GLA

Good Life Advisors Portfolio holdings

AUM $1.6B
1-Year Return 15.83%
This Quarter Return
+9.92%
1 Year Return
+15.83%
3 Year Return
+59.98%
5 Year Return
+94.46%
10 Year Return
AUM
$1.6B
AUM Growth
+$180M
Cap. Flow
+$68.5M
Cap. Flow %
4.28%
Top 10 Hldgs %
33.44%
Holding
541
New
47
Increased
241
Reduced
191
Closed
41
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
VTEB icon
351
Vanguard Tax-Exempt Bond Index Fund
VTEB
$38.3B
$378K 0.02%
7,712
+2,592
+51% +$127K
AMGN icon
352
Amgen
AMGN
$153B
$378K 0.02%
1,353
-427
-24% -$119K
SLQD icon
353
iShares 0-5 Year Investment Grade Corporate Bond ETF
SLQD
$2.37B
$378K 0.02%
+7,466
New +$378K
AVRE icon
354
Avantis Real Estate ETF
AVRE
$631M
$372K 0.02%
8,419
+274
+3% +$12.1K
NUV icon
355
Nuveen Municipal Value Fund
NUV
$1.82B
$371K 0.02%
42,700
+449
+1% +$3.9K
TGT icon
356
Target
TGT
$42.3B
$371K 0.02%
3,759
-357
-9% -$35.2K
QCOM icon
357
Qualcomm
QCOM
$172B
$367K 0.02%
2,304
-864
-27% -$138K
VBK icon
358
Vanguard Small-Cap Growth ETF
VBK
$20.4B
$365K 0.02%
1,318
-4
-0.3% -$1.11K
AMAT icon
359
Applied Materials
AMAT
$130B
$364K 0.02%
1,989
-698
-26% -$128K
SNA icon
360
Snap-on
SNA
$17.1B
$362K 0.02%
1,163
-15
-1% -$4.67K
BWAY
361
Brainsway
BWAY
$300M
$360K 0.02%
27,400
-500
-2% -$6.58K
VCR icon
362
Vanguard Consumer Discretionary ETF
VCR
$6.52B
$358K 0.02%
989
-11
-1% -$3.99K
CTVA icon
363
Corteva
CTVA
$49.1B
$354K 0.02%
4,752
+28
+0.6% +$2.09K
FTNT icon
364
Fortinet
FTNT
$60.4B
$354K 0.02%
+3,344
New +$354K
PGX icon
365
Invesco Preferred ETF
PGX
$3.93B
$352K 0.02%
31,647
-1,727
-5% -$19.2K
MDLZ icon
366
Mondelez International
MDLZ
$79.9B
$351K 0.02%
5,209
+568
+12% +$38.3K
PFM icon
367
Invesco Dividend Achievers ETF
PFM
$724M
$348K 0.02%
7,234
+905
+14% +$43.6K
FPE icon
368
First Trust Preferred Securities and Income ETF
FPE
$6.13B
$348K 0.02%
19,551
-8,229
-30% -$146K
JSML icon
369
Janus Henderson Small Cap Growth Alpha ETF
JSML
$216M
$348K 0.02%
+5,153
New +$348K
RL icon
370
Ralph Lauren
RL
$18.9B
$345K 0.02%
+1,258
New +$345K
ADI icon
371
Analog Devices
ADI
$122B
$341K 0.02%
1,433
-568
-28% -$135K
INMU icon
372
BlackRock Intermediate Muni Income Bond ETF
INMU
$137M
$340K 0.02%
+14,514
New +$340K
MET icon
373
MetLife
MET
$52.9B
$337K 0.02%
4,191
-500
-11% -$40.2K
SMCI icon
374
Super Micro Computer
SMCI
$24B
$337K 0.02%
6,877
-158
-2% -$7.74K
CMCSA icon
375
Comcast
CMCSA
$125B
$337K 0.02%
9,429
-2,545
-21% -$90.8K