Holdings Channel
EntityShares/Amount
Change
Position Value
Change
SHOP +3,233+$249
EBAY +4,589+$242
PH +435+$242
HLT +1,099+$234
T +12,962+$228
PHM +1,782+$215
TROW +1,749+$213
CSX +5,667+$210
KB +4,018+$209
TMUS +1,269+$207
EntityShares/Amount
Change
Position Value
Change
NYF -4,300-$233
HDB -3,164-$212
LW -1,922-$208
MAR -913-$206
ACB -18,145-$9
ZCMD -15,332-$5
EntityShares/Amount
Change
Position Value
Change
AVAL +8,268+$14
TEF +3,038+$45
NOK +2,932+$14
ORAN +2,810+$45
NIO +2,768-$35
AMCR +2,505+$20
ERIC +2,268-$7
CIG +2,163+$11
ICLN +2,039-$140
OPEN +2,010-$27
EntityShares/Amount
Change
Position Value
Change
DSI -8,183-$349
PYPL -2,027-$103
MUFG -1,764+$15
SPTS -1,737-$76
TBX -1,245-$2
ITUB -1,094-$8
HPP -943-$42
NVO -817+$38
GEVO -712-$13
Size ($ in 1000's)
At 03/31/2024: $135,662
At 12/31/2023: $125,234

First Affirmative Financial Network holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from First Affirmative Financial Network 13F filings. Link to 13F filings: SEC filings

All Stocks Held By First Affirmative Financial Network
As of  03/31/2024, we find all stocks held by First Affirmative Financial Network to be as follows, presented in the table below with each row detailing each First Affirmative Financial Network position, ordered by largest to smallest position size. The all-stocks-held-by-First Affirmative Financial Network table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by First Affirmative Financial Network as of the latest filing.

   EntityAmountChange
 12/31/2023 to 03/31/2024
Position Size
($ in 1000's)
VANGUARD SCOTTSDALE FDS (VGIT) 156,074 +1,577 $9,138
     VGIT156,074+1,577$9,138
SPDR SER TR (SPTS) 203,407 -1,737 $5,883
     SPTS203,407-1,737$5,883
ISHARES TR (DSI) 40,635 -8,183 $4,096
     DSI40,635-8,183$4,096
NVIDIA CORPORATION 4,322 -169 $3,905
     NVDA4,322-169$3,905
APPLE INC 21,997 +1,700 $3,772
     AAPL21,997+1,700$3,772
MICROSOFT CORP 7,331 -50 $3,084
     MSFT7,331-50$3,084
INVESCO EXCH TRADED FD TR II (CGW) 38,912 -287 $2,161
     CGW38,912-287$2,161
PROSHARES TR (TBX) 54,263 -1,245 $1,587
     TBX54,263-1,245$1,587
ALPHABET INC 10,364 +109 $1,564
     GOOGL10,364+109$1,564
AMAZON COM INC 8,581 +518 $1,548
     AMZN8,581+518$1,548
ISHARES TR (ICLN) 108,199 +2,039 $1,513
     ICLN108,199+2,039$1,513
PIMCO ETF TR (EMNT) 15,196 -362 $1,499
     EMNT15,196-362$1,499
META PLATFORMS INC 2,754 +64 $1,337
     META2,754+64$1,337
MASTERCARD INCORPORATED 2,704 +17 $1,302
     MA2,704+17$1,302
TAIWAN SEMICONDUCTOR MFG LTD 9,095 -348 $1,237
     TSM9,095-348$1,237
APPLIED MATLS INC 5,798 -239 $1,196
     AMAT5,798-239$1,196
CHUNGHWA TELECOM CO LTD 30,113 +1,113 $1,179
     CHT30,113+1,113$1,179
SAP SE 5,355 +82 $1,044
     SAP5,355+82$1,044
ALPHABET INC 6,834 +473 $1,041
     GOOG6,834+473$1,041
THERMO FISHER SCIENTIFIC INC 1,764 -10 $1,025
     TMO1,764-10$1,025
AMERICAN EXPRESS CO 4,488 -16 $1,022
     AXP4,488-16$1,022
ELI LILLY & CO 1,275 -4 $992
     LLY1,275-4$992
PROCTER AND GAMBLE CO 6,034 +129 $979
     PG6,034+129$979
VISA INC 3,491 +221 $974
     V3,491+221$974
ADOBE INC 1,766 +50 $891
     ADBE1,766+50$891
INTUIT 1,305 -20 $848
     INTU1,305-20$848
UNITEDHEALTH GROUP INC 1,710 +64 $846
     UNH1,710+64$846
UNILEVER PLC 16,709 +336 $839
     UL16,709+336$839
ASML HOLDING N V 836 -60 $812
     ASML836-60$812
JOHNSON & JOHNSON 5,112 -29 $809
     JNJ5,112-29$809
ISHARES TR (SUB) 7,672 -114 $804
     SUB7,672-114$804
TESLA INC 4,396 +190 $773
     TSLA4,396+190$773
CISCO SYS INC 15,470 -86 $772
     CSCO15,470-86$772
CHUBB LIMITED 2,848 -93 $738
     CB2,848-93$738
INTEL CORP 16,608 +299 $734
     INTC16,608+299$734
MERCK & CO INC 5,498 -149 $725
     MRK5,498-149$725
ABBVIE INC 3,894 -22 $709
     ABBV3,894-22$709
DANAHER CORPORATION 2,810 +48 $702
     DHR2,810+48$702
AUTOMATIC DATA PROCESSING IN 2,757 +25 $689
     ADP2,757+25$689
TOYOTA MOTOR CORP 2,685 -231 $676
     TM2,685-231$676
SERVICENOW INC 862 -17 $657
     NOW862-17$657
MEDTRONIC PLC 7,460 +253 $650
     MDT7,460+253$650
GRAINGER W W INC 638 +24 $649
     GWW638+24$649
STRYKER CORPORATION 1,810 +1 $648
     SYK1,810+1$648
BOOKING HOLDINGS INC 178 +12 $647
     BKNG178+12$647
SPDR SER TR (SHM) 13,645 +161 $647
     SHM13,645+161$647
ILLINOIS TOOL WKS INC 2,378 +59 $638
     ITW2,378+59$638
NOVO NORDISK A S 4,899 -817 $629
     NVO4,899-817$629
BROADCOM INC 473 +58 $627
     AVGO473+58$627
ISHARES TR (MUB) 5,775 -115 $621
     MUB5,775-115$621
EATON CORP PLC 1,924 -93 $602
     ETN1,924-93$602
TORONTO DOMINION BK ONT 9,930 +929 $600
     TD9,930+929$600
NETFLIX INC 983 +28 $597
     NFLX983+28$597
AMERICAN CENTY ETF TR (TAXF) 11,807 +863 $597
     TAXF11,807+863$597
ANALOG DEVICES INC 3,008 +51 $595
     ADI3,008+51$595
AMERICAN WTR WKS CO INC NEW 4,863 +49 $594
     AWK4,863+49$594
PROLOGIS INC. 4,553 +233 $593
     PLD4,553+233$593
BANK NOVA SCOTIA HALIFAX 11,402 +664 $590
     BNS11,402+664$590
HOME DEPOT INC 1,471 -42 $564
     HD1,471-42$564
SALESFORCE INC 1,860 +232 $560
     CRM1,860+232$560
PALO ALTO NETWORKS INC 1,957 -598 $556
     PANW1,957-598$556
SYNOPSYS INC 962 -87 $550
     SNPS962-87$550
INTERNATIONAL BUSINESS MACHS 2,859 -87 $546
     IBM2,859-87$546
THE CIGNA GROUP 1,489 -229 $541
     CI1,489-229$541
TARGET CORP 3,050 -109 $541
     TGT3,050-109$541
AMERICAN TOWER CORP NEW 2,731 +93 $540
     AMT2,731+93$540
JPMORGAN CHASE & CO 2,694 +100 $540
     JPM2,694+100$540
REALTY INCOME CORP 9,828 +201 $532
     O9,828+201$532
UNITED PARCEL SERVICE INC 3,539 -51 $526
     UPS3,539-51$526
CINTAS CORP 761 -14 $523
     CTAS761-14$523
ORACLE CORP 4,143 +28 $520
     ORCL4,143+28$520
TRANE TECHNOLOGIES PLC 1,720 +20 $516
     TT1,720+20$516
INVESCO EXCH TRADED FD TR II (PZA) 21,565 +235 $514
     PZA21,565+235$514
LAM RESEARCH CORP 525 +13 $510
     LRCX525+13$510
TEXAS INSTRS INC 2,906 +90 $506
     TXN2,906+90$506
ABBOTT LABS 4,431 -16 $504
     ABT4,431-16$504
S&P GLOBAL INC 1,183 +53 $503
     SPGI1,183+53$503
ACCENTURE PLC IRELAND 1,446 +66 $501
     ACN1,446+66$501
DISNEY WALT CO 4,043 +50 $495
     DIS4,043+50$495
ECOLAB INC 2,127 -76 $491
     ECL2,127-76$491
ELEVANCE HEALTH INC 927 +28 $480
     ELV927+28$480
CANADIAN PACIFIC KANSAS CITY 5,361 +210 $473
     CP5,361+210$473
AUTODESK INC 1,802 +49 $469
     ADSK1,802+49$469
TRAVELERS COMPANIES INC 2,038 -135 $469
     TRV2,038-135$469
EQUINIX INC 564 -13 $466
     EQIX564-13$466
STARBUCKS CORP 5,066 -223 $463
     SBUX5,066-223$463
CANADIAN NATL RY CO 3,510 +168 $462
     CNI3,510+168$462
NOVARTIS AG 4,757 -218 $460
     NVS4,757-218$460
MCCORMICK & CO INC 5,913 +803 $454
     MKC5,913+803$454
KIMBERLY CLARK CORP 3,501 +207 $453
     KMB3,501+207$453
SPDR SER TR (TFI) 9,719 +124 $452
     TFI9,719+124$452
ADVANCED MICRO DEVICES INC 2,494 +15 $450
     AMD2,494+15$450
PIMCO ETF TR (MUNI) 8,453 -185 $444
     MUNI8,453-185$444
ISHARES TR (IBMM) 16,990 -288 $441
     IBMM16,990-288$441
WASTE MGMT INC DEL 2,049 -23 $437
     WM2,049-23$437
WORKDAY INC 1,595 +149 $435
     WDAY1,595+149$435
COMCAST CORP NEW 9,992 +541 $433
     CMCSA9,992+541$433
INVESTMENT MANAGERS SER TR I 11,718 -88 $430
     CHGX11,718-88$430
LOWES COS INC 1,668 -307 $425
     LOW1,668-307$425
ORANGE 36,083 +2,810 $425
     ORAN36,083+2,810$425
CADENCE DESIGN SYSTEM INC 1,325 +46 $412
     CDNS1,325+46$412
VERIZON COMMUNICATIONS INC 9,769 -18 $410
     VZ9,769-18$410
ISHARES TR (IBMO) 15,927 -389 $404
     IBMO15,927-389$404
PROGRESSIVE CORP 1,935 +81 $400
     PGR1,935+81$400
ALLSTATE CORP 2,307 +2 $399
     ALL2,307+2$399
VERTEX PHARMACEUTICALS INC 943 -1 $394
     VRTX943-1$394
EQUITY RESIDENTIAL 6,211 +45 $392
     EQR6,211+45$392
US BANCORP DEL 8,766 +36 $392
     USB8,766+36$392
ROYAL BK CDA 3,861 -13 $390
     RY3,861-13$390
INTUITIVE SURGICAL INC 970 +70 $387
     ISRG970+70$387
AUTOLIV INC 3,199 -519 $385
     ALV3,199-519$385
BANK MONTREAL QUE 3,917 -11 $383
     BMO3,917-11$383
TJX COS INC NEW 3,720 -190 $377
     TJX3,720-190$377
ISHARES TR (IBMN) 14,084 +171 $373
     IBMN14,084+171$373
TELUS CORPORATION 23,169 +1,097 $371
     TU23,169+1,097$371
COSTCO WHSL CORP NEW 501 -12 $367
     COST501-12$367
INVESCO EXCH TRADED FD TR II (PVI) 14,748 +162 $366
     PVI14,748+162$366
AMGEN INC 1,259 +76 $358
     AMGN1,259+76$358
VANGUARD WORLD FD (MGK) 1,243 UNCH $356
     MGK1,243UNCH$356
CINCINNATI FINL CORP 2,856 +1 $355
     CINF2,856+1$355
OTIS WORLDWIDE CORP 3,576 -122 $355
     OTIS3,576-122$355
BROADRIDGE FINL SOLUTIONS IN 1,728 +72 $354
     BR1,728+72$354
QUALCOMM INC 2,084 -277 $353
     QCOM2,084-277$353
CUMMINS INC 1,185 +8 $349
     CMI1,185+8$349
MICRON TECHNOLOGY INC 2,946 +131 $347
     MU2,946+131$347
CANADIAN IMPERIAL BK COMM TO 6,828 -61 $346
     CM6,828-61$346
GENUINE PARTS CO 2,226 -7 $345
     GPC2,226-7$345
AFLAC INC 3,989 -52 $342
     AFL3,989-52$342
COLGATE PALMOLIVE CO 3,793 +230 $342
     CL3,793+230$342
BROWN & BROWN INC 3,901 +874 $341
     BRO3,901+874$341
LINDE PLC 735 -21 $341
     LIN735-21$341
CME GROUP INC 1,576 +79 $339
     CME1,576+79$339
TENNANT CO 2,782 -10 $338
     TNC2,782-10$338
BANK AMERICA CORP 8,697 -126 $330
     BAC8,697-126$330
WABTEC 2,259 -76 $329
     WAB2,259-76$329
SUN LIFE FINANCIAL INC. 5,996 +726 $327
     SLF5,996+726$327
MARSH & MCLENNAN COS INC 1,582 +376 $326
     MMC1,582+376$326
WEST PHARMACEUTICAL SVSC INC 812 -5 $321
     WST812-5$321
AIR PRODS & CHEMS INC 1,314 +6 $318
     APD1,314+6$318
GILEAD SCIENCES INC 4,342 +147 $318
     GILD4,342+147$318
KT CORP 22,653 +1,575 $318
     KT22,653+1,575$318
OPEN TEXT CORP 8,198 +154 $318
     OTEX8,198+154$318
WASTE CONNECTIONS INC 1,842 +69 $317
     WCN1,842+69$317
STANTEC INC 3,810 +26 $316
     STN3,810+26$316
ASTRAZENECA PLC 4,638 -302 $314
     AZN4,638-302$314
AMCOR PLC 32,704 +2,505 $311
     AMCR32,704+2,505$311
VANGUARD MUN BD FDS (VTEB) 6,125 -479 $310
     VTEB6,125-479$310
HUBSPOT INC 493 +18 $309
     HUBS493+18$309
TE CONNECTIVITY LTD 2,120 -38 $308
     TEL2,120-38$308
CGI INC 2,732 +229 $302
     GIB2,732+229$302
MONDELEZ INTL INC 4,314 -7 $302
     MDLZ4,314-7$302
ZOETIS INC 1,775 -146 $300
     ZTS1,775-146$300
MORGAN STANLEY 3,161 -160 $298
     MS3,161-160$298
NXP SEMICONDUCTORS N V 1,202 -64 $298
     NXPI1,202-64$298
COCA COLA CO 4,801 +275 $294
     KO4,801+275$294
ESSENTIAL UTILS INC 7,910 +386 $293
     WTRG7,910+386$293
WEYERHAEUSER CO MTN BE 8,099 +76 $291
     WY8,099+76$291
MURPHY USA INC 689 +39 $289
     MUSA689+39$289
UNION PAC CORP 1,172 +58 $288
     UNP1,172+58$288
PEPSICO INC 1,629 -63 $285
     PEP1,629-63$285
CROWDSTRIKE HLDGS INC 884 +72 $283
     CRWD884+72$283
TELEFONICA S A 64,102 +3,038 $283
     TEF64,102+3,038$283
BECTON DICKINSON & CO 1,140 +30 $282
     BDX1,140+30$282
LLOYDS BANKING GROUP PLC 108,546 +315 $281
     LYG108,546+315$281
ISHARES TR (IGSB) 5,468 -354 $280
     IGSB5,468-354$280
JOHNSON CTLS INTL PLC 4,291 -74 $280
     JCI4,291-74$280
AMDOCS LTD 3,085 +157 $279
     DOX3,085+157$279
IQVIA HLDGS INC 1,105 -49 $279
     IQV1,105-49$279
RAYONIER INC 8,387 -70 $279
     RYN8,387-70$279
MANULIFE FINL CORP 11,086 +482 $277
     MFC11,086+482$277
BOSTON SCIENTIFIC CORP 4,028 +166 $276
     BSX4,028+166$276
ABRDN PRECIOUS METALS BASKET 2,880 -2 $275
     GLTR2,880-2$275
BLUE OWL CAPITAL CORPORATION 17,401 +1,461 $268
     OBDC17,401+1,461$268
GARMIN LTD 1,789 +12 $266
     GRMN1,789+12$266
PAYPAL HLDGS INC 3,943 -2,027 $264
     PYPL3,943-2,027$264
GSK PLC 6,076 +111 $260
     GSK6,076+111$260
PUBLIC STORAGE 896 +113 $260
     PSA896+113$260
PENTAIR PLC 3,033 -712 $259
     PNR3,033-712$259
BRISTOL MYERS SQUIBB CO 4,718 +767 $256
     BMY4,718+767$256
SCHWAB CHARLES CORP 3,504 -138 $253
     SCHW3,504-138$253
CARRIER GLOBAL CORPORATION 4,314 +254 $251
     CARR4,314+254$251
ORIX CORP 2,278 +94 $251
     IX2,278+94$251
PAYCHEX INC 2,025 +6 $249
     PAYX2,025+6$249
SHOPIFY INC 3,233 +3,233 $249
     SHOP3,233+3,233$249
SONOCO PRODS CO 4,308 -90 $249
     SON4,308-90$249
CATERPILLAR INC 664 -86 $243
     CAT664-86$243
EBAY INC. 4,589 +4,589 $242
     EBAY4,589+4,589$242
PARKER HANNIFIN CORP 435 +435 $242
     PH435+435$242
BANK HAWAII CORP 3,813 -28 $238
     BOH3,813-28$238
ROGERS COMMUNICATIONS INC 5,801 +186 $238
     RCI5,801+186$238
BAIN CAP SPECIALTY FIN INC 15,099 +199 $237
     BCSF15,099+199$237
ANSYS INC 679 -183 $236
     ANSS679-183$236
HILTON WORLDWIDE HLDGS INC 1,099 +1,099 $234
     HLT1,099+1,099$234
FIRST SOLAR INC 1,378 -169 $233
     FSLR1,378-169$233
MCDONALDS CORP 825 -122 $233
     MCD825-122$233
COOPER COS INC 2,284 +1,754 $232
     COO2,284+1,754$232
DIAGEO PLC 1,553 +41 $231
     DEO1,553+41$231
NIKE INC 2,459 -682 $231
     NKE2,459-682$231
THOMSON REUTERS CORP. 1,477 -98 $230
     TRI1,477-98$230
BCE INC 6,728 +569 $229
     BCE6,728+569$229
AT&T INC 12,962 +12,962 $228
     T12,962+12,962$228
REYNOLDS CONSUMER PRODS INC 7,928 +145 $226
     REYN7,928+145$226
SK TELECOM LTD 10,453 -457 $225
     SKM10,453-457$225
DOLBY LABORATORIES INC 2,637 +49 $221
     DLB2,637+49$221
SANOFI 4,518 +277 $220
     SNY4,518+277$220
APTIV PLC 2,748 +107 $219
     APTV2,748+107$219
CONSTELLATION BRANDS INC 804 -25 $219
     STZ804-25$219
PULTE GROUP INC 1,782 +1,782 $215
     PHM1,782+1,782$215
PRICE T ROWE GROUP INC 1,749 +1,749 $213
     TROW1,749+1,749$213
PEARSON PLC 16,041 -478 $211
     PSO16,041-478$211
CSX CORP 5,667 +5,667 $210
     CSX5,667+5,667$210
AVALONBAY CMNTYS INC 1,125 -369 $209
     AVB1,125-369$209
HANNON ARMSTRONG SUST INFR C 7,354 -77 $209
     HASI7,354-77$209
KB FINL GROUP INC 4,018 +4,018 $209
     KB4,018+4,018$209
NETSTREIT CORP 11,381 -159 $209
     NTST11,381-159$209
ROCKET COS INC 14,272 +822 $208
     RKT14,272+822$208
MANAGER DIRECTED PORTFOLIOS 21,171 +212 $208
     VGSR21,171+212$208
EQUITY COMWLTH 10,972 +775 $207
     EQC10,972+775$207
T MOBILE US INC 1,269 +1,269 $207
     TMUS1,269+1,269$207
KONINKLIJKE PHILIPS N V 10,272 +1,014 $205
     PHG10,272+1,014$205
CHIPOTLE MEXICAN GRILL INC 70 +70 $203
     CMG70+70$203
KROGER CO 3,545 +3,545 $203
     KR3,545+3,545$203
SHINHAN FINANCIAL GROUP CO L 5,712 +5,712 $203
     SHG5,712+5,712$203
ISHARES TR (GNMA) 4,633 -123 $201
     GNMA4,633-123$201
SUMITOMO MITSUI FINL GROUP I 16,948 +1,462 $199
     SMFG16,948+1,462$199
MITSUBISHI UFJ FINL GROUP IN 18,525 -1,764 $190
     MUFG18,525-1,764$190
GOLUB CAP BDC INC 10,420 +10,420 $173
     GBDC10,420+10,420$173
COMPANHIA DE SANEAMENTO BASI 10,096 +10,096 $170
     SBS10,096+10,096$170
ASE TECHNOLOGY HLDG CO LTD 14,269 -228 $157
     ASX14,269-228$157
TELEFONAKTIEBOLAGET LM ERICS 26,354 +2,268 $145
     ERIC26,354+2,268$145
MIZUHO FINANCIAL GROUP INC 36,029 -436 $143
     MFG36,029-436$143
GRUPO AVAL ACCIONES Y VALORE 54,549 +8,268 $126
     AVAL54,549+8,268$126
CENTRAIS ELETRICAS BRASILEIR 14,750 +1,108 $123
     EBR14,750+1,108$123
NOKIA CORP 31,351 +2,932 $111
     NOK31,351+2,932$111
NATWEST GROUP PLC 15,846 +923 $108
     NWG15,846+923$108
HIMAX TECHNOLOGIES INC 19,868 -85 $106
     HIMX19,868-85$106
CIA ENERGETICA DE MINAS GERA 41,469 +2,163 $102
     CIG41,469+2,163$102
VODAFONE GROUP PLC NEW 10,249 +10,249 $91
     VOD10,249+10,249$91
SUNNOVA ENERGY INTL INC. 13,138 +1,776 $81
     NOVA13,138+1,776$81
ITAU UNIBANCO HLDG S A 11,452 -1,094 $79
     ITUB11,452-1,094$79
HUDSON PAC PPTYS INC 11,608 -943 $75
     HPP11,608-943$75
OPENDOOR TECHNOLOGIES INC 24,829 +2,010 $75
     OPEN24,829+2,010$75
NOMURA HLDGS INC 11,101 +619 $71
     NMR11,101+619$71
NIO INC 13,256 +2,768 $60
     NIO13,256+2,768$60
WIPRO LTD 10,168 -581 $58
     WIT10,168-581$58
COMPANHIA SIDERURGICA NACION 13,664 -11 $43
     SID13,664-11$43
PLUG POWER INC 11,814 +627 $41
     PLUG11,814+627$41
TPI COMPOSITES INC 12,540 +24 $36
     TPIC12,540+24$36
GEVO INC 31,324 -712 $24
     GEVO31,324-712$24
VILLAGE FARMS INTL INC 19,592 +401 $24
     VFF19,592+401$24
BRAINSTORM CELL THERAPEUTICS 15,278 -425 $9
     BCLI15,278-425$9
VERU INC 11,671 +11,671 $8
     VERU11,671+11,671$8
DARE BIOSCIENCE INC 12,211 +1,114 $6
     DARE12,211+1,114$6
WORKHORSE GROUP INC 11,009 +11,009 $3
     WKHS11,009+11,009$3
AURORA CANNABIS INC $0 (exited)
     ACB0-18,145$0
HDFC BANK LTD $0 (exited)
     HDB0-3,164$0
LAMB WESTON HLDGS INC $0 (exited)
     LW0-1,922$0
MARRIOTT INTL INC NEW $0 (exited)
     MAR0-913$0
ISHARES TR $0 (exited)
     NYF0-4,300$0
ZHONGCHAO INC 0 -15,332 $0 (exited)
     ZCMD0-15,332$0

See Summary: First Affirmative Financial Network Top Holdings
See Details: Top 10 Stocks Held By First Affirmative Financial Network

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