LIFESCIENCES CORPORATION 252 +252 $59
     EW252+252$59
PALO ALTO NETWORKS INCORPORATED 256 +256 $59
     PANW256+256$59
SEMPRA ENERGY 391 +391 $59
     SRE391+391$59
EQUINIX INCORPORATED REIT 100 +100 $58
     EQIX100+100$58
BRITISH AMERN TOB PLC SPONSORED ADR 1,349 +1,349 $57
     BTI1,349+1,349$57
CONOCOPHILLIPS 871 +871 $57
     COP871+871$57
GRAINGER W W INCORPORATED 168 +168 $57
     GWW168+168$57
BLACKSTONE GROUP INCORPORATED COM CLASS A 1,002 +1,002 $56
     BX1,002+1,002$56
LYONDELLBASELL INDUSTRIES N V SHS A 591 +591 $56
     LYB591+591$56
CVS HEALTH CORPORATION 734 +734 $55
     CVS734+734$55
GENERAL MLS INCORPORATED 1,020 +1,020 $55
     GIS1,020+1,020$55
MASTERCARD INCORPORATED CLASS A 183 +183 $55
     MA183+183$55
ISHARES TR NASDAQ BIOTECH (IBB) 450 +450 $54
     IBB450+450$54
RESTAURANT BRANDS INTERNATIONAL INCORPORATED 845 +845 $54
     QSR845+845$54
ROSS STORES INCORPORATED 462 +462 $54
     ROST462+462$54
CITRIX SYSTEMS INCORPORATED 479 +479 $53
     CTXS479+479$53
VANGUARD HIGH DIVIDEND YIELD ETF (VYM) 569 +569 $53
     VYM569+569$53
BLACK KNIGHT INCORPORATED 810 +810 $52
     BKI810+810$52
EVERGY INCORPORATED 803 +803 $52
     EVRG803+803$52
INVESCO DIVIDEND ACHIEVERS ETF (PFM) 1,710 +1,710 $52
     PFM1,710+1,710$52
BIOMARIN PHARMACEUTICAL INCORPORATED 600 +600 $51
     BMRN600+600$51
GARTNER INCORPORATED 328 +328 $51
     IT328+328$51
VANGUARD SHORT TERM CORPORATE BOND ETF (VCSH) 625 +625 $51
     VCSH625+625$51
AMN HEALTHCARE SERVICES INCORPORATED 800 +800 $50
     AMN800+800$50
ANHEUSER BUSCH INBEV SA NV SPONSORED ADR 604 +604 $50
     BUD604+604$50
CDW CORPORATION 350 +350 $50
     CDW350+350$50
KEYSIGHT TECHNOLOGIES INCORPORATED 489 +489 $50
     KEYS489+489$50
LEAR CORPORATION COM NEW 364 +364 $50
     LEA364+364$50
NEXTERA ENERGY INCORPORATED 208 +208 $50
     NEE208+208$50
RITE AID CORPORATION 3,200 +3,200 $50
     RAD3,200+3,200$50
ILLINOIS TOOL WKS INCORPORATED 273 +273 $49
     ITW273+273$49
CATERPILLAR INCORPORATED DEL 324 +324 $48
     CAT324+324$48
WISDOMTREE U.S. DIVIDEND EX FINANCIALS FUND (DTN) 524 +524 $48
     DTN524+524$48
ABERDEEN ASIA PACIFIC INCOME 11,120 +11,120 $47
     FAX11,120+11,120$47
ANSYS INCORPORATED 178 +178 $46
     ANSS178+178$46
BOK FINL CORPORATION COM NEW 530 +530 $46
     BOKF530+530$46
ISHARES TR FLTG RATE NT ETF (FLOT) 899 +899 $46
     FLOT899+899$46
LINDE PLC SHS 216 +216 $46
     LIN216+216$46
KELLOGG COMPANY 650 +650 $45
     K650+650$45
KKR & COMPANY INCORPORATED CLASS A 1,552 +1,552 $45
     KKR1,552+1,552$45
KINDER MORGAN INCORPORATED DEL 2,140 +2,140 $45
     KMI2,140+2,140$45
COHEN & STEERS QUALITY RLTY FD 3,001 +3,001 $45
     RQI3,001+3,001$45
WORKDAY INCORPORATED CLASS A 275 +275 $45
     WDAY275+275$45
ASTRAZENECA PLC SPONSORED ADR 857 +857 $43
     AZN857+857$43
VERISIGN INCORPORATED 216 +216 $42
     VRSN216+216$42
FEDEX CORPORATION 271 +271 $41
     FDX271+271$41
ATLASSIAN CORPORATION PLC CLASS A 338 +338 $41
     TEAM338+338$41
TRANSUNION 479 +479 $41
     TRU479+479$41
VANGUARD MORTGAGE BACKED SECURITIES ETF (VMBS) 751 +751 $40
     VMBS751+751$40
AMERICAN TOWER CORPORATION NEW REIT 171 +171 $39
     AMT171+171$39
COSTAR GROUP INCORPORATED 66 +66 $39
     CSGP66+66$39
LIBERTY BROADBAND CORPORATION COM SER C 309 +309 $39
     LBRDK309+309$39
VAIL RESORTS INCORPORATED 161 +161 $39
     MTN161+161$39
ROGERS COMMUNICATIONS INCORPORATED CLASS B 782 +782 $39
     RCI782+782$39
FORTINET INCORPORATED 353 +353 $38
     FTNT353+353$38
NEOS THERAPEUTICS INCORPORATED 24,995 UNCH $38
     NEOS24,995UNCH$38
REGIONS FINL CORPORATION NEW 2,199 -8,079 $38
     RF2,199-8,079$38
VERISK ANALYTICS INCORPORATED 257 +257 $38
     VRSK257+257$38
ONTO INNOVATION INCORPORATED 1,000 +1,000 $37
     NANO1,000+1,000$37
PIONEER NAT RES COMPANY 246 +246 $37
     PXD246+246$37
CALAMOS CONV OPP AND INCORPORATED FD SH BEN INT 3,247 +3,247 $36
     CHI3,247+3,247$36
DOMINOS PIZZA INCORPORATED 124 +124 $36
     DPZ124+124$36
DARDEN RESTAURANTS INCORPORATED 329 +329 $36
     DRI329+329$36
JOHNSON CONTROLS INTERNATIONAL PLC SHS 894 +894 $36
     JCI894+894$36
LIVE NATION ENTERTAINMENT INCORPORATED 510 +510 $36
     LYV510+510$36
MICROCHIP TECHNOLOGY INCORPORATED 343 +343 $36
     MCHP343+343$36
ROPER TECHNOLOGIES INCORPORATED 101 +101 $36
     ROP101+101$36
ISHARES TR CORE US AGGBD ET (AGG) 309 +309 $35
     AGG309+309$35
CITIGROUP INCORPORATED COM NEW 433 +433 $35
     C433+433$35
FIREEYE INCORPORATED 2,110 +2,110 $35
     FEYE2,110+2,110$35
SCHWAB SHORT TERM U.S. TREASURY ETF (SCHO) 692 +692 $35
     SCHO692+692$35
CHIPOTLE MEXICAN GRILL INCORPORATED 41 +41 $34
     CMG41+41$34
ALCON INCORPORATED ORD SHS 585 +585 $33
     ALC585+585$33
ASPEN TECHNOLOGY INCORPORATED 270 +270 $33
     AZPN270+270$33
BROWN & BROWN INCORPORATED 846 +846 $33
     BRO846+846$33
LIBERTY MEDIA CORPORATION DELAWARE COM C SIRIUSXM 691 +691 $33
     LSXMK691+691$33
TOYOTA MOTOR CORPORATION SP ADR REP2COM 234 +234 $33
     TM234+234$33
US BANCORP DEL COM NEW 557 +557 $33
     USB557+557$33
VEEVA SYSTEMS INCORPORATED CLASS A COM 233 +233 $33
     VEEV233+233$33
VMWARE INCORPORATED CLASS A COM 220 +220 $33
     VMW220+220$33
LIBERTY MEDIA CORPORATION DELAWARE COM SER C FRMLA 699 +699 $32
     FWONK699+699$32
TRITON INTERNATIONAL LIMITED CLASS A 789 +789 $32
     TRTN789+789$32
CUMMINS INCORPORATED 175 +175 $31
     CMI175+175$31
IDEX CORPORATION 178 +178 $31
     IEX178+178$31
LENNAR CORPORATION CLASS A 559 +559 $31
     LEN559+559$31
TJX COMPANIES INCORPORATED NEW 500 +500 $31
     TJX500+500$31
UNITED RENTALS INCORPORATED 184 +184 $31
     URI184+184$31
CREE INCORPORATED 655 +655 $30
     CREE655+655$30
DEERE & COMPANY 173 +173 $30
     DE173+173$30
FLEETCOR TECHNOLOGIES INCORPORATED 105 +105 $30
     FLT105+105$30
JONES LANG LASALLE INCORPORATED 175 +175 $30
     JLL175+175$30
LAM RESEARCH CORPORATION 101 +101 $30
     LRCX101+101$30
NAVIDEA BIOPHARMACEUTICALS INCORPORATED COM NEW 24,128 +12,810 $30
     NAVB24,128+12,810$30
PEOPLES UTD FINL INCORPORATED 1,765 +1,765 $30
     PBCT1,765+1,765$30
ISHARES TR 0 5 YR TIPS ETF (STIP) 295 +295 $30
     STIP295+295$30
SYNEOS HEALTH INCORPORATED CLASS A 506 +506 $30
     SYNH506+506$30
WIX COM LIMITED SHS 249 +249 $30
     WIX249+249$30
WHEATON PRECIOUS METALS CORPORATION 1,000 +1,000 $30
     WPM1,000+1,000$30
PHYSICIANS RLTY TR REIT 1,521 +1,521 $29
     DOC1,521+1,521$29
FIRST FINL BANKSHARES (FFIN) 820 +820 $29
     FFIN820+820$29
GCI LIBERTY INCORPORATED COM CLASS A 415 +415 $29
     GLIBA415+415$29
MPLX LP COM UNIT REP LTD 1,135 +1,135 $29
     MPLX1,135+1,135$29
INVESCO S&P 500 EQUAL WEIGHT ETF (RSP) 247 +247 $29
     RSP247+247$29
FIRST TRUST NASDAQ TECHNOLOGY DIVIDEND INDEX FUND (TDIV) 675 +675 $29
     TDIV675+675$29
TRAVELERS COMPANIES INCORPORATED 215 +215 $29
     TRV215+215$29
WESTROCK COMPANY 675 +675 $29
     WRK675+675$29
FREEPORT MCMORAN INCORPORATED CLASS B 2,158 +2,158 $28
     FCX2,158+2,158$28
HOWARD HUGHES CORPORATION 220 +220 $28
     HHC220+220$28
MSCI INCORPORATED 107 +107 $28
     MSCI107+107$28
ROCKWELL AUTOMATION INCORPORATED 139 +139 $28
     ROK139+139$28
TRACTOR SUPPLY COMPANY 300 +300 $28
     TSCO300+300$28
APTIV PLC SHS 283 +283 $27
     APTV283+283$27
CROWN HOLDINGS INCORPORATED 375 +375 $27
     CCK375+375$27
WELLS FARGO MULTI SECTOR INCOM 2,100 +2,100 $27
     ERC2,100+2,100$27
GLADSTONE COML CORPORATION REIT 1,250 +1,250 $27
     GOOD1,250+1,250$27
NICE LIMITED SPONSORED ADR 175 +175 $27
     NICE175+175$27
PHILLIPS 66 241 +241 $27
     PSX241+241$27
SKYWORKS SOLUTIONS INCORPORATED 225 +225 $27
     SWKS225+225$27
COCA COLA EUROPEAN PARTNERS P SHS 510 +510 $26
     CCEP510+510$26
TEMPLETON GLOBAL INCOME FD 4,164 +4,164 $26
     GIM4,164+4,164$26
HEICO CORPORATION NEW      $26
     HEI175+175$20
     HEI.A66+66$6
QUANEX BUILDING PRODUCTS CORPORATION 1,524 +1,524 $26
     NX1,524+1,524$26
PAYCOM SOFTWARE INCORPORATED 100 +100 $26
     PAYC100+100$26
AON PLC SHS CL A 119 +119 $25
     AON119+119$25
INVESCO FTSE RAFI US 1000 ETF (PRF) 200 +200 $25
     PRF200+200$25
COLFAX CORPORATION 664 +664 $24
     CFX664+664$24
CENTERSTATE BK CORPORATION 980 +980 $24
     CSFL980+980$24
MOODYS CORPORATION 99 +99 $24
     MCO99+99$24
MARATHON OIL CORPORATION 1,734 +1,734 $24
     MRO1,734+1,734$24
MARVELL TECHNOLOGY GROUP LIMITED ORD 887 +887 $24
     MRVL887+887$24
ON SEMICONDUCTOR CORPORATION 1,000 +1,000 $24
     ON1,000+1,000$24
TAIWAN SEMICONDUCTOR MFG LIMITED SPONSORED ADS 417 +417 $24
     TSM417+417$24
US FOODS HLDG CORPORATION 570 +570 $24
     USFD570+570$24
WEYERHAEUSER COMPANY 790 +790 $24
     WY790+790$24
BANK N S HALIFAX 400 +400 $23
     BNS400+400$23
CYBERARK SOFTWARE LIMITED SHS 200 +200 $23
     CYBR200+200$23
WISDOMTREE EUROPE HEDGED EQUITY FUND (HEDJ) 325 +325 $23
     HEDJ325+325$23
IRON MTN INCORPORATED NEW REIT 728 +728 $23
     IRM728+728$23
INVESCO LIMITED SHS 1,258 +1,258 $23
     IVZ1,258+1,258$23
KNOWLES CORPORATION 1,078 +1,078 $23
     KN1,078+1,078$23
METLIFE INCORPORATED 442 +442 $23
     MET442+442$23
MCCORMICK & COMPANY INCORPORATED COM NON VTG 134 +134 $23
     MKC134+134$23
QORVO INCORPORATED 200 +200 $23
     QRVO200+200$23
SAPIENS INTERNATIONAL CORPORATION N V SHS 1,000 +1,000 $23
     SPNS1,000+1,000$23
VANGUARD TOTAL STOCK MARKET ETF (VTI) 140 +140 $23
     VTI140+140$23
WEC ENERGY GROUP INCORPORATED 254 +254 $23
     WEC254+254$23
GUIDEWIRE SOFTWARE INCORPORATED 202 +202 $22
     GWRE202+202$22
LEIDOS HLDGS INCORPORATED 225 +225 $22
     LDOS225+225$22
NORTH AMERN CONSTR GROUP LIMITED 1,800 +1,800 $22
     NOA1,800+1,800$22
NUCOR CORPORATION 399 +399 $22
     NUE399+399$22
UNIVERSAL DISPLAY CORPORATION 106 +106 $22
     OLED106+106$22
PITNEY BOWES INCORPORATED 5,517 +5,517 $22
     PBI5,517+5,517$22
RAYMOND JAMES FINANCIAL INCORPORATED 251 -5,006 $22
     RJF251-5,006$22
REALPAGE INCORPORATED 410 +410 $22
     RP410+410$22
SUBURBAN PROPANE PARTNERS L P UNIT LTD PARTN 1,000 +1,000 $22
     SPH1,000+1,000$22
TARGA RES CORPORATION 545 +545 $22
     TRGP545+545$22
TC ENERGY CORPORATION 413 +413 $22
     TRP413+413$22
SPDR S&P AEROSPACE & DEFENSE ETF (XAR) 203 +203 $22
     XAR203+203$22
AMCOR PLC ORD 1,909 +1,909 $21
     AMCR1,909+1,909$21
CADENCE DESIGN SYSTEM INCORPORATED 300 +300 $21
     CDNS300+300$21
SPDR DOW JONES INDUSTRIAL AVERAGE ETF TRUST (DIA) 75 +75 $21
     DIA75+75$21
NAPCO SEC TECHNOLOGIES INCORPORATED 725 +725 $21
     NSSC725+725$21
INVESCO RUSSELL 1000 DYNAMIC MULTIFACTOR ETF (OMFL) 627 +627 $21
     OMFL627+627$21
WASTE MGMT INCORPORATED DEL 185 +185 $21
     WM185+185$21
WILLIAMS COMPANIES INCORPORATED DEL 903 +903 $21
     WMB903+903$21
AUDIOCODES LIMITED ORD 775 +775 $20
     AUDC775+775$20
DUCOMMUN INCORPORATED DEL 400 +400 $20
     DCO400+400$20
DISCOVERY INCORPORATED COM SER A 613 +613 $20
     DISCA613+613$20
EXPEDIA GROUP INCORPORATED COM NEW 183 +183 $20
     EXPE183+183$20
FIRSTENERGY CORPORATION 406 +406 $20
     FE406+406$20
HYATT HOTELS CORPORATION COM CLASS A 224 +224 $20
     H224+224$20
LOGMEIN INCORPORATED 237 +237 $20
     LOGM237+237$20
NMI HLDGS INCORPORATED CLASS A 600 +600 $20
     NMIH600+600$20
NUANCE COMMUNICATIONS INCORPORATED 1,103 +1,103 $20
     NUAN1,103+1,103$20
PAYSIGN INCORPORATED 2,000 +2,000 $20
     PAYS2,000+2,000$20
PENNYMAC FINL SVCS INCORPORATED 600 +600 $20
     PFSI600+600$20
RENAISSANCERE HOLDINGS LIMITED 100 +100 $20
     RNR100+100$20
SAFEHOLD INCORPORATED REIT 500 +500 $20
     SAFE500+500$20
UNIVERSAL HLTH SVCS INCORPORATED CLASS B 140 +140 $20
     UHS140+140$20
ARISTA NETWORKS INCORPORATED 95 +95 $19
     ANET95+95$19
CREDIT ACCEP CORPORATION MICH 44 +44 $19
     CACC44+44$19
C H ROBINSON WORLDWIDE INCORPORATED COM NEW 237 +237 $19
     CHRW237+237$19
CATALENT INCORPORATED 335 +335 $19
     CTLT335+335$19
DOLLAR GENERAL CORPORATION NEW 124 +124 $19
     DG124+124$19
NUTANIX INCORPORATED CLASS A 620 +620 $19
     NTNX620+620$19
VARIAN MED SYSTEMS INCORPORATED 135 +135 $19
     VAR135+135$19
ANALOG DEVICES INCORPORATED 150 +150 $18
     ADI150+150$18
AES CORPORATION 915 +915 $18
     AES915+915$18
BURLINGTON STORES INCORPORATED 80 +80 $18
     BURL80+80$18
CASEYS GENERAL STORES INCORPORATED 114 +114 $18
     CASY114+114$18
CHURCH & DWIGHT INCORPORATED 250 +250 $18
     CHD250+250$18
DOLBY LABORATORIES INCORPORATED COM CLASS A 256 +256 $18
     DLB256+256$18
ISHARES TR INTRM TR CRP ETF (IGIB) 316 +316 $18
     IGIB316+316$18
KENNEDY WILSON HLDGS INCORPORATED 811 +811 $18
     KW811+811$18
LPL FINL HLDGS INCORPORATED 200 +200 $18
     LPLA200+200$18
PAYLOCITY HLDG CORPORATION 153 +153 $18
     PCTY153+153$18
S&P GLOBAL INCORPORATED 65 +65 $18
     SPGI65+65$18
WAYFAIR INCORPORATED CLASS A 194 +194 $18
     W194+194$18
SPDR ENERGY SELECT SECTOR FUND (XLE) 305 -4,172 $18
     XLE305-4,172$18
AMERICAN INTERNATIONAL GROUP INCORPORATED COM NEW 324 +324 $17
     AIG324+324$17
CONAGRA BRANDS INCORPORATED 495 +495 $17
     CAG495+495$17
LAUDER ESTEE COMPANIES INCORPORATED CLASS A 81 +81 $17
     EL81+81$17
LIBERTY BROADBAND CORPORATION COM SER A 134 +134 $17
     LBRDA134+134$17
XPO LOGISTICS INCORPORATED 208 +208 $17
     XPO208+208$17
CSI COMPRESSCO LP COM UNIT 6,000 +6,000 $16
     CCLP6,000+6,000$16
HENRY JACK & ASSOC INCORPORATED 108 +108 $16
     JKHY108+108$16
LIBERTY MEDIA CORPORATION DELAWARE COM A SIRIUSXM 331 +331 $16
     LSXMA331+331$16
MOTOROLA SOLUTIONS INCORPORATED COM NEW 102 +102 $16
     MSI102+102$16
ALLIANZGI NFJ DIVID INT & PREM 1,225 +1,225 $16
     NFJ1,225+1,225$16
OMNICOM GROUP INCORPORATED 202 +202 $16
     OMC202+202$16
PACER TRENDPILOT US MID CAP ETF (PTMC) 532 +532 $16
     PTMC532+532$16
IQ HEDGE MULTI STRATEGY TRACKER ETF (QAI) 518 +518 $16
     QAI518+518$16
SHOPIFY INCORPORATED CLASS A 39 +39 $16
     SHOP39+39$16
STERIS PLC SHS USD 105 +105 $16
     STE105+105$16
TEXAS PAC LD TR SUB CTF PROP I T 20 +20 $16
     TPL20+20$16
V F CORPORATION 159 +159 $16
     VFC159+159$16
BROWN FORMAN CORPORATION CLASS B      $15
     BF.B221+221$15
CRESTWOOD EQUITY PARTNERS LP UNIT LTD PARTNER 500 +500 $15
     CEQP500+500$15
HARLEY DAVIDSON INCORPORATED 400 +400 $15
     HOG400+400$15
HOME BANCSHARES INCORPORATED (HOMB) 750 +750 $15
     HOMB750+750$15
ISHARES TR CORE MSCI EURO (IEUR) 305 +305 $15
     IEUR305+305$15
KEYCORP NEW 750 +750 $15
     KEY750+750$15
LAS VEGAS SANDS CORPORATION 213 +213 $15
     LVS213+213$15
VANGUARD FTSE PACIFIC ETF (VPL) 209 +209 $15
     VPL209+209$15
YUM BRANDS INCORPORATED 150 +150 $15
     YUM150+150$15
ADVANCED MICRO DEVICES INCORPORATED 300 +300 $14
     AMD300+300$14
ARCHROCK INCORPORATED 1,400 +1,400 $14
     AROC1,400+1,400$14
EVERSOURCE ENERGY 163 +163 $14
     ES163+163$14
OLD NATL BANCORP IND 750 +750 $14
     ONB750+750$14
PUBLIC STORAGE REIT 66 +66 $14
     PSA66+66$14
RBC BEARINGS INCORPORATED 90 +90 $14
     ROLL90+90$14
HANOVER INS GROUP INCORPORATED 100 +100 $14
     THG100+100$14
AMERCO 38 +38 $14
     UHAL38+38$14
WABTEC CORPORATION 185 +185 $14
     WAB185+185$14
ACTIVISION BLIZZARD INCORPORATED 213 +213 $13
     ATVI213+213$13
BLACKROCK MUN INCOME TR SH BEN INT 920 +920 $13
     BFK920+920$13
FISERV INCORPORATED 114 +114 $13
     FISV114+114$13
ILLUMINA INCORPORATED 40 +40 $13
     ILMN40+40$13
IPG PHOTONICS CORPORATION 92 +92 $13
     IPGP92+92$13
KLA CORPORATION COM NEW 75 +75 $13
     KLAC75+75$13
PINTEREST INCORPORATED CLASS A 699 +699 $13
     PINS699+699$13
SYNOPSYS INCORPORATED 92 +92 $13
     SNPS92+92$13
SUMMIT MATLS INCORPORATED CLASS A 530 +530 $13
     SUM530+530$13
TEAM INCORPORATED 794 +794 $13
     TISI794+794$13
XCEL ENERGY INCORPORATED 200 +200 $13
     XEL200+200$13
SMITH A O CORPORATION 261 +261 $12
     AOS261+261$12
AXIS CAPITAL HOLDINGS LIMITED SHS 202 +202 $12
     AXS202+202$12
EDISON INTERNATIONAL 155 +155 $12
     EIX155+155$12
FACTSET RESH SYSTEMS INCORPORATED 43 +43 $12
     FDS43+43$12
M & T BK CORPORATION 69 +69 $12
     MTB69+69$12
RYMAN HOSPITALITY PPTYS INCORPORATED REIT 141 +141 $12
     RHP141+141$12
XYLEM INCORPORATED 150 +150 $12
     XYL150+150$12
ZYNGA INCORPORATED CLASS A 1,913 +1,913 $12
     ZNGA1,913+1,913$12
INVESCO TAXABLE MUNICIPAL BOND ETF (BAB) 347 +347 $11
     BAB347+347$11
BORGWARNER INCORPORATED 250 +250 $11
     BWA250+250$11
CHEMOURS COMPANY 598 +598 $11
     CC598+598$11
CHEWY INCORPORATED CLASS A 363 +363 $11
     CHWY363+363$11
LAZARD LIMITED SHS A 266 +266 $11
     LAZ266+266$11
LIBERTY GLOBAL PLC SHS CLASS C 518 +518 $11
     LBTYK518+518$11
LILLY ELI & COMPANY 87 +87 $11
     LLY87+87$11
MAG SILVER CORPORATION 900 +900 $11
     MAG900+900$11
NATIONAL OILWELL VARCO INCORPORATED 447 +447 $11
     NOV447+447$11
OWENS CORNING NEW 172 +172 $11
     OC172+172$11
EXTENDED STAY AMER INC SHS 1 COM 1 CLASS B 727 +727 $11
     STAY727+727$11
SUN CMNTYS INCORPORATED REIT 75 +75 $11
     SUI75+75$11
DNP SELECT INCOME FD 758 +758 $10
     DNP758+758$10
EPAM SYSTEMS INCORPORATED 45 +45 $10
     EPAM45+45$10
CEDAR FAIR L P DEPOSITRY UNIT 179 +179 $10
     FUN179+179$10
GOLAR LNG PARTNERS LP COM UNIT LPI 1,185 +1,185 $10
     GMLP1,185+1,185$10
INCYTE CORPORATION 117 +117 $10
     INCY117+117$10
NUVEEN PREFERRED & INCM SECURTIES FD 1,000 +1,000 $10
     JPS1,000+1,000$10
OCEANEERING INTERNATIONAL INCORPORATED 700 +700 $10
     OII700+700$10
THOMSON REUTERS CORPORATION COM NEW 135 +135 $10
     TRI135+135$10
SLACK TECHNOLOGIES INCORPORATED COM CLASS A 439 +439 $10
     WORK439+439$10
AGNC INVT CORPORATION REIT 500 +500 $9
     AGNC500+500$9
ATHERSYS INCORPORATED 7,000 -15,000 $9
     ATHX7,000-15,000$9
BED BATH & BEYOND INCORPORATED 500 +500 $9
     BBBY500+500$9
ENTERGY CORPORATION NEW 78 +78 $9
     ETR78+78$9
FLIR SYSTEMS INCORPORATED 173 +173 $9
     FLIR173+173$9
FOX CORPORATION CLASS A COM 250 +250 $9
     FOXA250+250$9
HOLLY ENERGY PARTNERS L P COM UT LTD PTN 400 +400 $9
     HEP400+400$9
INTERNATIONAL PAPER COMPANY 190 +190 $9
     IP190+190$9
MASCO CORPORATION 193 +193 $9
     MAS193+193$9
MICRON TECHNOLOGY INCORPORATED 174 +174 $9
     MU174+174$9
ISHARES TR PFD AND INCM SEC (PFF) 230 +230 $9
     PFF230+230$9
PROOFPOINT INCORPORATED 78 +78 $9
     PFPT78+78$9
RESIDEO TECHNOLOGIES INCORPORATED 790 +790 $9
     REZI790+790$9
ISHARES TR 10 20 YR TRS ETF (TLH) 65 +65 $9
     TLH65+65$9
ISHARES TR MSCI AC ASIA ETF (AAXJ) 105 +105 $8
     AAXJ105+105$8
ALLIANCE DATA SYSTEMS CORPORATION 74 +74 $8
     ADS74+74$8
APOLLO GLOBAL MGMT INCORPORATED COM CLASS A 165 +165 $8
     APO165+165$8
ATLANTICA YIELD PLC SHS 313 +313 $8
     AY313+313$8
DANAHER CORPORATION 55 +55 $8
     DHR55+55$8
GLOBUS MED INCORPORATED CLASS A 135 +135 $8
     GMED135+135$8
GLOBAL PMTS INCORPORATED 44 +44 $8
     GPN44+44$8
JUST ENERGY GROUP INCORPORATED 4,868 +4,868 $8
     JE4,868+4,868$8
NUVEEN CR STRATEGIES INCM FD COM SHS 1,050 +1,050 $8
     JQC1,050+1,050$8
PUBLIC SVC ENTERPRISE GRP INCORPORATED 136 +136 $8
     PEG136+136$8
PULTE GROUP INCORPORATED 194 +194 $8
     PHM194+194$8
PENTAIR PLC SHS 171 +171 $8
     PNR171+171$8
QURATE RETAIL INCORPORATED COM SER A 895 +895 $8
     QRTEA895+895$8
SABRA HEALTH CARE REIT INCORPORATED REIT 384 +384 $8
     SBRA384+384$8
SIX FLAGS ENTERTAINMENT CORPORATION NEW 183 +183 $8
     SIX183+183$8
ISHARES SILVER TRUST ISHARES (SLV) 500 +500 $8
     SLV500+500$8
SQUARE INCORPORATED CLASS A 120 +120 $8
     SQ120+120$8
TAKEDA PHARMACEUTICAL COMPANY LIMITED SPONSORED ADS 403 +403 $8
     TAK403+403$8
UNDER ARMOUR INCORPORATED CLASS C 400 +400 $8
     UA400+400$8
UNITED AIRLINES HLDGS INCORPORATED 92 +92 $8
     UAL92+92$8
AMC NETWORKS INCORPORATED CLASS A 176 +176 $7
     AMCX176+176$7
CNA FINL CORPORATION 158 +158 $7
     CNA158+158$7
HUMANA INCORPORATED 20 +20 $7
     HUM20+20$7
INTUITIVE SURGICAL INCORPORATED COM NEW 11 +11 $7
     ISRG11+11$7
ISHARES TR RUS 1000 ETF (IWB) 39 +39 $7
     IWB39+39$7
NXP SEMICONDUCTORS N V 57 +57 $7
     NXPI57+57$7
PERFORMANCE FOOD GROUP COMPANY 130 +130 $7
     PFGC130+130$7
POLARIS INCORPORATED 70 +70 $7
     PII70+70$7
TYSON FOODS INCORPORATED CLASS A 79 +79 $7
     TSN79+79$7
ULTA BEAUTY INCORPORATED 26 +26 $7
     ULTA26+26$7
AUTOZONE INCORPORATED 5 +5 $6
     AZO5+5$6
BROOKFIELD PROPERTY REIT INCORPORATED CLASS A REIT 337 +337 $6
     BPR337+337$6
CAPITAL ONE FINL CORPORATION 63 +63 $6
     COF63+63$6
BARRICK GOLD CORPORATION 325 +325 $6
     GOLD325+325$6
ISHARES TR RUS MID CAP ETF (IWR) 100 +100 $6
     IWR100+100$6
LIBERTY GLOBAL PLC SHS CLASS A 264 +264 $6
     LBTYA264+264$6
GRAND CANYON ED INCORPORATED 60 +60 $6
     LOPE60+60$6
LAMB WESTON HLDGS INCORPORATED 66 +66 $6
     LW66+66$6
LLOYDS BANKING GROUP PLC SPONSORED ADR 1,888 +1,888 $6
     LYG1,888+1,888$6
NEW YORK CMNTY BANCORP INCORPORATED 500 +500 $6
     NYCB500+500$6
OMEGA HEALTHCARE INVS INCORPORATED REIT 139 +139 $6
     OHI139+139$6
PLAINS ALL AMERN PIPELINE L P UNIT LTD PARTN 333 +333 $6
     PAA333+333$6
PEMBINA PIPELINE CORPORATION 166 +166 $6
     PBA166+166$6
SS&C TECHNOLOGIES HLDGS INCORPORATED 96 +96 $6
     SSNC96+96$6
TRADEWEB MKTS INCORPORATED CLASS A 139 +139 $6
     TW139+139$6
UNITED CMNTY FINL CORPORATION OHIO 500 +500 $6
     UCFC500+500$6
VANGUARD INFORMATION TECHNOLOGY ETF (VGT) 25 +25 $6
     VGT25+25$6
VORNADO RLTY TR SH BEN INT 83 +83 $6
     VNO83+83$6
SPDR MATERIALS SELECT SECTOR FUND (XLB) 94 +94 $6
     XLB94+94$6
SPDR UTILITIES SELECT SECTOR FUND (XLU) 100 +100 $6
     XLU100+100$6
ISHARES TR AGENCY BOND ETF (AGZ) 45 +45 $5
     AGZ45+45$5
CAL MAINE FOODS INCORPORATED COM NEW 125 +125 $5
     CALM125+125$5
CATHAY GENERAL BANCORP 120 +120 $5
     CATY120+120$5
COGNEX CORPORATION 85 +85 $5
     CGNX85+85$5
CHIMERA INVT CORPORATION COM NEW REIT 250 +250 $5
     CIM250+250$5
COOPER COMPANIES INCORPORATED COM NEW 16 +16 $5
     COO16+16$5
NOW INCORPORATED 419 +419 $5
     DNOW419+419$5
ENTEGRIS INCORPORATED 90 +90 $5
     ENTG90+90$5
FLUOR CORPORATION NEW 253 +253 $5
     FLR253+253$5
AMICUS THERAPEUTICS INCORPORATED 500 +500 $5
     FOLD500+500$5
GARRETT MOTION INCORPORATED 474 +474 $5
     GTX474+474$5
HUBSPOT INCORPORATED 31 +31 $5
     HUBS31+31$5
KAR AUCTION SVCS INCORPORATED 232 +232 $5
     KAR232+232$5
LITHIA MTRS INCORPORATED CLASS A 36 +36 $5
     LAD36+36$5
OSHKOSH CORPORATION 53 +53 $5
     OSK53+53$5
RITCHIE BROS AUCTIONEERS 110 +110 $5
     RBA110+110$5
ROYAL BK CDA MONTREAL QUE 61 +61 $5
     RY61+61$5
TEXAS ROADHOUSE INCORPORATED 85 +85 $5
     TXRH85+85$5
UNIVERSAL FST PRODUCTS INCORPORATED 95 +95 $5
     UFPI95+95$5
WATSCO INCORPORATED 27 +27 $5
     WSO27+27$5
AMERIS BANCORP 95 +95 $4
     ABCB95+95$4
AMEREN CORPORATION 48 +48 $4
     AEE48+48$4
AKEBIA THERAPEUTICS INCORPORATED 673 +673 $4
     AKBA673+673$4
ALAMO GROUP INCORPORATED 29 +29 $4
     ALG29+29$4
ALLEGIANT TRAVEL COMPANY 25 +25 $4
     ALGT25+25$4
AMERISAFE INCORPORATED 53 +53 $4
     AMSF53+53$4
APPLE HOSPITALITY REIT INCORPORATED COM NEW REIT 250 +250 $4
     APLE250+250$4
BRIGHTCOVE INCORPORATED 500 +500 $4
     BCOV500+500$4
BP MIDSTREAM PARTNERS LP UNIT LTD PTNR 250 +250 $4
     BPMP250+250$4
CHURCHILL DOWNS INCORPORATED 27 +27 $4
     CHDN27+27$4
CAMDEN PROPERTY TR SH BEN INT REIT 34 +34 $4
     CPT34+34$4
CRH PLC ADR 106 +106 $4
     CRH106+106$4
US ECOLOGY INCORPORATED 62 +62 $4
     ECOL62+62$4
FIVE BELOW INCORPORATED 31 +31 $4
     FIVE31+31$4
FORTIS INCORPORATED 90 +90 $4
     FTS90+90$4
LIBERTY MEDIA CORPORATION DELAWARE COM SER A FRMLA 100 +100 $4
     FWONA100+100$4
GLACIER BANCORP INCORPORATED NEW 95 +95 $4
     GBCI95+95$4
HANESBRANDS INCORPORATED 250 +250 $4
     HBI250+250$4
ICF INTERNATIONAL INCORPORATED 49 +49 $4
     ICFI49+49$4
LEGGETT & PLATT INCORPORATED 84 +84 $4
     LEG84+84$4
LHC GROUP INCORPORATED 31 +31 $4
     LHCG31+31$4
MARRIOTT INTERNATIONAL INCORPORATED NEW CLASS A 29 +29 $4
     MAR29+29$4
MCKESSON CORPORATION 31 +31 $4
     MCK31+31$4
MEREDITH CORPORATION 133 +133 $4
     MDP133+133$4
MORGAN STANLEY COM NEW 75 +75 $4
     MS75+75$4
MSC INDL DIRECT INCORPORATED CLASS A 52 +52 $4
     MSM52+52$4
MATADOR RES COMPANY 215 +215 $4
     MTDR215+215$4
NOBLE ENERGY INCORPORATED 179 +179 $4
     NBL179+179$4
NORTONLIFELOCK INCORPORATED 159 +159 $4
     NLOK159+159$4
NORTHWESTERN CORPORATION COM NEW 58 +58 $4
     NWE58+58$4
POLYONE CORPORATION 115 +115 $4
     POL115+115$4
INVESCO S&P SMALLCAP INFORMATION TECHNOLOGY ETF (PSCT) 39 +39 $4
     PSCT39+39$4
QTS RLTY TR INCORPORATED COM CLASS A REIT 80 +80 $4
     QTS80+80$4
EVEREST RE GROUP LIMITED 15 +15 $4
     RE15+15$4
STELLUS CAP INVT CORPORATION 250 +250 $4
     SCM250+250$4
STIFEL FINL CORPORATION 60 +60 $4
     SF60+60$4
SKYLINE CHAMPION CORPORATION 115 +115 $4
     SKY115+115$4
SILICON LABORATORIES INCORPORATED 33 +33 $4
     SLAB33+33$4
SILGAN HOLDINGS INCORPORATED 125 +125 $4
     SLGN125+125$4
SIMON PROPERTY GROUP INCORPORATED NEW REIT 28 +28 $4
     SPG28+28$4
STAG INDL INCORPORATED REIT 135 +135 $4
     STAG135+135$4
PIMCO 1 5 YEAR U.S. TIPS INDEX FUND (STPZ) 81 +81 $4
     STPZ81+81$4
SOLAR SR CAP LIMITED 250 +250 $4
     SUNS250+250$4
TERADYNE INCORPORATED 57 +57 $4
     TER57+57$4
VIRTUSA CORPORATION 85 +85 $4
     VRTU85+85$4
WEBSTER FINL CORPORATION CONN 69 +69 $4
     WBS69+69$4
WYNDHAM DESTINATIONS INCORPORATED 69 +69 $4
     WYND69+69$4
SPDR REAL ESTATE SELECT SECTOR FUND (XLRE) 113 +113 $4
     XLRE113+113$4
AAR CORPORATION 70 +70 $3
     AIR70+70$3
ADVANSIX INCORPORATED 173 +173 $3
     ASIX173+173$3
ATRICURE INCORPORATED 100 +100 $3
     ATRC100+100$3
BEST BUY INCORPORATED 32 +32 $3
     BBY32+32$3
BALCHEM CORPORATION 30 +30 $3
     BCPC30+30$3
BLACKROCK ENERGY & RES TR 250 +250 $3
     BGR250+250$3
CENTRAL GARDEN & PET COMPANY CLASS A NON VTG 110 +110 $3
     CENTA110+110$3
CANTEL MEDICAL CORPORATION 38 +38 $3
     CMD38+38$3
COHEN & STEERS INCORPORATED 50 +50 $3
     CNS50+50$3
CERENCE INCORPORATED 132 +132 $3
     CRNCV132+132$3
QUEST DIAGNOSTICS INCORPORATED 25 +25 $3
     DGX25+25$3
DEXCOM INCORPORATED 14 +14 $3
     DXCM14+14$3
EBAY INCORPORATED 75 +75 $3
     EBAY75+75$3
ELANCO ANIMAL HEALTH INCORPORATED 99 +99 $3
     ELAN99+99$3
ENABLE MIDSTREAM PARTNERS LP COM UNIT RP IN 250 +250 $3
     ENBL250+250$3
EOG RES INCORPORATED 32 +32 $3
     EOG32+32$3
EXLSERVICE HOLDINGS INCORPORATED 41 +41 $3
     EXLS41+41$3
GLADSTONE INVT CORPORATION 250 +250 $3
     GAIN250+250$3
WISDOMTREE CONTINUOUS COMMODITY INDEX FUND (GCC) 175 +175 $3
     GCC175+175$3
ABERDEEN STANDARD PHYSICAL PRECIOUS METALS BASKET SHARES (GLTR) 45 +45 $3
     GLTR45+45$3
HELEN OF TROY CORPORATION LIMITED 15 +15 $3
     HELE15+15$3
HOULIHAN LOKEY INCORPORATED CLASS A 60 +60 $3
     HLI60+60$3
HEARTLAND EXPRESS INCORPORATED 125 +125 $3
     HTLD125+125$3
ICU MED INCORPORATED 17 +17 $3
     ICUI17+17$3
IDACORP INCORPORATED 32 +32 $3
     IDA32+32$3
ISHARES TR GLB INFRASTR ETF (IGF) 60 +60 $3
     IGF60+60$3
IMMUNOGEN INCORPORATED 617 +617 $3
     IMGN617+617$3
ING GROEP N V SPONSORED ADR 244 +244 $3
     ING244+244$3
JOHN BEAN TECHNOLOGIES CORPORATION 25 +25 $3
     JBT25+25$3
KEURIG DR PEPPER INCORPORATED 100 +100 $3
     KDP100+100$3
LIONS GATE ENTMNT CORPORATION CLASS B NON VTG      $3
     LGF.B301+301$3
MOBILE MINI INCORPORATED 80 +80 $3
     MINI80+80$3
MEDICAL PPTYS TRUST INCORPORATED REIT 163 +163 $3
     MPW163+163$3
NATIONAL HEALTH INVS INCORPORATED REIT 40 +40 $3
     NHI40+40$3
NOVANTA INCORPORATED 32 +32 $3
     NOVT32+32$3
OLLIES BARGAIN OUTLT HLDGS INCORPORATED 40 +40 $3
     OLLI40+40$3
PATRICK INDUSTRIES INCORPORATED 60 +60 $3
     PATK60+60$3
PENNANTPARK FLOATING RATE CAP 250 +250 $3
     PFLT250+250$3
PACIFIC PREMIER BANCORP 95 +95 $3
     PPBI95+95$3
PRIMORIS SVCS CORPORATION 140 +140 $3
     PRIM140+140$3
INVESCO S&P SMALLCAP HEALTH CARE ETF (PSCH) 27 +27 $3
     PSCH27+27$3
INVESCO S&P SMALLCAP INDUSTRIALS ETF (PSCI) 42 +42 $3
     PSCI42+42$3
SEACOAST BKG CORPORATION FLA COM NEW 95 +95 $3
     SBCF95+95$3
SMILEDIRECTCLUB INCORPORATED CLASS A COM 324 +324 $3
     SDC324+324$3
SITEONE LANDSCAPE SUPPLY INCORPORATED 36 +36 $3
     SITE36+36$3
VERACYTE INCORPORATED 90 +90 $3
     VCYT90+90$3
VANGUARD FTSE EMERGING MARKETS ETF (VWO) 75 +75 $3
     VWO75+75$3
WYNDHAM HOTELS & RESORTS INCORPORATED 40 +40 $3
     WH40+40$3
WRIGHT MED GROUP N V ORD SHS 89 +89 $3
     WMGI89+89$3
WOLVERINE WORLD WIDE INCORPORATED 75 +75 $3
     WWW75+75$3
CIMAREX ENERGY COMPANY 64 +64 $3
     XEC64+64$3
XILINX INCORPORATED 29 +29 $3
     XLNX29+29$3
ARAMARK 43 +43 $2
     ARMK43+43$2
ALTICE USA INCORPORATED CLASS A 63 +63 $2
     ATUS63+63$2
BOOKING HLDGS INCORPORATED 1 +1 $2
     BKNG1+1$2
BOSTON SCIENTIFIC CORPORATION 46 +46 $2
     BSX46+46$2
COMPASS MINERALS INTERNATIONAL INCORPORATED 35 +35 $2
     CMP35+35$2
CANADIAN NAT RES LIMITED 60 +60 $2
     CNQ60+60$2
COUPA SOFTWARE INCORPORATED 16 +16 $2
     COUP16+16$2
ELECTRONIC ARTS INCORPORATED 19 +19 $2
     EA19+19$2
MERIDIAN BANCORP INCORPORATED MD 90 +90 $2
     EBSB90+90$2
EQUITY RESIDENTIAL SH BEN INT REIT 30 +30 $2
     EQR30+30$2
EXACT SCIENCES CORPORATION 25 +25 $2
     EXAS25+25$2
F M C CORPORATION COM NEW 23 +23 $2
     FMC23+23$2
GLOBANT S A 16 +16 $2
     GLOB16+16$2
MFA FINL INCORPORATED REIT 250 +250 $2
     MFA250+250$2
MOHAWK INDUSTRIES INCORPORATED 17 +17 $2
     MHK17+17$2
MOSAIC COMPANY NEW 108 +108 $2
     MOS108+108$2
MACOM TECH SOLUTIONS HLDGS INCORPORATED 85 +85 $2
     MTSI85+85$2
MICROVISION INCORPORATED DEL COM NEW 2,225 +2,225 $2
     MVIS2,225+2,225$2
ANNALY CAP MGMT INCORPORATED REIT 250 +250 $2
     NLY250+250$2
NOVO NORDISK A S ADR 26 +26 $2
     NVO26+26$2
OXFORD INDUSTRIES INCORPORATED 30 +30 $2
     OXM30+30$2
PEBBLEBROOK HOTEL TR REIT 60 +60 $2
     PEB60+60$2
POWER INTEGRATIONS INCORPORATED 21 +21 $2
     POWI21+21$2
PRA GROUP INCORPORATED 60 +60 $2
     PRAA60+60$2
PROSPECT CAPITAL CORPORATION 250 +250 $2
     PSEC250+250$2
PVH CORPORATION 16 +16 $2
     PVH16+16$2
ROGERS CORPORATION 20 +20 $2
     ROG20+20$2
TOLL BROTHERS INCORPORATED 45 +45 $2
     TOL45+45$2
TWILIO INCORPORATED CLASS A 20 +20 $2
     TWLO20+20$2
UNITED BANKSHARES INCORPORATED WEST VA (UBSI) 55 +55 $2
     UBSI55+55$2
WHIRLPOOL CORPORATION 13 +13 $2
     WHR13+13$2
WPX ENERGY INCORPORATED 145 +145 $2
     WPX145+145$2
DENTSPLY SIRONA INCORPORATED 39 +39 $2
     XRAY39+39$2
VIACOMCBS INCORPORATED CLASS B 28 +28 $1
     CBS28+28$1
CENTRAL GARDEN & PET COMPANY 45 +45 $1
     CENT45+45$1
CHUYS HLDGS INCORPORATED 52 +52 $1
     CHUY52+52$1
CAPRI HOLDINGS LIMITED SHS 18 +18 $1
     CPRI18+18$1
D R HORTON INCORPORATED 16 +16 $1
     DHI16+16$1
DRIL QUIP INCORPORATED 30 +30 $1
     DRQ30+30$1
DXC TECHNOLOGY COMPANY 24 +24 $1
     DXC24+24$1
GUARDANT HEALTH INCORPORATED 19 +19 $1
     GH19+19$1
HOVNANIAN ENTERPRISES INCORPORATED CLASS A NEW 49 +49 $1
     HOV49+49$1
KOHLS CORPORATION 25 +25 $1
     KSS25+25$1
KONTOOR BRANDS INCORPORATED 23 +23 $1
     KTB23+23$1
LYFT INCORPORATED CLASS A COM 21 +21 $1
     LYFT21+21$1
MATTEL INCORPORATED 100 +100 $1
     MAT100+100$1
ROYAL CARIBBEAN CRUISES LIMITED 10 +10 $1
     RCL10+10$1
SHERWIN WILLIAMS COMPANY 2 +2 $1
     SHW2+2$1
SPIRIT AEROSYSTEMS HLDGS INCORPORATED COM CLASS A 10 +10 $1
     SPR10+10$1
CONTAINER STORE GROUP INCORPORATED 300 +300 $1
     TCS300+300$1
T MOBILE US INCORPORATED 18 +18 $1
     TMUS18+18$1
XEROX HOLDINGS CORPORATION COM NEW 22 +22 $1
     XRX22+22$1
ALCOA CORPORATION 22 +22 <$1
     AA22+22$0
BRIGHTHOUSE FINL INCORPORATED 12 +12 <$1
     BHF12+12$0
INVESCO QQQ 2 +2 <$1
     QQQ2+2$0
TELLURIAN INCORPORATED NEW 60 +60 <$1
     TELL60+60$0
TUPPERWARE BRANDS CORPORATION 55 +55 $0
     TUP55+55$0
GOLDMAN SACHS ACCESS TREASURY 0 1 YEAR ETF $0 (exited)
     GBIL0-3,000$0
OLD REP INTERNATIONAL CORPORATION 0 -12,881 $0 (exited)
     ORI0-12,881$0

See Summary: Allred Capital Management LLC Top Holdings
See Details: Top 10 Stocks Held By Allred Capital Management LLC

EntityShares/Amount
Change
Position Value
Change
EVT +17,158+$438
HBAN +21,603+$326
NEM +6,245+$271
ETV +15,500+$232
RTN +975+$214
TROW +1,688+$206
IVV +621+$201
TSLA +470+$197
TU +4,976+$192
ZBH +1,274+$191
EntityShares/Amount
Change
Position Value
Change
ORI -12,881-$300
GBIL -3,000-$300
EntityShares/Amount
Change
Position Value
Change
NAVB +12,810+$22
ZIOP +2,500+$25
MCD +186$UNCH
SLB +80+$139
HON +52+$101
BMY +40+$157
STZ +33-$54
AMGN +26+$226
AFL +26+$12
ABT +20+$36
EntityShares/Amount
Change
Position Value
Change
ATHX -15,000-$19
USMV -13,776-$626
XLP -8,338-$501
XLF -8,172-$198
RF -8,079-$120
XLK -7,972-$523
XLV -6,747-$487
MO -5,727-$194
DAN -5,300-$54
Size ($ in 1000's)
At 12/31/2019: $183,098
At 09/30/2019: $164,505

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

All Stocks Held By Allred Capital Management LLC | www.HoldingsChannel.com

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