FAAS

First Allied Advisory Services Portfolio holdings

AUM $2.98B
1-Year Return 15.9%
This Quarter Return
-11.25%
1 Year Return
+15.9%
3 Year Return
+33.56%
5 Year Return
+71.83%
10 Year Return
AUM
$2.53B
AUM Growth
-$387M
Cap. Flow
-$28.2M
Cap. Flow %
-1.12%
Top 10 Hldgs %
18.98%
Holding
1,246
New
69
Increased
417
Reduced
544
Closed
179
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
PANW icon
651
Palo Alto Networks
PANW
$132B
$437K 0.02%
13,908
+864
+7% +$27.1K
EXPE icon
652
Expedia Group
EXPE
$26.9B
$436K 0.02%
3,887
-19
-0.5% -$2.13K
FDC
653
DELISTED
First Data Corporation
FDC
$436K 0.02%
25,767
-2,001
-7% -$33.9K
SDIV icon
654
Global X SuperDividend ETF
SDIV
$960M
$435K 0.02%
8,526
+1,167
+16% +$59.5K
RITM icon
655
Rithm Capital
RITM
$6.64B
$431K 0.02%
30,135
+1,564
+5% +$22.4K
NFRA icon
656
FlexShares STOXX Global Broad Infrastructure Index Fund
NFRA
$2.92B
$428K 0.02%
+9,803
New +$428K
K icon
657
Kellanova
K
$27.6B
$427K 0.02%
7,961
+2,026
+34% +$109K
PHO icon
658
Invesco Water Resources ETF
PHO
$2.21B
$427K 0.02%
+15,200
New +$427K
UAL icon
659
United Airlines
UAL
$34.2B
$426K 0.02%
5,084
+84
+2% +$7.04K
HDMV icon
660
First Trust Horizon Managed Volatility Developed International ETF
HDMV
$23.3M
$424K 0.02%
13,659
+5,515
+68% +$171K
SLV icon
661
iShares Silver Trust
SLV
$20.1B
$423K 0.02%
29,215
+1,181
+4% +$17.1K
SVXY icon
662
ProShares Short VIX Short-Term Futures ETF
SVXY
$250M
$423K 0.02%
+20,000
New +$423K
APC
663
DELISTED
Anadarko Petroleum
APC
$423K 0.02%
9,536
-145
-1% -$6.43K
FTHI icon
664
First Trust Exchange-Traded Fund VI First Trust BuyWrite Income ETF
FTHI
$1.51B
$421K 0.02%
20,817
+1,758
+9% +$35.6K
ABMD
665
DELISTED
Abiomed Inc
ABMD
$418K 0.02%
1,277
+74
+6% +$24.2K
ALL icon
666
Allstate
ALL
$52.7B
$413K 0.02%
5,082
+214
+4% +$17.4K
LKQ icon
667
LKQ Corp
LKQ
$8.31B
$412K 0.02%
17,582
-6,128
-26% -$144K
PCAR icon
668
PACCAR
PCAR
$51.2B
$410K 0.02%
10,793
+1,557
+17% +$59.1K
ORLY icon
669
O'Reilly Automotive
ORLY
$90.7B
$407K 0.02%
17,775
+930
+6% +$21.3K
DCP
670
DELISTED
DCP Midstream, LP
DCP
$406K 0.02%
15,292
+257
+2% +$6.82K
ZTS icon
671
Zoetis
ZTS
$66.4B
$405K 0.02%
4,800
-324
-6% -$27.3K
MKC icon
672
McCormick & Company Non-Voting
MKC
$18.7B
$404K 0.02%
5,724
+442
+8% +$31.2K
ICF icon
673
iShares Select U.S. REIT ETF
ICF
$1.91B
$401K 0.02%
8,398
+1,566
+23% +$74.8K
NKX icon
674
Nuveen California AMT-Free Quality Municipal Income Fund
NKX
$586M
$401K 0.02%
31,841
-625
-2% -$7.87K
SPR icon
675
Spirit AeroSystems
SPR
$4.8B
$401K 0.02%
5,613
+8
+0.1% +$572