WA

WFG Advisors Portfolio holdings

AUM $442M
1-Year Return 12.46%
This Quarter Return
+2.1%
1 Year Return
+12.46%
3 Year Return
+21.29%
5 Year Return
10 Year Return
AUM
$442M
AUM Growth
+$67.1M
Cap. Flow
+$61.1M
Cap. Flow %
13.81%
Top 10 Hldgs %
14.78%
Holding
1,775
New
175
Increased
761
Reduced
208
Closed
110

Sector Composition

1 Financials 9.81%
2 Healthcare 6.54%
3 Real Estate 6.47%
4 Utilities 6.4%
5 Technology 5.69%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
RPAI
726
DELISTED
RETAIL PROPERTIES OF AMERICA, INC.
RPAI
$43K 0.01%
3,506
FVL
727
DELISTED
First TrustValue Line 100 Exchange-Traded
FVL
$43K 0.01%
2,007
+2
+0.1% +$43
JKHY icon
728
Jack Henry & Associates
JKHY
$11.6B
$42K 0.01%
406
+1
+0.2% +$103
PSLV icon
729
Sprott Physical Silver Trust
PSLV
$7.76B
$42K 0.01%
6,700
XLRE icon
730
Real Estate Select Sector SPDR Fund
XLRE
$7.72B
$42K 0.01%
1,317
-530
-29% -$16.9K
AGR
731
DELISTED
Avangrid, Inc.
AGR
$42K 0.01%
+940
New +$42K
FIHD
732
DELISTED
UBS AG FI Enhanced Global High Yield ETN
FIHD
$42K 0.01%
278
IUSV icon
733
iShares Core S&P US Value ETF
IUSV
$21.9B
$41K 0.01%
812
+4
+0.5% +$202
MDLZ icon
734
Mondelez International
MDLZ
$80.6B
$41K 0.01%
945
+448
+90% +$19.4K
PNW icon
735
Pinnacle West Capital
PNW
$10.5B
$41K 0.01%
483
-13
-3% -$1.1K
PPL icon
736
PPL Corp
PPL
$26.5B
$41K 0.01%
1,057
+644
+156% +$25K
IBMK
737
DELISTED
iShares iBonds Dec 2022 Term Muni Bond ETF
IBMK
$41K 0.01%
1,562
+1,160
+289% +$30.4K
PRME
738
DELISTED
First Trust Heitman Global Prime Real Estate ETF
PRME
$41K 0.01%
2,052
+352
+21% +$7.03K
AWR icon
739
American States Water
AWR
$2.82B
$40K 0.01%
834
+5
+0.6% +$240
HYT icon
740
BlackRock Corporate High Yield Fund
HYT
$1.53B
$40K 0.01%
3,670
IHI icon
741
iShares US Medical Devices ETF
IHI
$4.24B
$40K 0.01%
1,452
PIM
742
Putnam Master Intermediate Income Trust
PIM
$166M
$40K 0.01%
8,617
-742
-8% -$3.44K
PSQ icon
743
ProShares Short QQQ
PSQ
$542M
$40K 0.01%
+200
New +$40K
RFEM icon
744
First Trust RiverFront Dynamic Emerging Markets ETF
RFEM
$45.3M
$40K 0.01%
650
-50
-7% -$3.08K
NBL
745
DELISTED
Noble Energy, Inc.
NBL
$40K 0.01%
1,400
VIA
746
DELISTED
Viacom Inc. Class A
VIA
$40K 0.01%
1,050
+400
+62% +$15.2K
XLVS
747
DELISTED
POWERSHARES S&P SMALLCAP HEALTH CARE PORTFOLIO
XLVS
$40K 0.01%
450
AMD icon
748
Advanced Micro Devices
AMD
$259B
$39K 0.01%
3,149
+622
+25% +$7.7K
AVNT icon
749
Avient
AVNT
$3.34B
$39K 0.01%
1,000
BUD icon
750
AB InBev
BUD
$115B
$39K 0.01%
355
+335
+1,675% +$36.8K