HoldingsChannel.com
All Stocks Held By American Financial Advisors LLC
As of  03/31/2020
   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Vanguard Small Cap Growth (VBK) 172,925 +16,809 $29,807
     VBK172,925+16,809$29,807
iShares Rus 1000 (IWB) 179,817 +48,286 $28,447
     IWB179,817+48,286$28,447
Invesco QQQ Trust 113,270 +6,002 $24,416
     QQQ113,270+6,002$24,416
Vanguard Div Apprec (VIG) 198,718 -88,659 $22,659
     VIG198,718-88,659$22,659
iShares Invst Grd Crp Bnd (LQD) 159,874 -7,001 $20,599
     LQD159,874-7,001$20,599
First TRUST Capital (FTCS) 370,632 +359,476 $20,473
     FTCS370,632+359,476$20,473
First Tr Exchange Traded Fd IV (LMBS) 390,082 -105,919 $20,097
     LMBS390,082-105,919$20,097
First Trust TCW Opp Fixed Inc (FIXD) 363,166 -81,003 $19,505
     FIXD363,166-81,003$19,505
PowerShares S & P Smallcap Low (XSLV) 571,203 +571,203 $19,318
     XSLV571,203+571,203$19,318
SPDR S&P Biotech ETF (XBI) 191,292 -7,041 $18,805
     XBI191,292-7,041$18,805
iShares S&P MidCap 400 (IJH) 114,546 +20,334 $18,446
     IJH114,546+20,334$18,446
First Trust Senior Loan ETF (FTSL) 411,854 +97,605 $18,088
     FTSL411,854+97,605$18,088
iShares EAFE Small Cap (SCZ) 353,229 -58,102 $16,958
     SCZ353,229-58,102$16,958
FT Emrging Mkts Sml Cap 611,206 +611,206 $16,789
     FEMS611,206+611,206$16,789
FT Emerging Markets 856,946 +856,946 $16,470
     FEM856,946+856,946$16,470
Berkshire Hathaway Class B      $15,809
     BRK.B84,337-31,683$15,809
DNP Select Income Fund (DNP) 1,436,539 -204,421 $15,729
     DNP1,436,539-204,421$15,729
Schwab Intl Equities 571,410 -79,581 $15,485
     SCHF571,410-79,581$15,485
Vanguard Total Intl Bd Idx (BNDX) 263,618 +23,953 $15,018
     BNDX263,618+23,953$15,018
First Trust Preferred ETF (FPE) 806,351 +138,076 $14,369
     FPE806,351+138,076$14,369
First Trust SSI Strategic Conv (FCVT) 444,926 +85,458 $14,015
     FCVT444,926+85,458$14,015
Vanguard Intl Dividend (VIGI) 208,577 +55,458 $12,921
     VIGI208,577+55,458$12,921
Vanguard Long Term (VGLT) 122,527 +119,627 $12,532
     VGLT122,527+119,627$12,532
First Tr Exchange Traded Fd IV (HYLS) 273,969 +273,969 $12,214
     HYLS273,969+273,969$12,214
iShares Emrg Mkts Bnd (EMB) 118,445 +27,491 $11,581
     EMB118,445+27,491$11,581
Welltower Inc. 205,380 +62,103 $9,435
     WELL205,380+62,103$9,435
Medical Properties Trust 577,942 +20,928 $9,426
     MPW577,942+20,928$9,426
Spdr S&P Aerospace (XAR) 118,036 +33,239 $9,290
     XAR118,036+33,239$9,290
Real Estate Select Sctr 217,725 +217,725 $7,411
     XLRE217,725+217,725$7,411
Vangd Emerg Mkts Viper 182,929 -385,332 $6,539
     VWO182,929-385,332$6,539
iShares Barclays TIPS (TIP) 43,264 -93,089 $5,276
     TIP43,264-93,089$5,276
iShares MSCI EAFE (EFA) 74,578 -7,778 $4,171
     EFA74,578-7,778$4,171
Lilly Eli & Company 24,293 UNCH $3,918
     LLY24,293UNCH$3,918
iShares Lehman 7 10 Bd (IEF) 29,946 -107,751 $3,638
     IEF29,946-107,751$3,638
SPDR DJ REIT (RWR) 46,754 -80,956 $3,557
     RWR46,754-80,956$3,557
Apple Computer Inc 9,098 +1,204 $2,576
     AAPL9,098+1,204$2,576
Amazon Com Inc 1,020 -276 $2,424
     AMZN1,020-276$2,424
SPDR Health Fund (XLV) 22,854 -18,389 $2,321
     XLV22,854-18,389$2,321
iShares Intl Value (EFV) 61,790 -99,317 $2,271
     EFV61,790-99,317$2,271
WisdomTree Emerg Mkts SmallCap 50,428 -283,424 $1,815
     DGS50,428-283,424$1,815
Home Depot Inc 7,777 +1,399 $1,693
     HD7,777+1,399$1,693
First Trust Short Maturity ETF (FTSM) 27,708 -33,212 $1,651
     FTSM27,708-33,212$1,651
Vangd Ttl Stk Mkt 11,360 -503 $1,637
     VTI11,360-503$1,637
iShares Rus 2000 Value (IWN) 17,508 -593 $1,560
     IWN17,508-593$1,560
iShares HiYield Corp Bond (HYG) 19,832 -112,658 $1,559
     HYG19,832-112,658$1,559
iShares ShrtTerm Corp Bnd ETF (IGSB) 28,806 -101,708 $1,538
     IGSB28,806-101,708$1,538
IShares MBS ETF (MBB) 13,798 -42,614 $1,523
     MBB13,798-42,614$1,523
Delta Air Lines Inc 58,655 +6,174 $1,299
     DAL58,655+6,174$1,299
Invesco S&P 500 Tech Eq Wght 6,293 -477 $1,129
     RYT6,293-477$1,129
iShares Rus 2000 (IWM) 8,822 -515 $1,122
     IWM8,822-515$1,122
iShares Rus 1000 Val (IWD) 10,206 -654 $1,116
     IWD10,206-654$1,116
Microsoft Corp 6,120 -82 $1,065
     MSFT6,120-82$1,065
iShares S&P Ntl AMT Free Muni (MUB) 9,328 -1,987 $1,042
     MUB9,328-1,987$1,042
Vangd REIT Viper 12,537 +67 $943
     VNQ12,537+67$943
iShares S&P 500 (IVV) 2,746 -217 $791
     IVV2,746-217$791
Disney Walt Hldg Co 6,889 +3,896 $730
     DIS6,889+3,896$730
Alphabet Inc Class A 512 +512 $650
     GOOGL512+512$650
Coca Cola 13,288 +628 $621
     KO13,288+628$621
iShares S&P 500 Grw (IVW) 3,042 -120 $563
     IVW3,042-120$563
Intel Corp 9,188 -141 $546
     INTC9,188-141$546
iShares Emer Mkts Min. Vol (EEMV) 10,391 -1 $520
     EEMV10,391-1$520
iShares FTSE REIT (REZ) 8,904 -1,080 $511
     REZ8,904-1,080$511
Facebook Inc Class A 2,530 +419 $474
     FB2,530+419$474
Flaherty & Crumrine Clay 23,543 -7,436 $446
     FFC23,543-7,436$446
iShares S&P 600 Val (IJS) 3,976 +27 $433
     IJS3,976+27$433
Schwab US Lrg ETF (SCHX) 5,676 -23 $388
     SCHX5,676-23$388
Johnson & Johnson 2,480 +118 $382
     JNJ2,480+118$382
iShares Inc Core Msci Emerging (IEMG) 8,823 +129 $381
     IEMG8,823+129$381
Doubleline Inc Solutions 28,674 -2,991 $362
     DSL28,674-2,991$362
Invesco Russell MdCp Pure Grwt 6,601 +1 $355
     XMMO6,601+1$355
Southern Copper Corporation 10,832 +54 $352
     SCCO10,832+54$352
Verizon Communications 6,028 -24 $348
     VZ6,028-24$348
General Electric 54,041 +54,041 $347
     GE54,041+54,041$347
Boeing Aircraft 2,644 +2,644 $340
     BA2,644+2,644$340
First Trust Biotech (FBT) 2,085 +2,085 $330
     FBT2,085+2,085$330
iShares MSCI Total Intl Stk (IXUS) 6,427 +161 $319
     IXUS6,427+161$319
Carnival Corp 24,461 +24,461 $317
     CCL24,461+24,461$317
SPDR Fincl Select (XLF) 14,014 +5,224 $315
     XLF14,014+5,224$315
SPDR Dow Jones Global RE (RWO) 8,037 -1,644 $301
     RWO8,037-1,644$301
Schwab US Smallcap 5,016 +6 $289
     SCHA5,016+6$289
Weyerhauser 13,137 -119 $271
     WY13,137-119$271
Cisco Systems Inc 6,003 +65 $258
     CSCO6,003+65$258
Alibaba Group Hldg Adr 1,263 -339 $257
     BABA1,263-339$257
The Southern Company 4,249 +38 $248
     SO4,249+38$248
Starbucks Corp 3,006 +3,006 $233
     SBUX3,006+3,006$233
United Healthcare Corp 768 +768 $225
     UNH768+768$225
iShares Dev REIT ex US (IFGL) 9,946 -2 $219
     IFGL9,946-2$219
iShares Barclays Agg Bond (AGG) 1,843 -107 $215
     AGG1,843-107$215
Pepsico Incorporated 1,535 +25 $206
     PEP1,535+25$206
Ssga Active Etf Tr Spdr Tr Tac (TOTL) 4,213 -335 $204
     TOTL4,213-335$204
Annaly Mortg Mgmt 32,494 +1,969 $193
     NLY32,494+1,969$193
Biosig Tech Inc Com New 20,424 -1,484 $189
     COM20,424-1,484$189
Amarin Corp Plc 14,922 +4,000 $117
     AMRN14,922+4,000$117
Energy Transfer LP 11,097 +11,097 $80
     ET11,097+11,097$80
Amyris Inc 22,000 +1,000 $62
     AMRS22,000+1,000$62
Credit Suisse Asset Mgmt 10,678 +184 $25
     CIK10,678+184$25
Nabriva Therapeutics 12,000 +0 $6
     NBRV12,000UNCH$6
iShares DJ Sel Div $0 (exited)
     DVY0-2,172$0
iShares S&P 600 $0 (exited)
     IJR0-3,145$0
PIMCO Dynamic Credit Income $0 (exited)
     PCI0-8,894$0
Invesco High Yield Eq Div Achiev $0 (exited)
     PEY0-12,543$0
Schwab US Div Equity ETF $0 (exited)
     SCHD0-3,699$0
AT&T Inc $0 (exited)
     T0-6,835$0
United Parcel Service B $0 (exited)
     UPS0-1,854$0
Vanguard Short Term TIP $0 (exited)
     VTIP0-9,896$0
Spdr Industrials $0 (exited)
     XLI0-3,931$0
Exxon Mobil Corporation $0 (exited)
     XOM0-3,728$0
Ishares Tr Exponential Tech 0 -5,840 $0 (exited)
     XT0-5,840$0

See Summary: American Financial Advisors LLC Top Holdings
See Details: Top 10 Stocks Held By American Financial Advisors LLC

EntityShares/Amount
Change
Position Value
Change
XSLV +571,203+$19,318
FEMS +611,206+$16,789
FEM +856,946+$16,470
HYLS +273,969+$12,214
XLRE +217,725+$7,411
GOOGL +512+$650
GE +54,041+$347
BA +2,644+$340
FBT +2,085+$330
CCL +24,461+$317
EntityShares/Amount
Change
Position Value
Change
VTIP -9,896-$486
XLI -3,931-$305
XOM -3,728-$266
T -6,835-$256
IJR -3,145-$245
PEY -12,543-$229
XT -5,840-$225
UPS -1,854-$221
DVY -2,172-$221
PCI -8,894-$217
EntityShares/Amount
Change
Position Value
Change
FTCS +359,476+$19,843
FPE +138,076+$1,177
VGLT +119,627+$12,278
FTSL +97,605+$3,186
FCVT +85,458+$2,810
WELL +62,103-$3,501
VIGI +55,458+$2,760
IWB +48,286+$6,918
XAR +33,239+$206
EMB +27,491+$1,282
EntityShares/Amount
Change
Position Value
Change
VWO -385,332-$16,271
DGS -283,424-$12,911
DNP -204,421-$5,489
HYG -112,658-$9,977
IEF -107,751-$11,836
LMBS -105,919-$5,660
IGSB -101,708-$5,463
EFV -99,317-$5,343
TIP -93,089-$10,567
Size ($ in 1000's)
At 03/31/2020: $557,914
At 12/31/2019: $570,298

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

All Stocks Held By American Financial Advisors LLC | www.HoldingsChannel.com

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