HoldingsChannel.com
All Stocks Held By Kavar Capital Partners LLC
As of  06/30/2019
   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
Guggenheim S&P 500 Equal (RSP) 93,247 +813 $10,052
     RSP93,247+813$10,052
Schwab US Large Cap ETF (SCHX) 120,503 +27,063 $8,458
     SCHX120,503+27,063$8,458
Apple Inc 37,928 +568 $7,507
     AAPL37,928+568$7,507
Thermo Fisher Scientific 23,092 -454 $6,782
     TMO23,092-454$6,782
Vanguard Dividend Appreciation ETF (VIG) 58,059 +2 $6,686
     VIG58,059+2$6,686
Procter & Gamble 59,400 +1,421 $6,513
     PG59,400+1,421$6,513
Schwab International Equity ETF (SCHF) 200,744 +24,031 $6,442
     SCHF200,744+24,031$6,442
Becton Dickinson & Co 25,139 +1,025 $6,335
     BDX25,139+1,025$6,335
Berkshire Hathaway B New      $6,163
     BRK.B27,417+683$5,845
     BRK.A1UNCH$318
Danaher Corp Del 42,820 +790 $6,120
     DHR42,820+790$6,120
Google Inc Class A 5,159 +489 $5,586
     GOOGL5,159+489$5,586
Starbucks Corp 63,026 +1,484 $5,283
     SBUX63,026+1,484$5,283
Unilever Plc ADR 84,781 +1,200 $5,254
     UL84,781+1,200$5,254
Diageo Plc New Adr 29,592 +452 $5,099
     DEO29,592+452$5,099
Johnson & Johnson 29,697 +1,991 $4,136
     JNJ29,697+1,991$4,136
Nike Inc Class B 47,753 -1,220 $4,009
     NKE47,753-1,220$4,009
Verizon Communications 67,778 +2,846 $3,872
     VZ67,778+2,846$3,872
Mondelez Intl Inc Cl A 68,590 +607 $3,697
     MDLZ68,590+607$3,697
Steris Corp 24,825 +650 $3,696
     STE24,825+650$3,696
Walt Disney Co. 26,211 +475 $3,660
     DIS26,211+475$3,660
Baxter International Inc 42,225 +2,500 $3,458
     BAX42,225+2,500$3,458
A T & T Inc New 99,006 +2,914 $3,318
     T99,006+2,914$3,318
Schwab Emerging Markets ETF (SCHE) 125,244 +7,921 $3,286
     SCHE125,244+7,921$3,286
Abbott Laboratories 38,142 +750 $3,208
     ABT38,142+750$3,208
Cerner Corp 43,257 +3,354 $3,171
     CERN43,257+3,354$3,171
Altria Group Inc 66,727 +2,951 $3,160
     MO66,727+2,951$3,160
Anheuser Busc Inbev Adrf 34,140 +400 $3,022
     BUD34,140+400$3,022
Schwab US Mid Cap ETF (SCHM) 50,009 +6,633 $2,855
     SCHM50,009+6,633$2,855
Gilead Sciences Inc 41,910 +2,680 $2,831
     GILD41,910+2,680$2,831
McDonalds Corp 13,602 +285 $2,825
     MCD13,602+285$2,825
Microsoft Corp 21,042 +470 $2,819
     MSFT21,042+470$2,819
Exxon Mobil Corporation 36,659 +198 $2,809
     XOM36,659+198$2,809
Sysco Corporation 39,105 +1,625 $2,766
     SYY39,105+1,625$2,766
BB&T Corporation 55,607 +1,789 $2,732
     BBT55,607+1,789$2,732
Auto Data Processing 15,479 +50 $2,559
     ADP15,479+50$2,559
Capitol Fed Finl Inc 183,111 +1,700 $2,521
     CFFN183,111+1,700$2,521
Schwab US Small Cap ETF (SCHA) 34,631 +8,345 $2,475
     SCHA34,631+8,345$2,475
Abbvie Inc 33,696 +3,700 $2,450
     ABBV33,696+3,700$2,450
Southwest Airlines Co 47,848 +1,550 $2,430
     LUV47,848+1,550$2,430
Constellation Brand Cl A 12,027 +595 $2,369
     STZ12,027+595$2,369
Philip Morris Intl Inc 29,998 +625 $2,356
     PM29,998+625$2,356
Nvidia Corp 14,111 +14,111 $2,317
     NVDA14,111+14,111$2,317
Quest Diagnostic Inc 22,400 +1,100 $2,281
     DGX22,400+1,100$2,281
Emerson Electric Co 33,389 +1,225 $2,228
     EMR33,389+1,225$2,228
The Charles Schwab Corp 53,202 +3,370 $2,138
     SCHW53,202+3,370$2,138
Coca Cola Company 40,722 +1,550 $2,074
     KO40,722+1,550$2,074
The Southern Company 37,076 +1,400 $2,050
     SO37,076+1,400$2,050
Glaxosmithkline Plc ADR 50,080 +2,635 $2,004
     GSK50,080+2,635$2,004
JP Morgan Chase & Co 16,941 +494 $1,894
     JPM16,941+494$1,894
Toronto Dominion Bank 31,940 -675 $1,864
     TD31,940-675$1,864
3M Company 10,703 +1,000 $1,855
     MMM10,703+1,000$1,855
Peoples United Finl Inc 100,106 -1,825 $1,680
     PBCT100,106-1,825$1,680
Visa Inc Cl A 9,478 +16 $1,645
     V9,478+16$1,645
Yum Brands Inc 14,783 -19 $1,636
     YUM14,783-19$1,636
Molson Coors Brewing Clb 28,286 +268 $1,584
     TAP28,286+268$1,584
Pfizer Incorporated 36,171 +176 $1,567
     PFE36,171+176$1,567
First Finl Bancorp Ohio 64,500 -3,500 $1,562
     FFBC64,500-3,500$1,562
Novo Nordisk A S 30,012 +4,213 $1,532
     NVO30,012+4,213$1,532
BP Plc Adr 35,135 -2,700 $1,465
     BP35,135-2,700$1,465
Goldman Sachs Group Inc 7,101 +46 $1,453
     GS7,101+46$1,453
B C E Inc New 31,546 -750 $1,435
     BCE31,546-750$1,435
Iron Mountain Inc New 41,700 +11,700 $1,305
     IRM41,700+11,700$1,305
Euronet Worldwide Inc 6,885 UNCH $1,158
     EEFT6,885UNCH$1,158
Conoco Phillips 17,752 +623 $1,083
     COP17,752+623$1,083
Home Depot Inc 4,844 +10 $1,007
     HD4,844+10$1,007
Kraft Heinz Company 32,441 -4,256 $1,007
     KHC32,441-4,256$1,007
Oneok Inc New 14,500 UNCH $998
     OKE14,500UNCH$998
Amazon Com Inc 491 +8 $930
     AMZN491+8$930
Dupont De Nemours Inc 12,119 +12,119 $910
     DD12,119+12,119$910
Vodafone Group New Adr 51,790 +7,600 $846
     VOD51,790+7,600$846
Air Prod & Chemicals Inc 3,250 +250 $736
     APD3,250+250$736
Ares Capital Corp 39,150 +2,000 $702
     ARCC39,150+2,000$702
US Bancorp Del New 12,734 UNCH $667
     USB12,734UNCH$667
Intel Corp 13,315 +651 $637
     INTC13,315+651$637
Dow Chemical Company 12,339 +12,339 $608
     DOW12,339+12,339$608
Tortoise Egy Infrastruct 26,571 +1,500 $599
     TYG26,571+1,500$599
Enterprise Prd Prtnrs LP 20,050 -250 $579
     EPD20,050-250$579
Schwab US Dividend Equity ETF (SCHD) 10,815 +2,867 $574
     SCHD10,815+2,867$574
Oaktree Cap Grp Llc 11,425 UNCH $566
     OAK11,425UNCH$566
MFA Financial Inc 55,000 +25,000 $559
     MFA55,000+25,000$559
Bank Of Nova Scotia 10,000 -150 $544
     BNS10,000-150$544
Energy Transfer Equity LP 38,600 +38,600 $543
     ET38,600+38,600$543
iShares MSCI EAFE Small Cap ETF (SCZ) 9,339 -392 $536
     SCZ9,339-392$536
Paypal Holdings Inco 4,425 UNCH $506
     PYPL4,425UNCH$506
Enbridge Inc 13,752 UNCH $496
     ENB13,752UNCH$496
Magellan Midstream Partners LP 7,500 UNCH $480
     MMP7,500UNCH$480
Griffon Corp 25,675 UNCH $434
     GFF25,675UNCH$434
Alps TRUST Etf (AMLP) 43,876 UNCH $432
     AMLP43,876UNCH$432
SPDR S&P 500 Growth (SPYG) 10,958 +10,958 $424
     SPYG10,958+10,958$424
Bank Of America Corp 14,360 UNCH $416
     BAC14,360UNCH$416
Facebook Inc Class A 2,140 UNCH $413
     FB2,140UNCH$413
Chubb Limited 2,541 UNCH $374
     CB2,541UNCH$374
iShares Russell 1000 Growth ETF (IWF) 2,336 +14 $368
     IWF2,336+14$368
Western Midstream Partners Lp Com Unit Lp Int 11,438 UNCH $352
     WES11,438UNCH$352
Intl Business Machines 2,470 UNCH $341
     IBM2,470UNCH$341
Merck & Co Inc New 4,040 -175 $339
     MRK4,040-175$339
SPDR S&P 500 (SPY) 1,091 UNCH $320
     SPY1,091UNCH$320
Vanguard Small Cap Value (VBR) 2,331 +107 $304
     VBR2,331+107$304
Cisco Systems Inc 5,459 +975 $299
     CSCO5,459+975$299
Boeing Co 805 +50 $293
     BA805+50$293
iShares Core S&P Mid Cap ETF (IJH) 1,509 UNCH $293
     IJH1,509UNCH$293
O Reilly Automotive New 767 UNCH $283
     ORLY767UNCH$283
Costco Whsl Corp New 1,024 +7 $271
     COST1,024+7$271
Vanguard FTSE International Index (VEU) 5,204 UNCH $265
     VEU5,204UNCH$265
Mplx Lp 8,000 -4,000 $258
     MPLX8,000-4,000$258
Unitedhealth Group Inc 1,006 +6 $245
     UNH1,006+6$245
Plains All American Pipeline LP 10,000 UNCH $244
     PAA10,000UNCH$244
British American Tobacco PLC 6,961 -750 $243
     BTI6,961-750$243
Union Pacific Corp 1,439 +11 $243
     UNP1,439+11$243
Google Inc Class C 222 UNCH $240
     GOOG222UNCH$240
S&p Global Inc 1,040 UNCH $237
     SPGI1,040UNCH$237
Global Payments Inc 1,457 +1,457 $233
     GPN1,457+1,457$233
Wal Mart Stores Inc 2,078 -300 $230
     WMT2,078-300$230
iShares Russell 2000 Index (IWM) 1,466 UNCH $228
     IWM1,466UNCH$228
Wecenergy Group Inc 2,708 UNCH $226
     WEC2,708UNCH$226
Citigroup Inc New 3,180 +3,180 $223
     C3,180+3,180$223
Wells Fargo & Co New 4,535 +3,525 $215
     WFC4,535+4,535$215
CBIZ Inc 10,798 -1,000 $212
     CBZ10,798-1,000$212
Honeywell International 1,200 +1,200 $210
     HON1,200+1,200$210
iShares S&P 500 ETF (IVV) 699 +699 $206
     IVV699+699$206
BUCKEYE PARTNERS LP 5,000 +5,000 $205
     BPL5,000+5,000$205
Schwab Fundamental US Large Company ETF (FNDX) 5,225 +5,225 $204
     FNDX5,225+5,225$204
Marathon Pete Corp 3,600 UNCH $201
     MPC3,600UNCH$201
Bristol Myers Squibb Co 4,275 +4,275 $194
     BMY4,275+4,275$194
Salesforce.com Inc 1,274 +8 $193
     CRM1,274+8$193
Cardinal Health Inc 4,041 +4,041 $190
     CAH4,041+4,041$190
Netflix Inc 513 +513 $188
     NFLX513+513$188
Spire Inc 2,193 +2,193 $184
     SR2,193+2,193$184
Schwab US Large Cap 3,260 +3,260 $183
     SCHV3,260+3,260$183
Pepsico Incorporated 1,339 +1,339 $176
     PEP1,339+1,339$176
Evergy Inc 2,792 +2,792 $168
     EVRG2,792+2,792$168
Kinder Morgan Inc 7,990 +7,990 $167
     KMI7,990+7,990$167
Chevron Corporation 1,320 +1,320 $164
     CVX1,320+1,320$164
WELLTOWER INC 1,970 +1,970 $161
     WELL1,970+1,970$161
Kimberly Clark Corp 1,200 +1,200 $160
     KMB1,200+1,200$160
TC Pipelines LP 4,175 +4,175 $157
     TCP4,175+4,175$157
Vanguard Health Care ETF (VHT) 880 +880 $153
     VHT880+880$153
Total Systems Servic 1,175 +1,175 $151
     TSS1,175+1,175$151
Intuitive Surgical Inc 285 +285 $149
     ISRG285+285$149
Hormel Foods Corp 3,600 +3,600 $146
     HRL3,600+3,600$146
The Brink s Co 1,750 +1,750 $142
     BCO1,750+1,750$142
SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY IND (FNDC) 4,550 +4,550 $142
     FNDC4,550+4,550$142
Adobe Systems Inc 480 +480 $141
     ADBE480+480$141
Amerigas Partners Lp 4,001 +4,001 $139
     APU4,001+4,001$139
iShares MSCI EAFE International (EFA) 2,109 +2,109 $139
     EFA2,109+2,109$139
Colgate Palmolive Co 1,929 +1,929 $138
     CL1,929+1,929$138
Splunk Inc 1,100 +1,100 $138
     SPLK1,100+1,100$138
Vanguard Value (VTV) 1,243 +1,243 $138
     VTV1,243+1,243$138
SPDR Dow Jones Ind Avg (DIA) 500 +500 $133
     DIA500+500$133
Oracle Corporation 2,211 +2,211 $126
     ORCL2,211+2,211$126
Qualcomm Inc 1,645 +1,645 $125
     QCOM1,645+1,645$125
Texas Capital Bancshares (TCBI) 2,000 +2,000 $123
     TCBI2,000+2,000$123
Waste Management Inc Del 1,025 +1,025 $118
     WM1,025+1,025$118
Keurig Dr Pepper Inc 4,000 +4,000 $116
     KDP4,000+4,000$116
Booking Hldgs Inc 61 +61 $114
     BKNG61+61$114
SPDR Gold TRUST (GLD) 850 +850 $113
     GLD850+850$113
Vanguard High Dividend Yield ETF (VYM) 1,294 +1,294 $113
     VYM1,294+1,294$113
Vanguard Total Stock Mkt (VTI) 745 +745 $112
     VTI745+745$112
Raytheon Company New 639 +639 $111
     RTN639+639$111
Celanese Corp 1,000 +1,000 $108
     CE1,000+1,000$108
Guidewire Software Inc 1,025 +1,025 $104
     GWRE1,025+1,025$104
Phillips 1,102 +1,102 $103
     PSX1,102+1,102$103
Illumina Inc 275 +275 $101
     ILMN275+275$101
Alibaba Group Hldg Adr 589 +589 $100
     BABA589+589$100
Ishares DJ Select Div Fd (DVY) 997 +997 $99
     DVY997+997$99
Halliburton Co Hldg Co 4,289 +4,289 $98
     HAL4,289+4,289$98
Ishares Russell Midcap Value (IWS) 1,095 +1,095 $98
     IWS1,095+1,095$98
Prudential Financial Inc 957 +957 $97
     PRU957+957$97
VANGUARD CRSP US MID CAP INDEX (VO) 574 +574 $96
     VO574+574$96
Schlumberger Ltd 2,250 +2,250 $89
     SLB2,250+2,250$89
Commerce Bancshares Inc (CBSH) 1,472 +1,472 $88
     CBSH1,472+1,472$88
Zillow Inc Cl A 1,875 +1,875 $87
     Z1,875+1,875$87
iShares Core Small Cap ETF (IJR) 1,085 +1,085 $85
     IJR1,085+1,085$85
Vanguard Information Technology ETF (VGT) 402 +402 $85
     VGT402+402$85
Ameren Corporation 1,116 +1,116 $84
     AEE1,116+1,116$84
E O G Resources Inc 900 +900 $84
     EOG900+900$84
UMB Financial Corp 1,244 +1,244 $82
     UMBF1,244+1,244$82
Amgen Incorporated 440 +440 $81
     AMGN440+440$81
Global X S&P 500 Catholic Values ETF (CATH) 2,238 +2,238 $80
     CATH2,238+2,238$80
Hershey Company 600 +600 $80
     HSY600+600$80
Medtronic Inc 820 +820 $80
     MDT820+820$80
Paysign Inc 5,900 +5,900 $79
     PAYS5,900+5,900$79
McCormick & Co Inc Non Voting 500 +500 $78
     MKC500+500$78
OLD SECOND BANCORP INC 6,000 +6,000 $77
     OSBC6,000+6,000$77
SPDR Portfolio Developed Wld ex US ETF (SPDW) 2,615 +2,615 $77
     SPDW2,615+2,615$77
Copart Inc 1,015 +1,015 $76
     CPRT1,015+1,015$76
B O K Financial Cp New 1,000 +1,000 $75
     BOKF1,000+1,000$75
Comerica Inc 1,000 +1,000 $73
     CMA1,000+1,000$73
PowerShares QQQ (QQQ) 390 +390 $73
     QQQ390+390$73
SPDR Portfolio Large Cap ETF (SPLG) 2,125 +2,125 $73
     SPLG2,125+2,125$73
Allstate Corporation 700 +700 $71
     ALL700+700$71
Autohome Inc 820 +820 $70
     ATHM820+820$70
SPDR S&P Dividend ETF (SDY) 695 +695 $70
     SDY695+695$70
Tesla Motors Inc 309 +309 $69
     TSLA309+309$69
A O N Plc 350 +350 $68
     AON350+350$68
Schwab US Large Cap 822 +822 $68
     SCHG822+822$68
Zoetis Inc 600 +600 $68
     ZTS600+600$68
Teledyne Technologies Inc 240 +240 $66
     TDY240+240$66
WageWorks Inc 1,300 +1,300 $66
     WAGE1,300+1,300$66
KKR & Co LP 2,581 +2,581 $65
     KKR2,581+2,581$65
USA Technologies Inc 8,700 +8,700 $65
     USAT8,700+8,700$65
Dollar General Corp New 475 +475 $64
     DG475+475$64
Box Inc 3,450 +3,450 $61
     BOX3,450+3,450$61
CDW Corp 552 +552 $61
     CDW552+552$61
EMCOR GROUP INC COM 695 +695 $61
     EME695+695$61
Darden Restaurants Inc 489 +489 $60
     DRI489+489$60
Flowers Foods Inc 2,576 +2,576 $60
     FLO2,576+2,576$60
Westrock Company 1,650 +1,650 $60
     WRK1,650+1,650$60
SPDR Russell 2000 ETF (SPSM) 1,910 +1,910 $59
     SPSM1,910+1,910$59
Sempra Energy 432 +432 $59
     SRE432+432$59
Tyson Foods Inc Cl A 700 +700 $57
     TSN700+700$57
Wisdom Tree Dividend Ex 648 +648 $56
     DTN648+648$56
Healthcare Realty TRUST 1,800 +1,800 $56
     HR1,800+1,800$56
Lowes Companies Inc 550 +550 $56
     LOW550+550$56
Monmouth Real Estate Investment Corp 4,150 +4,150 $56
     MNR4,150+4,150$56
Vanguard S&P 500 Etf (VOO) 208 +208 $56
     VOO208+208$56
Vanguard Total World (VT) 750 +750 $56
     VT750+750$56
Avery Dennison Corp 475 +475 $55
     AVY475+475$55
Eli Lilly & Company 500 +500 $55
     LLY500+500$55
Primerica Inc 458 +458 $55
     PRI458+458$55
Regeneron Pharms Inc 175 +175 $55
     REGN175+175$55
WSFS Financial Corp 1,320 +1,320 $55
     WSFS1,320+1,320$55
Aspen Technology Inc 437 +437 $54
     AZPN437+437$54
Exelon Corporation 1,135 +1,135 $54
     EXC1,135+1,135$54
Lyondellbasell Inds 600 +600 $52
     LYB600+600$52
Anadarko Petroleum Corp 708 +708 $50
     APC708+708$50
Stryker Corp 245 +245 $50
     SYK245+245$50
Wisdomtree Smallcap 1,800 +1,800 $49
     DES1,800+1,800$49
FedEx Corp 300 +300 $49
     FDX300+300$49
Marathon Oil Corp 3,400 +3,400 $48
     MRO3,400+3,400$48
American Tower Corp 229 +229 $47
     AMT229+229$47
Activision Blizzard Inc 1,000 +1,000 $47
     ATVI1,000+1,000$47
Casey s General Stores Inc 300 +300 $47
     CASY300+300$47
GABELLI HEALTHCARE & WELLNESS SHS 4,500 +4,500 $47
     GRX4,500+4,500$47
Caterpillar Inc 335 +335 $46
     CAT335+335$46
Sonoco Products Co 700 +700 $46
     SON700+700$46
Old Dominion Freight Lines Inc 299 +299 $45
     ODFL299+299$45
Nektar Therapeutics 1,250 +1,250 $44
     NKTR1,250+1,250$44
Graco Inc 853 +853 $43
     GGG853+853$43
Pool Corporation 224 +224 $43
     POOL224+224$43
WABCO Holdings Inc 326 +326 $43
     WBC326+326$43
Fastenal Co 1,300 +1,300 $42
     FAST1,300+1,300$42
Deluxe Corporation 1,000 +1,000 $41
     DLX1,000+1,000$41
Eaton Vance Tax Adv Div 1,725 +1,725 $41
     EVT1,725+1,725$41
Nextera Energy Inc 200 +200 $41
     NEE200+200$41
Workday Inc 200 +200 $41
     WDAY200+200$41
MarketAxess Holdings Inc 123 +123 $40
     MKTX123+123$40
Fortune Brands Hm & Sec 680 +680 $39
     FBHS680+680$39
Occidental Pete Corp 775 +775 $39
     OXY775+775$39
Ishares S&P 500 Value (IVE) 326 +326 $38
     IVE326+326$38
Taiwan Semiconductr Adrf 974 +974 $38
     TSM974+974$38
United Parcel Service B 367 +367 $38
     UPS367+367$38
Consolidated Edison Inc 425 +425 $37
     ED425+425$37
FactSet Research Systems Inc 128 +128 $37
     FDS128+128$37
Fortive Corp 448 +448 $37
     FTV448+448$37
General Motors Co 950 +950 $37
     GM950+950$37
Hasbro Inc 350 +350 $37
     HAS350+350$37
Northrop Grumman Corp 111 +111 $36
     NOC111+111$36
Schwab International Small Cap ETF (SCHC) 1,096 +1,096 $36
     SCHC1,096+1,096$36
Vanguard Industrials Sector ETF (VIS) 250 +250 $36
     VIS250+250$36
C S X Corp 450 +450 $35
     CSX450+450$35
Dominion Resource INC 700 +700 $35
     DCUD700+700$35
PureFunds Drone Economy Strategy ETF (IFLY) 1,000 +1,000 $35
     IFLY1,000+1,000$35
PPL Corporation 1,125 +1,125 $35
     PPL1,125+1,125$35
Teva Pharm Inds Ltd ADR 3,746 +3,746 $35
     TEVA3,746+3,746$35
Conagra Foods Inc 1,276 +1,276 $34
     CAG1,276+1,276$34
Omega Hlthcare Invs Inc 900 +900 $33
     OHI900+900$33
HFF Inc 712 +712 $32
     HF712+712$32
Johnson Controls Inc 775 +775 $32
     JCI775+775$32
Northern TRUST Corp 360 +360 $32
     NTRS360+360$32
RBC bearings Inc 193 +193 $32
     ROLL193+193$32
Compass Diversified Holdings 1,600 +1,600 $31
     CODI1,600+1,600$31
E Trade Financial Cp New 700 +700 $31
     ETFC700+700$31
iShares Core MSCI Emerging Mkt ETF (IEMG) 597 +597 $31
     IEMG597+597$31
Norwood Financial Corp 900 +900 $31
     NWFL900+900$31
Red Robin Grmt Burgr 1,000 +1,000 $31
     RRGB1,000+1,000$31
iShares MSCI Emrg Mkt Fd (EEM) 708 +708 $30
     EEM708+708$30
Eversource Energy 400 +400 $30
     ES400+400$30
Royal Dutch Shell B Adrf      $30
     RDS.B258+258$17
     RDS.A200+200$13
Dril Quip Inc 558 +558 $27
     DRQ558+558$27
Focus Financial Partners Inc 1,000 +1,000 $27
     FOCS1,000+1,000$27
SPDR Portfolio Mid Cap ETF (SPMD) 778 +778 $27
     SPMD778+778$27
Ventas Inc 400 +400 $27
     VTR400+400$27
Crown Castle Intl Corp 200 +200 $26
     CCI200+200$26
Cincinnati Financial Corp 250 +250 $26
     CINF250+250$26
Wisdomtree Midcap 705 +705 $26
     DON705+705$26
First Trust Dorsey Wright Focus 5 ETF (FV) 850 +850 $26
     FV850+850$26
GW Pharmaceuticals PLC 150 +150 $26
     GWPH150+150$26
Grainger W W Inc 96 +96 $26
     GWW96+96$26
Vanguard MSCI Emerging (VWO) 617 +617 $26
     VWO617+617$26
Editas Medicine Inc 1,000 +1,000 $25
     EDIT1,000+1,000$25
Gogo Inc 6,400 +6,400 $25
     GOGO6,400+6,400$25
Lamb Weston Holdings Inc 392 +392 $25
     LW392+392$25
MetLife Inc 500 +500 $25
     MET500+500$25
SPDR S&P Emerging Markets ETF (SPEM) 685 +685 $25
     SPEM685+685$25
ACUITY BRANDS INC 175 +175 $24
     AYI175+175$24
Veeva Systems Inc 150 +150 $24
     VEEV150+150$24
B&G Foods Inc 1,100 +1,100 $23
     BGS1,100+1,100$23
Clorox Company 150 +150 $23
     CLX150+150$23
Henry Jack & Assoc Inc 170 +170 $23
     JKHY170+170$23
Kratos Def & Sec Sol New 1,000 +1,000 $23
     KTOS1,000+1,000$23
The Toro Co 347 +347 $23
     TTC347+347$23
Vanguard FTSE International ETF (VEA) 551 +551 $23
     VEA551+551$23
American Express Company 175 +175 $22
     AXP175+175$22
Bridge Bancorp Inc 750 +750 $22
     BDGE750+750$22
Kroger Company 1,000 +1,000 $22
     KR1,000+1,000$22
American Intl Group New 400 +400 $21
     AIG400+400$21
FIRST TRUST DEVELOPED MARKETS (FDT) 386 +386 $21
     FDT386+386$21
FIRST TRUST EMERGING MKTS SM C AP ALPHADEX (FEMS) 610 +610 $21
     FEMS610+610$21
Micron Technology Inc 550 +550 $21
     MU550+550$21
PNC Finl Services Gp Inc 156 +156 $21
     PNC156+156$21
Sun Life Finl Inc Com 500 +500 $21
     SLF500+500$21
Cantel Medical Corp 250 +250 $20
     CMD250+250$20
Mastercard Inc 75 +75 $20
     MA75+75$20
Mylan Inc 1,047 +1,047 $20
     MYL1,047+1,047$20
Chimera Investment Corp 1,000 +1,000 $19
     CIM1,000+1,000$19
Comcast Corp New Cl A 452 +452 $19
     CMCSA452+452$19
Cme Group Inc Cl A 100 +100 $19
     CME100+100$19
General Electric Company 1,644 +1,644 $17
     GE1,644+1,644$17
Stag Industrial Inc 550 +550 $17
     STAG550+550$17
Garmin Ltd New 200 +200 $16
     GRMN200+200$16
HCP Inc 500 +500 $16
     HCP500+500$16
Sina Corporation 375 +375 $16
     SINA375+375$16
Tellurian Inc New 2,000 +2,000 $16
     TELL2,000+2,000$16
Weyerhaeuser Co 620 +620 $16
     WY620+620$16
Cypress Semiconductor 675 +675 $15
     CY675+675$15
KraneShares Bosera MSCI China A ETF (KBA) 500 +500 $15
     KBA500+500$15
M D U Resources Group 577 +577 $15
     MDU577+577$15
Nokia Oyj 3,000 +3,000 $15
     NOK3,000+3,000$15
Nuvasive Inc 250 +250 $15
     NUVA250+250$15
NEW YORK COMMUNITY BANCORP COM 1,540 +1,540 $15
     NYCB1,540+1,540$15
ARK Industrial Innovation ETF (ARKQ) 400 +400 $14
     ARKQ400+400$14
First Tr Nyse Arca Biotech (FBT) 100 +100 $14
     FBT100+100$14
Sprint Corporation 2,124 +2,124 $14
     S2,124+2,124$14
Vanguard Growth (VUG) 85 +85 $14
     VUG85+85$14
SPDR Financial Sector ETF (XLF) 525 +525 $14
     XLF525+525$14
AutoNation Inc 300 +300 $13
     AN300+300$13
C V S Caremark Corp 247 +247 $13
     CVS247+247$13
Devon Energy Cp New 450 +450 $13
     DVN450+450$13
Ecolab Inc 68 +68 $13
     ECL68+68$13
Expedia Inc 100 +100 $13
     EXPE100+100$13
Hanesbrands Inc 750 +750 $13
     HBI750+750$13
Hartford Finl Svcs Grp 230 +230 $13
     HIG230+230$13
United Rentals Inc 100 +100 $13
     URI100+100$13
Vanguard Large Cap ETF (VV) 95 +95 $13
     VV95+95$13
BLOOM ENERGY CORP CL A 953 +953 $12
     BE953+953$12
Ishares Morningstar (JKL) 84 +84 $12
     JKL84+84$12
Kansas City Southern 100 +100 $12
     KSU100+100$12
Owens Illinois Inc New 700 +700 $12
     OI700+700$12
Ulta Salon Cosmetics & Fragrance Inc 35 +35 $12
     ULTA35+35$12
Vanguard Energy Etf (VDE) 145 +145 $12
     VDE145+145$12
Accenture Plc Cl A 62 +62 $11
     ACN62+62$11
Applied Materials Inc 250 +250 $11
     AMAT250+250$11
Lumentum Holdings In 200 +200 $11
     LITE200+200$11
Lululemon Athletica Inc 60 +60 $11
     LULU60+60$11
OGE ENERGY CORP 250 +250 $11
     OGE250+250$11
Piedmont Office Rlty Tr 550 +550 $11
     PDM550+550$11
Ralph Lauren Corp Cl A 100 +100 $11
     RL100+100$11
Vanguard Small Cap ETF (VB) 68 +68 $11
     VB68+68$11
Aphria Inc 1,425 +1,425 $10
     APHA1,425+1,425$10
Canadian Imperial Bank of Commerce 125 +125 $10
     CM125+125$10
Global X Lithium & Battery Tech ETF (LIT) 400 +400 $10
     LIT400+400$10
Vanguard FTSE Europe ETF (VGK) 182 +182 $10
     VGK182+182$10
Apache Corp 300 +300 $9
     APA300+300$9
Boston Scientific Corp 200 +200 $9
     BSX200+200$9
BlackRock Enhanced Cap & Inc 585 +585 $9
     CII585+585$9
Schwab Fundamental Intl Lg Co ETF (FNDF) 312 +312 $9
     FNDF312+312$9
Hollyfrontier Corp 200 +200 $9
     HFC200+200$9
International Paper Co 200 +200 $9
     IP200+200$9
Keysight Technologies Inc 100 +100 $9
     KEYS100+100$9
Nielsen Holdings Plc Shs 400 +400 $9
     NLSN400+400$9
Orasure Technologies 1,000 +1,000 $9
     OSUR1,000+1,000$9
Republic Services Inc 100 +100 $9
     RSG100+100$9
Skyworks Solutions Inc 113 +113 $9
     SWKS113+113$9
Under Armour Inc Cl A 350 +350 $9
     UAA350+350$9
Slack Technologies Inc Com Cl A 250 +250 $9
     WORK250+250$9
Zuora Inc 600 +600 $9
     ZUO600+600$9
A E S Corp 500 +500 $8
     AES500+500$8
Centennial Resource Dev Inc Cl A 1,000 +1,000 $8
     CDEV1,000+1,000$8
Canopy Growth Corp 200 +200 $8
     CGC200+200$8
Cree Inc 150 +150 $8
     CREE150+150$8
Cronos Group Inc 475 +475 $8
     CRON475+475$8
FMC Corp 100 +100 $8
     FMC100+100$8
Schwab Fundamental US Small Company ETF (FNDA) 200 +200 $8
     FNDA200+200$8
Ishares S&P 500 Growth (IVW) 44 +44 $8
     IVW44+44$8
Leidos Holdings Inc 100 +100 $8
     LDOS100+100$8
ETFMG Alternative Harvest ETF (MJ) 265 +265 $8
     MJ265+265$8
Nio Inc ADR 3,000 +3,000 $8
     NIO3,000+3,000$8
Principal Financial Grp 143 +143 $8
     PFG143+143$8
Uber Technologies Inc 175 +175 $8
     UBER175+175$8
UMH Properties Inc 650 +650 $8
     UMH650+650$8
Ford Motor Company New 723 +723 $7
     F723+723$7
Harley Davidson Inc 200 +200 $7
     HOG200+200$7
H&R Block Incorporated 250 +250 $7
     HRB250+250$7
iShares US Basic Materials ETF (IYM) 74 +74 $7
     IYM74+74$7
iShares Transportation Average (IYT) 36 +36 $7
     IYT36+36$7
Medical Properties Trust Inc 375 +375 $7
     MPW375+375$7
NRG Energy Inc 200 +200 $7
     NRG200+200$7
Sirius Xm Radio Inc 1,230 +1,230 $7
     SIRI1,230+1,230$7
XPO Logistics Inc 114 +114 $7
     XPO114+114$7
American Water Works Co 50 +50 $6
     AWK50+50$6
Charter Communication 16 +16 $6
     CHTR16+16$6
Americold Rlty Tr 200 +200 $6
     COLD200+200$6
Centurylink Inc 517 +517 $6
     CTL517+517$6
Ebay Inc 150 +150 $6
     EBAY150+150$6
Fireeye Inc 400 +400 $6
     FEYE400+400$6
Hospitality Properties Trust 250 +250 $6
     HPT250+250$6
Ishares Core U S Growth Etf (IUSG) 100 +100 $6
     IUSG100+100$6
Limited Brands Inc 231 +231 $6
     LB231+231$6
Manulife Financial Corp 344 +344 $6
     MFC344+344$6
Myriad Genetics Inc 200 +200 $6
     MYGN200+200$6
iShares S&P 100 (OEF) 43 +43 $6
     OEF43+43$6
Ormat Technologies Inc 100 +100 $6
     ORA100+100$6
PG&E Corp 250 +250 $6
     PCG250+250$6
Schw US Brd Mkt Etf (SCHB) 81 +81 $6
     SCHB81+81$6
SPDR S&P 600 Small Cap Growth ETF (SLYG) 95 +95 $6
     SLYG95+95$6
Sonos Inc 500 +500 $6
     SONO500+500$6
United States Oil Fund (USO) 525 +525 $6
     USO525+525$6
TD Ameritrade Holding Cp 100 +100 $5
     AMTD100+100$5
ARK Innovation ETF (ARKK) 100 +100 $5
     ARKK100+100$5
Broadcom Inc Com 16 +16 $5
     AVGO16+16$5
Boyd Gaming Corp 200 +200 $5
     BYD200+200$5
Eaton Corporation 57 +57 $5
     ETN57+57$5
VanEck Vectors Gold Miners ETF (GDX) 200 +200 $5
     GDX200+200$5
Hess Corp 75 +75 $5
     HES75+75$5
Huntsman Corp 250 +250 $5
     HUN250+250$5
Iveric Bio Inc 3,500 +3,500 $5
     ISEE3,500+3,500$5
Keycorp Inc New 263 +263 $5
     KEY263+263$5
Mueller Water Products A 500 +500 $5
     MWA500+500$5
Scansource Inc 150 +150 $5
     SCSC150+150$5
Spotify Technology SA 35 +35 $5
     SPOT35+35$5
VEON Ltd 1,716 +1,716 $5
     VEON1,716+1,716$5
Aurora Cannabis Inc 500 +500 $4
     ACB500+500$4
ARK WebETF 85 +85 $4
     ARKW85+85$4
Brookfield Infrastructure Partners LP 100 +100 $4
     BIP100+100$4
Dorchester Minerals LP 200 +200 $4
     DMLP200+200$4
Ishares MSCI Chile (ECH) 102 +102 $4
     ECH102+102$4
Canada Goose Holdings Inc 100 +100 $4
     GOOS100+100$4
Hannon Armstrong Sustainable Infrastructure Capita 150 +150 $4
     HASI150+150$4
Huntington Ingalls Inds 16 +16 $4
     HII16+16$4
Newell Rubbermaid Inc 250 +250 $4
     NWL250+250$4
Raven Industries Inc 109 +109 $4
     RAVN109+109$4
Resideo Technologies Inc 199 +199 $4
     REZI199+199$4
Ishares Silver TRUST (SLV) 300 +300 $4
     SLV300+300$4
State Street Corp 75 +75 $4
     STT75+75$4
Target Corporation 45 +45 $4
     TGT45+45$4
TUPPERWARE BRANDS CORP 200 +200 $4
     TUP200+200$4
Vanguard REIT Index ETF (VNQ) 42 +42 $4
     VNQ42+42$4
Apollo Investment Corp 220 +220 $3
     AINV220+220$3
Domino s Pizza Inc 11 +11 $3
     DPZ11+11$3
Duke Energy Corp New 37 +37 $3
     DUK37+37$3
Freeport Mcmoran Copper 300 +300 $3
     FCX300+300$3
Schwab Fundamental US Broad Market ETF (FNDB) 75 +75 $3
     FNDB75+75$3
Kellogg Company 50 +50 $3
     K50+50$3
OrganiGram Holdings Inc 500 +500 $3
     OGI500+500$3
Osisko Gold Royalties Ltd 300 +300 $3
     OR300+300$3
Skechers USA Inc 100 +100 $3
     SKX100+100$3
Twilio Inc 19 +19 $3
     TWLO19+19$3
Under Armour Inc 151 +151 $3
     UA151+151$3
United Community Banks Inc 100 +100 $3
     UCBI100+100$3
Verra Mobility Corp 200 +200 $3
     VRRM200+200$3
Ameriprise Financial Inc 13 +13 $2
     AMP13+13$2
Algonquin Power & Utilities Corp 200 +200 $2
     AQN200+200$2
Global X Robotics & Artfcl Intllgnc ETF (BOTZ) 100 +100 $2
     BOTZ100+100$2
Crestwood Equity Lp 50 +50 $2
     CEQP50+50$2
Cytosorbents Corp 250 +250 $2
     CTSO250+250$2
Wisdomtree Emerging Mkts 44 +44 $2
     DEM44+44$2
EQT Midstream Partners LP 40 +40 $2
     EQM40+40$2
CurrencyShares British Pound Ster ETF (FXB) 15 +15 $2
     FXB15+15$2
GSCI TOTAL RETURN SUB INDEX CME (GTX) 120 +120 $2
     GTX120+120$2
Ishares Tr High Dividend (HDV) 20 +20 $2
     HDV20+20$2
iShares US Medical Devices ETF (IHI) 9 +9 $2
     IHI9+9$2
Inseego Corp 500 +500 $2
     INSG500+500$2
Restaurant Brands Intl 28 +28 $2
     QSR28+28$2
Suntrust Banks Inc 29 +29 $2
     STI29+29$2
Suncor Energy Inc New 55 +55 $2
     SU55+55$2
Energous Corp 500 +500 $2
     WATT500+500$2
Columbia Ppty Tr Inc 25 +25 $1
     CXP25+25$1
Dominion Res Inc Va New 17 +17 $1
     D17+17$1
Digital Realty Trust Inc 9 +9 $1
     DLR9+9$1
First Horizon Natl Corp 44 +44 $1
     FHN44+44$1
NATIONAL BEVERAGE CORP 24 +24 $1
     FIZZ24+24$1
Schwab Fundamental Emerg Mkts Lg Co ETF (FNDE) 22 +22 $1
     FNDE22+22$1
Aevi Genomic Medicine Inc 4,500 +4,500 $1
     GNMX4,500+4,500$1
Ishares S&P Midcap (IJJ) 6 +6 $1
     IJJ6+6$1
Ishares S&P Midcap (IJK) 6 +6 $1
     IJK6+6$1
Ishares S&P Smcap Value (IJS) 7 +7 $1
     IJS7+7$1
Ishares S&P Small Cap (IJT) 7 +7 $1
     IJT7+7$1
Livent Corp 93 +93 $1
     LTHM93+93$1
Meritage Homes Corp 10 +10 $1
     MTH10+10$1
Owens & Minor Inc 200 +200 $1
     OMI200+200$1
P J T Partners Incor 15 +15 $1
     PJT15+15$1
R M R Group Inc 21 +21 $1
     RMR21+21$1
Snap Inc Cl A 63 +63 $1
     SNAP63+63$1
Te Connectivity Ltd 14 +14 $1
     TEL14+14$1
Umpqua Holdings Corp 45 +45 $1
     UMPQ45+45$1
United Technologies Corp 9 +9 $1
     UTX9+9$1
Vanguard FTSE All World Small Cap ETF (VSS) 9 +9 $1
     VSS9+9$1
California Res Corp 23 +23 <$1
     CRC23+23$0
Calamos Strgc Tot Ret Fd 7 +7 <$1
     CSQ7+7$0
FirstEnergy Corp 1 +1 <$1
     FE1+1$0
Ferrellgas Partners LP 0 UNCH $0
     FGP0UNCH$0
Host Hotels & Resorts Inc 11 +11 <$1
     HST11+11$0
Noah Holdings Ltd Adr 2 +2 <$1
     NOAH2+2$0
Rite Aid Corporation 5 +5 <$1
     RAD5+5$0
Westinghouse Air Brake Technologies Corp 5 +5 <$1
     WAB5+5$0
SPDR Energy Sector ETF (XLE) 5 +5 $0
     XLE5+5$0
BlackRock Muni Inc Inv Qty Trust $0 (exited)
     BAF0-13,801$0
Vanguard Short Term Bond Index $0 (exited)
     BSV0-7,647$0
Doubleline Opportunistic Credit $0 (exited)
     DBL0-12,550$0
DowDuPont Inc $0 (exited)
     DWDP0-38,369$0
Energy Transfer Equity LP $0 (exited)
     ETE0-38,600$0
Goldman Sachs BDC Inc $0 (exited)
     GSBD0-24,900$0
Nuveen PA Muni $0 (exited)
     NQP0-14,000$0
Market Vectors Etf Trust $0 (exited)
     SMB0-12,500$0
SPDR DOUBLELINE TOTAL RETURN TACTICAL ETF $0 (exited)
     TOTL0-8,000$0
Vanguard Short Term Corp Bond ETF 0 -5,000 $0 (exited)
     VCSH0-5,000$0

See Summary: Kavar Capital Partners LLC Top Holdings
See Details: Top 10 Stocks Held By Kavar Capital Partners LLC

EntityShares/Amount
Change
Position Value
Change
NVDA +14,111+$2,317
DD +12,119+$910
DOW +12,339+$608
ET +38,600+$543
SPYG +10,958+$424
GPN +1,457+$233
C +3,180+$223
HON +1,200+$210
IVV +699+$206
BPL +5,000+$205
EntityShares/Amount
Change
Position Value
Change
DWDP -38,369-$2,045
BSV -7,647-$609
ETE -38,600-$593
GSBD -24,900-$511
VCSH -5,000-$399
TOTL -8,000-$387
DBL -12,550-$254
SMB -12,500-$220
BAF -13,801-$192
NQP -14,000-$185
EntityShares/Amount
Change
Position Value
Change
SCHX +27,063+$2,141
MFA +25,000+$341
SCHF +24,031+$909
IRM +11,700+$241
SCHA +8,345+$637
SCHE +7,921+$234
VOD +7,600+$43
SCHM +6,633+$452
NVO +4,213+$182
ABBV +3,700+$33
EntityShares/Amount
Change
Position Value
Change
KHC -4,256-$191
MPLX -4,000-$137
FFBC -3,500-$74
BP -2,700-$189
PBCT -1,825+$4
NKE -1,220-$115
CBZ -1,000-$27
BTI -750-$79
BCE -750+$1
Size ($ in 1000's)
At 06/30/2019: $254,474
At 03/31/2019: $224,209

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

All Stocks Held By Kavar Capital Partners LLC | www.HoldingsChannel.com

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