HoldingsChannel.com
All Stocks Held By American Financial Advisors LLC
As of  06/30/2019
   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
Berkshire Hathaway Class B      $33,428
     BRK.B156,817-431$33,428
First Trust Senior Loan ETF (FTSL) 650,908 +61,768 $30,670
     FTSL650,908+61,768$30,670
Vanguard Div Apprec (VIG) 260,104 -2,135 $29,953
     VIG260,104-2,135$29,953
Vanguard Small Cap Growth (VBK) 148,360 -819 $27,626
     VBK148,360-819$27,626
First Tr Exchange Traded Fd IV (LMBS) 513,606 +57,429 $26,543
     LMBS513,606+57,429$26,543
Vangd Emerg Mkts Viper 526,874 +9,681 $22,407
     VWO526,874+9,681$22,407
iShares EAFE Small Cap (SCZ) 364,002 +42,359 $20,893
     SCZ364,002+42,359$20,893
First Trust TCW Opp Fixed Inc (FIXD) 381,635 +40,911 $19,764
     FIXD381,635+40,911$19,764
Schwab Intl Equities 609,309 +7,762 $19,552
     SCHF609,309+7,762$19,552
iShares Rus 1000 (IWB) 112,372 -2,343 $18,293
     IWB112,372-2,343$18,293
iShares S&P MidCap 400 (IJH) 88,880 +188 $17,265
     IJH88,880+188$17,265
iShares Barclays TIPS (TIP) 149,357 +4,644 $17,249
     TIP149,357+4,644$17,249
Invesco QQQ Trust 88,257 +708 $16,481
     QQQ88,257+708$16,481
iShares Intl Value (EFV) 316,894 +8,400 $15,233
     EFV316,894+8,400$15,233
DNP Select Income Fund (DNP) 1,252,005 +56,118 $14,798
     DNP1,252,005+56,118$14,798
SPDR S&P Biotech ETF (XBI) 155,601 +1,279 $13,647
     XBI155,601+1,279$13,647
SPDR DJ REIT (RWR) 127,760 -1,450 $12,622
     RWR127,760-1,450$12,622
Welltower Inc. 146,565 +2,218 $11,949
     WELL146,565+2,218$11,949
iShares HiYield Corp Bond (HYG) 122,397 +3,678 $10,670
     HYG122,397+3,678$10,670
First Trust Preferred ETF (FPE) 536,443 +62,064 $10,401
     FPE536,443+62,064$10,401
iShares Emrg Mkts Bnd (EMB) 85,800 -2,904 $9,720
     EMB85,800-2,904$9,720
iShares Invst Grd Crp Bnd (LQD) 77,318 +1,693 $9,616
     LQD77,318+1,693$9,616
iShares Lehman 7 10 Bd (IEF) 81,123 +6,176 $8,925
     IEF81,123+6,176$8,925
Medical Properties Trust 492,391 +20,833 $8,587
     MPW492,391+20,833$8,587
Spdr S&P Aerospace (XAR) 76,093 +2,937 $7,907
     XAR76,093+2,937$7,907
First Trust SSI Strategic Conv (FCVT) 225,483 +27,347 $7,068
     FCVT225,483+27,347$7,068
iShares MSCI EAFE (EFA) 99,011 -10,152 $6,508
     EFA99,011-10,152$6,508
First Trust Short Maturity ETF (FTSM) 102,117 +9,782 $6,132
     FTSM102,117+9,782$6,132
IShares MBS ETF (MBB) 45,091 +5,139 $4,851
     MBB45,091+5,139$4,851
iShares ShrtTerm Corp Bnd ETF (IGSB) 62,102 +818 $3,318
     IGSB62,102+818$3,318
Delta Air Lines Inc 57,966 +3,819 $3,289
     DAL57,966+3,819$3,289
Lilly Eli & Company 24,293 UNCH $2,691
     LLY24,293UNCH$2,691
SPDR Health Fund (XLV) 26,663 +896 $2,470
     XLV26,663+896$2,470
iShares Rus 2000 Value (IWN) 19,372 -772 $2,334
     IWN19,372-772$2,334
Amazon Com Inc 1,107 -15 $2,097
     AMZN1,107-15$2,097
Flaherty & Crumrine Clay 90,889 -81,095 $1,811
     FFC90,889-81,095$1,811
Vanguard Intl Dividend (VIGI) 26,333 +26,333 $1,791
     VIGI26,333+26,333$1,791
iShares Rus 2000 (IWM) 11,312 -318 $1,759
     IWM11,312-318$1,759
Vangd Ttl Stk Mkt 11,658 -639 $1,749
     VTI11,658-639$1,749
iShares Rus 1000 Val (IWD) 13,168 -835 $1,675
     IWD13,168-835$1,675
Invesco S&P 500 Tech Eq Wght 8,048 -1,756 $1,428
     RYT8,048-1,756$1,428
Doubleline Inc Solutions 71,355 -13,209 $1,424
     DSL71,355-13,209$1,424
Apple Computer Inc 7,006 -128 $1,386
     AAPL7,006-128$1,386
iShares S&P 500 (IVV) 4,684 -4 $1,380
     IVV4,684-4$1,380
Vangd REIT Viper 15,244 -1,969 $1,332
     VNQ15,244-1,969$1,332
Home Depot Inc 6,270 +146 $1,303
     HD6,270+146$1,303
Vanguard Total Intl Bd Idx (BNDX) 19,222 -2,887 $1,101
     BNDX19,222-2,887$1,101
Microsoft Corp 6,973 -245 $934
     MSFT6,973-245$934
iShares S&P Ntl AMT Free Muni (MUB) 7,867 +3,186 $889
     MUB7,867+3,186$889
Ssga Active Etf Tr Spdr Tr Tac (TOTL) 17,905 -18,171 $878
     TOTL17,905-18,171$878
iShares FTSE REIT (REZ) 11,555 -520 $842
     REZ11,555-520$842
iShares Emer Mkts Min. Vol (EEMV) 13,379 -806 $787
     EEMV13,379-806$787
SPDR Dow Jones Global RE (RWO) 14,842 -8,111 $740
     RWO14,842-8,111$740
iShares S&P 600 Val (IJS) 4,604 +346 $684
     IJS4,604+346$684
iShares S&P 500 Grw (IVW) 3,800 -22 $681
     IVW3,800-22$681
Coca Cola 12,604 +180 $641
     KO12,604+180$641
First TRUST Capital (FTCS) 9,614 +1,252 $542
     FTCS9,614+1,252$542
iShares Inc Core Msci Emerging (IEMG) 9,413 +960 $484
     IEMG9,413+960$484
Spdr Industrials (XLI) 6,201 -2,735 $480
     XLI6,201-2,735$480
iShares TRUST High Dividend Et (HDV) 5,041 -2,023 $476
     HDV5,041-2,023$476
Intel Corp 9,760 +111 $467
     INTC9,760+111$467
Vanguard Short Term TIP (VTIP) 9,387 +9,387 $462
     VTIP9,387+9,387$462
Facebook Inc Class A 2,311 -75 $446
     FB2,311-75$446
Southern Copper Corporation 11,193 +39 $434
     SCCO11,193+39$434
iShares MSCI Total Intl Stk (IXUS) 7,117 +550 $417
     IXUS7,117+550$417
iShares Dev REIT ex US (IFGL) 13,625 -97 $406
     IFGL13,625-97$406
Schwab US Lrg ETF (SCHX) 5,548 +516 $389
     SCHX5,548+516$389
Invesco Russell MdCp Pure Grwt 6,599 UNCH $388
     PXMG6,599UNCH$388
Ishares Tr Exponential Tech (XT) 9,828 -1,020 $379
     XT9,828-1,020$379
Disney Walt Hldg Co 2,666 +403 $372
     DIS2,666+403$372
Invesco High Yield Eq Div Achi 20,376 +87 $369
     PEY20,376+87$369
Johnson & Johnson 2,507 -288 $349
     JNJ2,507-288$349
Weyerhauser 13,059 +107 $343
     WY13,059+107$343
Schwab US Smallcap 4,694 +323 $335
     SCHA4,694+323$335
PIMCO Dynamic Credit Income 13,589 -933 $324
     PCI13,589-933$324
Exxon Mobil Corporation 4,122 -1,232 $315
     XOM4,122-1,232$315
Annaly Mortg Mgmt 33,723 -16,050 $307
     NLY33,723-16,050$307
Verizon Communications 5,310 -1,162 $303
     VZ5,310-1,162$303
iShares S&P 600 (IJR) 3,770 -206 $295
     IJR3,770-206$295
OShares Global Internet (OGIG) 11,829 -302 $295
     OGIG11,829-302$295
SPDR Engy Select (XLE) 4,568 -901 $291
     XLE4,568-901$291
Cisco Systems Inc 5,219 -113 $285
     CSCO5,219-113$285
iShares DJ Sel Div (DVY) 2,794 -1,784 $278
     DVY2,794-1,784$278
The Southern Company 4,898 -2,529 $270
     SO4,898-2,529$270
Spdr Blmbrg Brcly Inv Gr (FLRN) 8,569 -5,640 $263
     FLRN8,569-5,640$263
Alibaba Group Hldg Adr 1,518 -100 $257
     BABA1,518-100$257
iShares Barclays Agg Bond (AGG) 2,236 -479 $249
     AGG2,236-479$249
AT&T Inc 6,767 -4,144 $226
     T6,767-4,144$226
Pepsico Incorporated 1,548 +1,548 $203
     PEP1,548+1,548$203
Biosig Tech Inc Com New 21,340 +6,000 $200
     COM21,340+6,000$200
Rogers Intl Commodity 37,453 -129,821 $195
     RJI37,453-129,821$195
General Electric 11,572 -976 $121
     GE11,572-976$121
Amyris Inc 21,000 +5,000 $74
     AMRS21,000+5,000$74
Credit Suisse Asset Mgmt 10,266 +112 $31
     CIK10,266+112$31
SunWorks 24,285 +24,285 $13
     SUNW24,285+24,285$13
Vanguard Bond Index Fund $0 (exited)
     BND0-3,260$0
Cannabis Science Inc $0 (exited)
     CBIS0-10,131$0
Linde Plc $0 (exited)
     LIN0-1,329$0
Minnesota Mining & Mfg $0 (exited)
     MMM0-1,418$0
Plug Power Inc $0 (exited)
     PLUG0-10,000$0
Invesco S&P 500 Eq Wght ETF $0 (exited)
     RSP0-3,315$0
S&P 500 Spdr Trst $0 (exited)
     SPY0-768$0
Spdr Blackstone Gso $0 (exited)
     SRLN0-4,465$0
Vanguard MSCI EAFE ETF 0 -5,283 $0 (exited)
     VEA0-5,283$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
VIGI +26,333+$1,791
VTIP +9,387+$462
PEP +1,548+$203
SUNW +24,285+$13
EntityShares/Amount
Change
Position Value
Change
RSP -3,315-$346
MMM -1,418-$294
BND -3,260-$264
LIN -1,329-$233
SPY -768-$216
VEA -5,283-$215
SRLN -4,465-$205
PLUG -10,000-$24
Cannabis Science Inc -10,131$UNCH
EntityShares/Amount
Change
Position Value
Change
FPE +62,064+$1,360
FTSL +61,768+$2,922
LMBS +57,429+$3,151
DNP +56,118+$1,010
SCZ +42,359+$2,418
FIXD +40,911+$2,537
FCVT +27,347+$1,045
MPW +20,833-$141
FTSM +9,782+$594
VWO +9,681+$427
EntityShares/Amount
Change
Position Value
Change
RJI -129,821-$693
FFC -81,095-$1,441
TOTL -18,171-$866
NLY -16,050-$190
DSL -13,209-$261
EFA -10,152-$572
RWO -8,111-$408
FLRN -5,640-$173
T -4,144-$116
Size ($ in 1000's)
At 06/30/2019: $512,505
At 03/31/2019: $490,442

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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