Holdings Channel
EntityShares/Amount
Change
Position Value
Change
GRAYSCALE ETHEREUM TR ET +184,136+$4,815
FBTC +73,151+$4,540
SCHG +46,408+$4,303
IBIT +98,411+$3,983
ESGU +22,980+$2,642
BUFF +45,715+$1,908
EWJ +18,369+$1,311
SMCI +1,248+$1,261
DKNG +22,728+$1,032
CALF +19,668+$967
EntityShares/Amount
Change
Position Value
Change
GRAYSCALE ETHEREUM TRUST -201,391-$3,915
DVA -27,027-$2,831
GNRC -18,686-$2,415
SCHM -27,522-$2,283
PDP -20,787-$1,777
GPS -43,005-$899
PEG -12,803-$783
TDW -10,440-$753
DD -9,670-$744
CME -3,318-$699
EntityShares/Amount
Change
Position Value
Change
BITX +114,524+$6,729
WMT +36,906+$613
NAT +33,243+$128
BUFR +22,255+$638
DSM +16,800+$101
IJH +15,209+$458
SPLG +13,856+$879
BIL +13,550+$1,247
BAC +11,947+$740
MAV +11,810+$101
EntityShares/Amount
Change
Position Value
Change
DM -1,098,428-$622
GBTC -233,075+$973
PBT -62,493-$982
GRAYSCALE LITECOIN TRUST -48,500+$1,307
BKKT -41,040-$332
DVN -25,963-$1,114
NEE -25,878-$1,340
NIO -25,404-$465
GOVT -24,876-$592
Size ($ in 1000's)
At 03/31/2024: $868,173
At 12/31/2023: $885,823

Combined Holding Report Includes:
KINGSWOOD WEALTH ADVISORS LLC
GEOWEALTH MANAGEMENT LLC

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

All Stocks Held By Kingswood Wealth Advisors LLC
As of  03/31/2024, we find all stocks held by Kingswood Wealth Advisors LLC to be as follows, presented in the table below with each row detailing each Kingswood Wealth Advisors LLC position, ordered by largest to smallest position size. The all-stocks-held-by-Kingswood Wealth Advisors LLC 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 Kingswood Wealth Advisors LLC as of the latest filing.

   EntityAmountChange
 12/31/2023 to 03/31/2024
Position Size
($ in 1000's)
APPLE INC 251,106 -21,638 $43,060
     AAPL251,106-21,638$43,060
MICROSOFT CORPORATION 82,992 -12,257 $34,917
     MSFT82,992-12,257$34,917
NVIDIA CORPORATION 32,921 -5,975 $29,747
     NVDA32,921-5,975$29,747
AMAZON.COM INC 110,611 -23,786 $19,952
     AMZN110,611-23,786$19,952
SPDR S&P 500 EXCHANGE TRADED FUND (SPY) 37,947 -20,915 $19,849
     SPY37,947-20,915$19,849
GRAYSCALE BITCOIN EXCHANGE TRADED FUND (GBTC)      $19,279
     GBTC296,220-227,750$18,712
     COMMON STOCK33,984+33,984$567
META PLATFORMS INC 28,335 +310 $13,759
     META28,335+310$13,759
ALPHABET INCORPORATED CAP STK CLASS C 70,076 -9,932 $10,670
     GOOG70,076-9,932$10,670
INVESCO QQQ TR 22,113 -8,053 $9,819
     QQQ22,113-8,053$9,819
ALPHABET INCORPORATED CAP STK CLASS A 62,458 -7,741 $9,427
     GOOGL62,458-7,741$9,427
ISHARES CORE S&P 500 (IVV) 17,546 +1,200 $9,225
     IVV17,546+1,200$9,225
BERKSHIRE HATHAWAY      $8,802
     BRK.B16,405-1,962$6,899
     BRK.A3-2$1,903
MICROSTRATEGY INC 4,333 +2,321 $7,386
     MSTR4,333+2,321$7,386
2X BITCOIN STRATEGY EXCHANGE TRADED FUND (BITX) 135,184 +114,524 $7,199
     BITX135,184+114,524$7,199
UNITEDHEALTH GRP INC 14,456 -1,274 $7,152
     UNH14,456-1,274$7,152
VISA INC 25,583 -1,044 $7,140
     V25,583-1,044$7,140
ELI LILLY & COMPANY 9,021 -851 $7,018
     LLY9,021-851$7,018
JPMORGAN CHASE & COMPANY 34,526 -7,291 $6,916
     JPM34,526-7,291$6,916
TESLA INC 36,096 -15,925 $6,345
     TSLA36,096-15,925$6,345
GENERAL ELECTRIC CO 34,727 -3,057 $6,096
     GE34,727-3,057$6,096
BROADCOM INC 4,198 -1,157 $5,564
     AVGO4,198-1,157$5,564
EXXON MOBIL CORPORATION 45,531 +6,724 $5,293
     XOM45,531+6,724$5,293
MERCK & CO. INC. 37,714 -11,715 $4,976
     MRK37,714-11,715$4,976
NETFLIX INC 8,139 -3,309 $4,943
     NFLX8,139-3,309$4,943
CATERPILLAR INC 13,453 -5,192 $4,930
     CAT13,453-5,192$4,930
PROLOGIS INC. 37,384 -2,919 $4,868
     PLD37,384-2,919$4,868
GRAYSCALE ETHEREUM TR ET      $4,815
     CLOSED END MUTL FUND184,136+184,136$4,815
NEXTERA ENERGY INC 73,279 -25,878 $4,683
     NEE73,279-25,878$4,683
ELEVANCE HEALTH INC 8,923 -2,321 $4,627
     ELV8,923-2,321$4,627
FIDELITY WISE ORIGIN 73,151 +73,151 $4,540
     FBTC73,151+73,151$4,540
SCHWAB US LARGE CAP 46,408 +46,408 $4,303
     SCHG46,408+46,408$4,303
SALESFORCE INC 14,187 -2,274 $4,273
     CRM14,187-2,274$4,273
JPMORGAN COMMON STOCK PREMIUM 73,183 -9,461 $4,234
     JEPI73,183-9,461$4,234
HOME DEPOT INC 10,955 -1,809 $4,202
     HD10,955-1,809$4,202
ISHARES MSCI USA MIN VOL (USMV) 50,196 -9,886 $4,195
     USMV50,196-9,886$4,195
COSTCO WHOLESALE CO 5,712 -1,445 $4,185
     COST5,712-1,445$4,185
MASTERCARD INC 8,533 -266 $4,109
     MA8,533-266$4,109
GOLDMAN SACHS GROUP INC 9,835 -878 $4,108
     GS9,835-878$4,108
ISHARES BITCOIN EXCHANGE TRADED FUND (IBIT) 98,411 +98,411 $3,983
     IBIT98,411+98,411$3,983
TEXAS INSTRS INCORPORATED 22,276 -9,488 $3,881
     TXN22,276-9,488$3,881
ISHARES GLOBAL 100 (IOO) 41,330 +840 $3,695
     IOO41,330+840$3,695
PROSHARES ULTRA S&P 500 (SSO) 47,329 -7,515 $3,669
     SSO47,329-7,515$3,669
FIRST TRUST CAPITAL STRENGTH (FTCS) 42,744 +1,740 $3,661
     FTCS42,744+1,740$3,661
RTX CORPORATION 37,067 -5,942 $3,615
     RTX37,067-5,942$3,615
ISHARES MSCI USA MOMNTUM (MTUM) 19,117 -552 $3,582
     MTUM19,117-552$3,582
JOHNSON & JOHNSON 22,330 -322 $3,532
     JNJ22,330-322$3,532
VANGUARD SMALL CAP EXCHANGE TRADED FUND (VB) 15,374 -7,007 $3,514
     VB15,374-7,007$3,514
ABBVIE INC 19,232 +274 $3,502
     ABBV19,232+274$3,502
GRAYSCALE LITECOIN TRUST      $3,495
     COMMON STOCK90,445+90,445$3,495
CHEVRON CORP 22,079 +8,557 $3,483
     CVX22,079+8,557$3,483
KKR & COMPANY INCORPORATED 33,953 -233 $3,415
     KKR33,953-233$3,415
WISDOMTREE U.S. LARGECAP DIVIDEND FUND (DLN) 45,516 -4,170 $3,286
     DLN45,516-4,170$3,286
INTUIT INC 5,038 UNCH $3,275
     INTU5,038UNCH$3,275
ISHARES RUSSELL 1000 (IWF) 9,619 +1,282 $3,242
     IWF9,619+1,282$3,242
SPDR DOW JONES (DIA) 8,138 -8,598 $3,237
     DIA8,138-8,598$3,237
VANGUARD TOTAL STOCK (VTI) 12,396 -2,563 $3,222
     VTI12,396-2,563$3,222
WALMART INCORPORATED 53,407 +36,906 $3,214
     WMT53,407+36,906$3,214
PROCTER & GAMBLE 19,383 -4,837 $3,145
     PG19,383-4,837$3,145
PARKER HANNIFIN CORP 5,570 -4,280 $3,096
     PH5,570-4,280$3,096
BANK AMERICA CORPORATION 79,458 +11,947 $3,013
     BAC79,458+11,947$3,013
QUALCOMM INC 17,609 -3,908 $2,981
     QCOM17,609-3,908$2,981
HONEYWELL INTL INC 14,469 -4,869 $2,970
     HON14,469-4,869$2,970
WELLS FARGO & CO 50,700 -2,631 $2,939
     WFC50,700-2,631$2,939
ADVANCED MICRO DEVICES INCORPORATED 16,118 -532 $2,909
     AMD16,118-532$2,909
SERVICE NOW INC 3,693 -971 $2,816
     NOW3,693-971$2,816
VANGUARD INDEX FUNDS S&P 500 (VOO) 5,811 -801 $2,794
     VOO5,811-801$2,794
LOCKHEED MARTIN CORPORATION 6,123 -8,035 $2,785
     LMT6,123-8,035$2,785
VANGUARD DIVIDEND APPRECIATION (VIG) 15,246 -6,609 $2,784
     VIG15,246-6,609$2,784
TRANSDIGM GROUP INC 2,222 -66 $2,737
     TDG2,222-66$2,737
MID AMERICA APARTMENT CO 20,391 -6,454 $2,683
     MAA20,391-6,454$2,683
SPDR S&P DIVIDEND EXCHANGE TRADED FUND (SDY) 20,438 +944 $2,682
     SDY20,438+944$2,682
BOEING COMPANY 13,872 -8,302 $2,677
     BA13,872-8,302$2,677
ISHARES ESG AWARE MSCI (ESGU) 22,980 +22,980 $2,642
     ESGU22,980+22,980$2,642
THERMO FISHER SCIENTIFIC INCORPORATED 4,407 -294 $2,561
     TMO4,407-294$2,561
ESSEX PROPERTY TR 10,456 -2,871 $2,560
     ESS10,456-2,871$2,560
ISHARES TR CORE US AGGBD EXCHANGE TRADED FUND (AGG) 25,730 +9,121 $2,520
     AGG25,730+9,121$2,520
THE COCA COLA CO 40,864 +1,822 $2,500
     KO40,864+1,822$2,500
BRISTOL MYERS SQUIBB 45,747 +158 $2,481
     BMY45,747+158$2,481
PROSHARES S&P 500 DIVIDEND (NOBL) 23,885 -3,101 $2,422
     NOBL23,885-3,101$2,422
WASTE MANAGEMENT INC 11,336 -171 $2,416
     WM11,336-171$2,416
CADENCE DESIGN SYSTEM INCORPORATED 7,633 -6 $2,376
     CDNS7,633-6$2,376
CISCO SYSTEMS INC 47,533 -2,496 $2,372
     CSCO47,533-2,496$2,372
DANAHER CORPORATION 9,426 -244 $2,354
     DHR9,426-244$2,354
EATON CORPORATION PLC SHS 7,373 -373 $2,305
     ETN7,373-373$2,305
SPDR GOLD SHARES (GLD) 11,203 -21,221 $2,305
     GLD11,203-21,221$2,305
INTEL CORPORATION 52,186 -16,638 $2,305
     INTC52,186-16,638$2,305
CLOUDFLARE INC 23,729 -3,629 $2,298
     NET23,729-3,629$2,298
VERIZON COMMUNICATIONS INCORPORATED 53,905 -20,890 $2,262
     VZ53,905-20,890$2,262
JPMORGAN ULTRA SHORT 44,397 +5,628 $2,240
     JPST44,397+5,628$2,240
ADOBE INC 4,411 -943 $2,226
     ADBE4,411-943$2,226
FS KKR CAPITAL CORP 115,290 +3,162 $2,199
     FSK115,290+3,162$2,199
HILTON WORLDWIDE HLDGS INCORPORATED 10,192 -515 $2,174
     HLT10,192-515$2,174
TEXAS PACIFIC LAND CORP 3,681 +2,373 $2,129
     TPL3,681+2,373$2,129
ABBOTT LABORATORIES 18,701 -897 $2,126
     ABT18,701-897$2,126
MARRIOTT INTL INC 8,278 -72 $2,089
     MAR8,278-72$2,089
J P MORGAN NASDAQ EQT 38,175 -1,149 $2,071
     JEPQ38,175-1,149$2,071
VANECK SEMICONDUCTOR 9,159 +23 $2,061
     SMH9,159+23$2,061
CONOCOPHILLIPS 15,577 -1,224 $1,983
     COP15,577-1,224$1,983
IDEXX LABS INCORPORATED 3,644 +8 $1,968
     IDXX3,644+8$1,968
CVS HEALTH CORPORATION 24,546 -3,874 $1,958
     CVS24,546-3,874$1,958
BLUE OWL CAPITAL CORPORATION 127,195 +5,837 $1,956
     OBDC127,195+5,837$1,956
AIR PROD & CHEMICALS 8,014 -6,873 $1,942
     APD8,014-6,873$1,942
SPDR BLOOMBERG 1 3 MNTH (BIL) 21,078 +13,550 $1,935
     BIL21,078+13,550$1,935
A T & T INC 109,646 -23,687 $1,930
     T109,646-23,687$1,930
PEPSICO INC 10,973 +4,992 $1,920
     PEP10,973+4,992$1,920
CAPITAL ONE FINL CORPORATION 12,870 +2,403 $1,916
     COF12,870+2,403$1,916
APPLIED MATERIALS INC 9,273 -2,338 $1,912
     AMAT9,273-2,338$1,912
TRANE TECHNOLOGIES PLC SHS 6,360 -7,148 $1,909
     TT6,360-7,148$1,909
INNOVATOR LADDERED ALLOCATION POWER BUFFER 45,715 +45,715 $1,908
     BUFF45,715+45,715$1,908
IBM CORP 9,992 -3,227 $1,908
     IBM9,992-3,227$1,908
FRANKLIN SHORT DURATION U.S. GOVERNMENT 21,000 UNCH $1,893
     FTSD21,000UNCH$1,893
TARGET CORPORATION 10,634 -26 $1,885
     TGT10,634-26$1,885
CITIGROUP INC 29,741 -3,129 $1,881
     C29,741-3,129$1,881
AMGEN INC 6,611 -183 $1,880
     AMGN6,611-183$1,880
MONOLITHIC PWR SYSTEMS INCORPORATED 2,770 -118 $1,876
     MPWR2,770-118$1,876
WALT DISNEY CO 15,261 -1,844 $1,867
     DIS15,261-1,844$1,867
DUKE ENERGY CORP 19,287 -2,805 $1,865
     DUK19,287-2,805$1,865
COMCAST CORP 42,693 -3,081 $1,851
     CMCSA42,693-3,081$1,851
NOVO NORDISK ADR 14,369 -9,361 $1,845
     NVO14,369-9,361$1,845
MCDONALDS CORPORATION 6,301 -167 $1,777
     MCD6,301-167$1,777
CHIPOTLE MEXICAN GRILL INC 598 -29 $1,738
     CMG598-29$1,738
GENERAL DYNAMICS CORPORATION 6,151 -4,629 $1,738
     GD6,151-4,629$1,738
MARATHON PETE CORPORATION 8,510 -1,681 $1,715
     MPC8,510-1,681$1,715
POOL CORPORATION 4,246 -346 $1,713
     POOL4,246-346$1,713
VANGUARD FTSE DEVELOPED MARKETS (VEA) 34,008 +7,715 $1,706
     VEA34,008+7,715$1,706
SOUTHERN COMPANY 23,751 -2,211 $1,704
     SO23,751-2,211$1,704
UBER TECHNOLOGIES INC 22,001 +5,434 $1,694
     UBER22,001+5,434$1,694
STRYKER CORPORATION 4,730 -356 $1,693
     SYK4,730-356$1,693
LINDE PLC SHS 3,638 +97 $1,689
     LIN3,638+97$1,689
AON PLC SHS CL A 5,050 -259 $1,685
     AON5,050-259$1,685
OCCIDENTAL PETROLEUM CORP 25,200 +10,394 $1,638
     OXY25,200+10,394$1,638
PSHR ULTRAPRO EXCHANGE TRADED FUND DV (TQQQ) 26,395 -787 $1,625
     TQQQ26,395-787$1,625
MICRON TECHNOLOGY INC 13,737 -2,065 $1,620
     MU13,737-2,065$1,620
HUMANA INC 4,668 -3,336 $1,618
     HUM4,668-3,336$1,618
GENERAL MTRS COMPANY 35,440 +9,779 $1,607
     GM35,440+9,779$1,607
HECLA MINING COMPANY 334,000 -1,000 $1,607
     HL334,000-1,000$1,607
ISHARES US TREASURY BOND (GOVT) 69,778 -24,876 $1,589
     GOVT69,778-24,876$1,589
FIRST TRUST HIGH INCOME (FSD) 132,990 -918 $1,587
     FSD132,990-918$1,587
NRG ENERGY INC 23,267 +174 $1,575
     NRG23,267+174$1,575
UNION PACIFIC CORP 6,285 +349 $1,546
     UNP6,285+349$1,546
ORACLE CORPORATION 12,186 -370 $1,531
     ORCL12,186-370$1,531
BLACKSTONE INC 11,536 -1,645 $1,516
     BX11,536-1,645$1,516
SPDR FUND CONSUMER (XLY) 8,230 -3,280 $1,513
     XLY8,230-3,280$1,513
ANALOG DEVICES INC 7,447 +130 $1,473
     ADI7,447+130$1,473
CHUBB LIMITED 5,651 +15 $1,464
     CB5,651+15$1,464
MARATHON DIGITAL HOLDINGS INCORPORATED 64,716 -8,660 $1,461
     MARA64,716-8,660$1,461
SKYWORKS SOLUTIONS INC 13,184 -1,198 $1,428
     SWKS13,184-1,198$1,428
CONSTELLATION BRAND 5,130 -285 $1,394
     STZ5,130-285$1,394
ISHARES SELECT DIVIDEND (DVY) 11,295 +148 $1,391
     DVY11,295+148$1,391
NIKE INC 14,782 -1,121 $1,389
     NKE14,782-1,121$1,389
DESKTOP METAL INC 1,569,287 -1,098,428 $1,381
     DM1,569,287-1,098,428$1,381
TECHNOLOGY SELECT SECTOR 6,561 -974 $1,367
     XLK6,561-974$1,367
REGENERON PHARMACEUTICALS INC 1,404 -63 $1,351
     REGN1,404-63$1,351
SCHWAB US DIVIDEND COMMON STOCK 16,711 -254 $1,347
     SCHD16,711-254$1,347
VANGUARD TOTAL WORLD (VT) 12,135 -78 $1,341
     VT12,135-78$1,341
FT VST BUFF ALLOCATION 59,467 +421 $1,339
     BUFG59,467+421$1,339
ISHARES INCORPORATED MSCI JPN (EWJ) 18,369 +18,369 $1,311
     EWJ18,369+18,369$1,311
CROWN CASTLE INCORPORATED REIT 12,375 -2,446 $1,310
     CCI12,375-2,446$1,310
PFIZER INCORPORATED 46,469 -1,472 $1,290
     PFE46,469-1,472$1,290
ON SEMICONDUCTOR CORPORATION 17,431 +417 $1,282
     ON17,431+417$1,282
SUPER MICRO COMPUTER INCORPORATED 1,248 +1,248 $1,261
     SMCI1,248+1,248$1,261
MONDELEZ INTERNATIONAL INC 17,792 -273 $1,245
     MDLZ17,792-273$1,245
NUVEEN ESG LARGE CAP 16,327 -6,501 $1,245
     NULG16,327-6,501$1,245
REALTY INCOME CORP 22,945 -1,316 $1,241
     O22,945-1,316$1,241
VANECK EXCHANGE TRADED FUND TRUST (BIZD) 73,329 +5,939 $1,239
     BIZD73,329+5,939$1,239
TRAVELERS COMPANIES INCORPORATED 5,377 -352 $1,237
     TRV5,377-352$1,237
VANGUARD INFORMATION TECHNOLOGY (VGT) 2,359 -87 $1,237
     VGT2,359-87$1,237
COLGATE PALMOLIVE COMPANY 13,585 -375 $1,223
     CL13,585-375$1,223
EDWARDS LIFESCIENCES CORPORATION 12,754 -230 $1,219
     EW12,754-230$1,219
SCHWAB US BROAD MARKET 19,969 +2,141 $1,219
     SCHB19,969+2,141$1,219
ROPER TECHNOLOGIES INCORPORATED 2,172 -462 $1,218
     ROP2,172-462$1,218
SCHWAB FUNDAMENTAL US (FNDX) 17,990 +1,136 $1,212
     FNDX17,990+1,136$1,212
ACCENTURE PLC IRELAND SHS CLASS A 3,466 -338 $1,201
     ACN3,466-338$1,201
ISHARES IBOXX HIGH YIELD (HYG) 15,240 +7,370 $1,185
     HYG15,240+7,370$1,185
CUMMINS INCORPORATED 3,993 +55 $1,177
     CMI3,993+55$1,177
GLOBAL X U.S. INFRASTRUCTURE DEVELOPMENT 29,279 -1,437 $1,166
     PAVE29,279-1,437$1,166
PHILLIPS 66 7,056 +217 $1,153
     PSX7,056+217$1,153
AUTOMATIC DATA PROCESSING INC 4,561 +1,310 $1,139
     ADP4,561+1,310$1,139
SPDR PORTFOLIO S&P 500 (SPLG) 18,442 +13,856 $1,135
     SPLG18,442+13,856$1,135
VANGUARD HIGH DIVIDEND (VYM) 9,385 +126 $1,135
     VYM9,385+126$1,135
QORVO INCORPORATED 9,876 -55 $1,134
     QRVO9,876-55$1,134
FREEPORT MCMORAN INC 24,072 -408 $1,132
     FCX24,072-408$1,132
PROGRESSIVE CORPORATION 5,436 +159 $1,124
     PGR5,436+159$1,124
VANECK MORNINGSTAR WIDE 12,467 +755 $1,121
     MOAT12,467+755$1,121
VALERO ENERGY CORPORATION 6,536 +313 $1,116
     VLO6,536+313$1,116
VANGUARD S&P 500 GROWTH (VOOG) 3,619 -468 $1,103
     VOOG3,619-468$1,103
ISHARES TR CORE DIV GRWTH (DGRO) 18,784 +2,963 $1,091
     DGRO18,784+2,963$1,091
ISHARES RUSSELL 2000 (IWM) 5,166 +189 $1,087
     IWM5,166+189$1,087
MATERION CORP 8,250 -7,800 $1,087
     MTRN8,250-7,800$1,087
J B HUNT TRANSPORT 5,444 -1,017 $1,085
     JBHT5,444-1,017$1,085
PACCAR INCORPORATED 8,552 -70 $1,060
     PCAR8,552-70$1,060
ISHARES CORE S&P MID CAP (IJH) 17,360 +15,209 $1,054
     IJH17,360+15,209$1,054
MSCI INCORPORATED 1,879 +16 $1,053
     MSCI1,879+16$1,053
ISHARES CORE MSCI EAFE (IEFA) 14,180 +9,754 $1,052
     IEFA14,180+9,754$1,052
LOWES COMPANIES INC 4,115 +434 $1,048
     LOW4,115+434$1,048
VANGUARD MID CAP EXCHANGE TRADED FUND (VO) 4,178 -234 $1,044
     VO4,178-234$1,044
MEDTRONIC PLC SHS 11,934 -1,120 $1,040
     MDT11,934-1,120$1,040
DRAFTKINGS INC NEW 22,728 +22,728 $1,032
     DKNG22,728+22,728$1,032
AMERICAN TOWER CORPORATION NEW REIT 5,205 -3,703 $1,029
     AMT5,205-3,703$1,029
ARCHER DANIELS MIDLAND COMPANY 16,355 +4,732 $1,027
     ADM16,355+4,732$1,027
VANGUARD GROWTH EXCHANGE TRADED FUND (VUG) 2,933 +606 $1,010
     VUG2,933+606$1,010
INVESCO S&P 100 EQUAL 10,586 +786 $1,005
     EQWL10,586+786$1,005
INTUITIVE SURGICAL 2,513 -487 $1,003
     ISRG2,513-487$1,003
ISHARES IBOXX INVT GRADE (LQD) 9,128 +978 $994
     LQD9,128+978$994
INVESCO NASDAQ 100 EXCHANGE TRADED FUND (QQQM) 5,408 -113 $988
     QQQM5,408-113$988
MORGAN STANLEY 10,463 -727 $985
     MS10,463-727$985
L3HARRIS TECHNOLOGIES INCORPORATED 4,595 -2,397 $979
     LHX4,595-2,397$979
ISHARES TRUST (SGOV) 9,700 +508 $977
     SGOV9,700+508$977
WEST PHARM SRVC INC 2,466 +103 $976
     WST2,466+103$976
ONEOK INC 12,135 -549 $973
     OKE12,135-549$973
VANGUARD TOTAL BOND (BND) 13,307 -2,140 $967
     BND13,307-2,140$967
PACER US SMALL CAP CASH 19,668 +19,668 $967
     CALF19,668+19,668$967
DOW INC 16,691 +2,134 $967
     DOW16,691+2,134$967
FT VEST FUND OF BUFFER (BUFR) 33,919 +22,255 $948
     BUFR33,919+22,255$948
DIGITAL REALTY TRUST 6,573 -2,887 $947
     DLR6,573-2,887$947
VANGUARD RUSSELL 1000 VALUE (VONV) 11,933 +626 $938
     VONV11,933+626$938
MARVELL TECHNOLOGY INCORPORATED 13,216 -968 $937
     MRVL13,216-968$937
FORTIVE CORPORATION 10,879 -53 $936
     FTV10,879-53$936
VERISK ANALYTICS INC 3,961 -618 $934
     VRSK3,961-618$934
VANGUARD CONSUMER STAPLES (VDC) 4,560 -2,341 $931
     VDC4,560-2,341$931
PHILIP MORRIS INTERNATIONAL INCORPORATED 9,957 -7,443 $912
     PM9,957-7,443$912
ISHARES MSCI EAFE VALUE (EFV) 16,747 -895 $911
     EFV16,747-895$911
GARTNER INC 1,910 -257 $910
     IT1,910-257$910
COMFORT SYSTEMS USA 2,826 +2,826 $898
     FIX2,826+2,826$898
DEERE & COMPANY 2,154 -697 $885
     DE2,154-697$885
AMERICAN EXPRESS COMPANY 3,873 +2,020 $882
     AXP3,873+2,020$882
VANGUARD HEALTH CARE (VHT) 3,231 -26 $874
     VHT3,231-26$874
COSTAR GROUP INCORPORATED 8,948 +24 $864
     CSGP8,948+24$864
NUVEEN ESG LARGE CAP 22,150 -18,100 $861
     NULV22,150-18,100$861
UNITED PARCEL SRVC 5,779 -2,361 $859
     UPS5,779-2,361$859
ISHARES CORE S&P (IJR) 7,736 -16 $855
     IJR7,736-16$855
JUNIPER NETWORKS INCORPORATED 23,068 -294 $855
     JNPR23,068-294$855
ISHARES MSCI KLD 400 (DSI) 8,461 UNCH $853
     DSI8,461UNCH$853
ISHARES MSCI EAFE GROWTH (EFG) 8,144 -1,137 $845
     EFG8,144-1,137$845
O REILLY AUTOMOTIVE INC 747 -6 $843
     ORLY747-6$843
GILEAD SCIENCES INC 11,494 -10,259 $842
     GILD11,494-10,259$842
FORD MOTOR CO 63,028 +6,222 $837
     F63,028+6,222$837
MCKESSON CORPORATION 1,531 +110 $822
     MCK1,531+110$822
SPDR S&P 500 GROWTH EXCHANGE TRADED FUND (SPYG) 11,114 -2,003 $813
     SPYG11,114-2,003$813
TJX COMPANIES INC 7,984 -229 $810
     TJX7,984-229$810
VANGUARD TOTAL INTERNATIONAL (BNDX) 16,396 +10,548 $807
     BNDX16,396+10,548$807
ISHARES GOLD EXCHANGE TRADED FUND (IAU) 19,013 -520 $799
     IAU19,013-520$799
ILLUMINA INC 5,819 -620 $799
     ILMN5,819-620$799
FIRST TRUST TECHNOLOGY DIVIDEND (TDIV) 11,415 +11,415 $795
     TDIV11,415+11,415$795
PACER US CASH COWS 100 EXCHANGE TRADED FUND (COWZ) 13,655 +13,655 $793
     COWZ13,655+13,655$793
3M COMPANY 7,469 +1,426 $792
     MMM7,469+1,426$792
SPDR SHORT TERM (SPSB) 26,594 +21 $792
     SPSB26,594+21$792
VICI PROPERTIES INC 26,368 -616 $786
     VICI26,368-616$786
SELECT SECTOR HEALTH 5,280 -1,019 $780
     XLV5,280-1,019$780
INVESCO RUSSELL 1000 14,012 -1,838 $774
     OMFL14,012-1,838$774
INVESCO S&P 500 EQUAL WEIGHT 4,534 +2,338 $768
     RSP4,534+2,338$768
SELECT STR FINANCIAL 18,196 -6,305 $766
     XLF18,196-6,305$766
ENERGY TRANSFER LP 48,629 -2,673 $765
     ET48,629-2,673$765
SCHLUMBERGER LIMITED COM STK 13,944 +745 $764
     SLB13,944+745$764
DELL TECHNOLOGIES INC 6,688 +6,688 $763
     DELL6,688+6,688$763
VANGUARD RUSSELL 1000 GROWTH (VONG) 8,789 +4,735 $762
     VONG8,789+4,735$762
STARBUCKS CORPORATION 8,293 -2,248 $758
     SBUX8,293-2,248$758
REGAN FLOATING RATE MBS 29,752 +29,752 $752
     MBSF29,752+29,752$752
JOHNSON CONTROLS INTERNATIONAL PLC SHS 11,382 +1,876 $743
     JCI11,382+1,876$743
SRH TOTAL RETURN FUND INCORPORATED (STEW) 49,225 +6,675 $741
     STEW49,225+6,675$741
SCHWAB CHARLES CORPORATION 10,216 -803 $739
     SCHW10,216-803$739
THE CIGNA GROUP 2,029 -2,054 $737
     CI2,029-2,054$737
LAM RESEARCH CORPORATION 756 +41 $735
     LRCX756+41$735
ISHARES SILVER TRUST (SLV) 32,305 -1,930 $735
     SLV32,305-1,930$735
CBRE GROUP INCORPORATED CLASS A 7,540 -32 $733
     CBRE7,540-32$733
MONSTER BEVERAGE CORPORATION 12,063 -203 $715
     MNST12,063-203$715
WILLIAMS COMPANIES INCORPORATED 18,208 -12,611 $710
     WMB18,208-12,611$710
VERTEX PHARMACEUTICALS INCORPORATED 1,693 -109 $708
     VRTX1,693-109$708
PALO ALTO NETWORKS INC 2,461 -900 $699
     PANW2,461-900$699
SPDR PORTFOLIO S&P 400 (SPMD) 13,072 +7,276 $697
     SPMD13,072+7,276$697
DIREXION DAILY S&P 500 5,201 -1,033 $697
     SPXL5,201-1,033$697
ENERGY SELECT SECTOR 7,283 -214 $688
     XLE7,283-214$688
PAYPAL HLDGS INCORPORATED 10,211 -1,927 $684
     PYPL10,211-1,927$684
KINDER MORGAN INC 36,716 -5,075 $673
     KMI36,716-5,075$673
UDR INC. 17,881 -4,709 $669
     UDR17,881-4,709$669
AUTOZONE INC 212 -12 $668
     AZO212-12$668
EVERSOURCE ENERGY 11,166 -867 $667
     ES11,166-867$667
PERMIAN BASIN ROYALTY TRUST 55,006 -62,493 $663
     PBT55,006-62,493$663
AERCAP HOLDINGS NV SHS 7,600 -43 $661
     AER7,600-43$661
INVESCO S&P 500 LOW 10,027 -1,389 $660
     SPLV10,027-1,389$660
HEALTHPEAK PPTYS INC 35,005 +10,469 $656
     PEAK35,005+10,469$656
CROWDSTRIKE HLDGS INC 2,030 -143 $651
     CRWD2,030-143$651
ILLINOIS TOOL WKS INCORPORATED 2,426 -401 $651
     ITW2,426-401$651
NETAPP INCORPORATED 6,160 -119 $647
     NTAP6,160-119$647
DEVON ENERGY CORP 12,820 -25,963 $643
     DVN12,820-25,963$643
ISHARES CORE GROWTH ALLOCATION (AOR) 11,500 -300 $640
     AOR11,500-300$640
FT VEST US EQU BUF EXCHANGE TRADED FUND (FAUG) 14,787 -20,022 $634
     FAUG14,787-20,022$634
MODERNA INC 5,949 -577 $634
     MRNA5,949-577$634
TECNOGLASS INC F 12,113 -1,883 $630
     TGLS12,113-1,883$630
ALEXANDRIA REAL ESTATE EQ INCORPORATED REIT 4,849 -4,520 $625
     ARE4,849-4,520$625
PROSHARES ULTRA DOW30 (DDM) 7,125 -945 $620
     DDM7,125-945$620
REGIONS FINANCIAL CORP 29,444 -660 $620
     RF29,444-660$620
INTERNATIONAL PAPER COMPANY 15,723 -1,230 $614
     IP15,723-1,230$614
KROGER COMPANY 10,722 +4,235 $613
     KR10,722+4,235$613
FEDEX CORPORATION 2,109 -737 $611
     FDX2,109-737$611
ARES MGMT CORP 4,590 -133 $610
     ARES4,590-133$610
CORNING INC 18,505 -1,830 $610
     GLW18,505-1,830$610
GOLDMAN SACHS ACTVBETA 5,835 UNCH $606
     GSLC5,835UNCH$606
ISHARES ESG AWARE MSCI (ESGD) 7,564 +7,564 $605
     ESGD7,564+7,564$605
INVESCO S&P 500 QUALITY EXCHANGE TRADED FUND (SPHQ) 10,000 -3,600 $604
     SPHQ10,000-3,600$604
SELECT SECTOR INDUSTRIAL 4,787 +1,023 $603
     XLI4,787+1,023$603
COMMON STOCK RESIDENTIAL 9,467 -6,254 $597
     EQR9,467-6,254$597
DTE ENERGY COMPANY 5,317 UNCH $596
     DTE5,317UNCH$596
ARES CAPITAL CORP 28,417 +24 $592
     ARCC28,417+24$592
FIRST TRUST VALUE (FVD) 13,968 -3,668 $590
     FVD13,968-3,668$590
ISHARES NATIONAL MUNI (MUB) 5,483 -146 $590
     MUB5,483-146$590
GATX CORPORATION 4,373 -4,950 $586
     GATX4,373-4,950$586
ZOETIS INC 3,466 -300 $586
     ZTS3,466-300$586
AFLAC INC 6,806 +4,205 $584
     AFL6,806+4,205$584
BLACKROCK INC 696 +17 $581
     BLK696+17$581
TYSON FOODS INC 9,849 -188 $578
     TSN9,849-188$578
KIMBERLY CLARK CORPORATION 4,393 -2,963 $568
     KMB4,393-2,963$568
HP INC. 18,754 +1,255 $567
     HPQ18,754+1,255$567
DOLLAR GENERAL CORP 3,626 -148 $566
     DG3,626-148$566
HCA HEALTHCARE INCORPORATED 1,697 +1,697 $566
     HCA1,697+1,697$566
SPDR PORTFOLIO DVLPD (SPDW) 15,798 +15,798 $566
     SPDW15,798+15,798$566
VANGUARD VALUE EXCHANGE TRADED FUND (VTV) 3,471 -415 $565
     VTV3,471-415$565
NUVEEN PREFERRED AND INCOME 29,320 UNCH $564
     JPI29,320UNCH$564
VANGUARD REAL ESTATE (VNQ) 6,527 +1,775 $564
     VNQ6,527+1,775$564
CARLYLE GROUP INCORPORATED 11,998 UNCH $563
     CG11,998UNCH$563
INTERNATIONAL FLAVORS & FRAGRANCE 6,512 -410 $560
     IFF6,512-410$560
ARISTA NETWORKS INC 1,914 -1,696 $555
     ANET1,914-1,696$555
ISHARES TOTAL USD BOND (IUSB) 12,169 +480 $555
     IUSB12,169+480$555
DARDEN RESTAURANTS INCORPORATED 3,293 +36 $550
     DRI3,293+36$550
ISHARES MSCI EAF MIN VOL (EFAV) 7,654 -943 $543
     EFAV7,654-943$543
INNOVATOR US COMMON STOCK 15,908 +15,908 $543
     PFEB15,908+15,908$543
PUBLIC STORAGE 1,866 +203 $541
     PSA1,866+203$541
DEXCOM INC 3,876 -541 $538
     DXCM3,876-541$538
FIRST TRUST SMID CAP (SDVY) 15,407 +15,407 $536
     SDVY15,407+15,407$536
WOODWARD INCORPORATED 3,458 UNCH $533
     WWD3,458UNCH$533
TAIWAN SEMICONDUCTOR MFG LIMITED 3,898 -58 $530
     TSM3,898-58$530
EQUINIX INCORPORATED REIT 641 -303 $529
     EQIX641-303$529
FIRST INDUSTRIAL RLT 9,998 -10,410 $525
     FR9,998-10,410$525
T MOBILE US INCORPORATED 3,208 -2,056 $524
     TMUS3,208-2,056$524
CITIZENS FINL GROUP INCORPORATED 14,408 +1,313 $523
     CFG14,408+1,313$523
ISHARES MSCI EAFE EXCHANGE TRADED FUND (EFA) 6,477 +15 $517
     EFA6,477+15$517
ISHARES MSCI USA QLTY (QUAL) 3,144 +1,214 $517
     QUAL3,144+1,214$517
CHURCH & DWIGHT COMPANY INCORPORATED 4,942 +117 $516
     CHD4,942+117$516
VANGUARD SHORT TERM BOND (BSV) 6,658 +1,955 $511
     BSV6,658+1,955$511
ENTERPRISE PRODUCTS PARTNERS L P 17,466 +17,466 $510
     EPD17,466+17,466$510
DOMINION ENERGY INC 10,342 +3,387 $509
     D10,342+3,387$509
ISHARES CORE MSCI (IEMG) 9,862 -1,015 $509
     IEMG9,862-1,015$509
VANECK OIL SERVICES EXCHANGE TRADED FUND (OIH) 1,512 +55 $509
     OIH1,512+55$509
CSX CORPORATION 13,604 +6,251 $504
     CSX13,604+6,251$504
EMERSON ELECTRIC CO 4,419 +445 $501
     EMR4,419+445$501
ALBEMARLE CORPORATION 3,786 -860 $499
     ALB3,786-860$499
PIMCO DYNAMIC INCOME OPP 37,858 +37,858 $499
     PDO37,858+37,858$499
VANGUARD INTRMDIAT TRM (VGIT) 8,488 -32 $497
     VGIT8,488-32$497
ISHARES CORE US GROWTH (IUSG) 4,233 +72 $496
     IUSG4,233+72$496
VANGUARD MID CAP GROWTH (VOT) 2,103 +145 $496
     VOT2,103+145$496
VERTIV HOLDINGS CO 6,077 +6,077 $496
     VRT6,077+6,077$496
CAMPING WORLD HOLDINGS INC 17,696 -1 $493
     CWH17,696-1$493
VANGUARD MEGA CAP GROWTH (MGK) 1,700 UNCH $487
     MGK1,700UNCH$487
WEC ENERGY GROUP INCORPORATED 5,933 +5,933 $487
     WEC5,933+5,933$487
ISHARES CORE HIGH (HDV) 4,406 -393 $486
     HDV4,406-393$486
ALTRIA GROUP INC 11,118 -4,319 $485
     MO11,118-4,319$485
SIMON PROPERTY GROUP INC 3,082 +1,403 $482
     SPG3,082+1,403$482
ALPS ALERIAN MLP EXCHANGE TRADED FUND (AMLP) 10,104 +2,714 $480
     AMLP10,104+2,714$480
ISHARES TR IS 1 5 YR IN (IGSB) 9,365 +188 $480
     IGSB9,365+188$480
WESTERN UNION CO 34,316 +599 $480
     WU34,316+599$480
US TREASURY 3 MONTH BILL 9,525 -718 $477
     TBIL9,525-718$477
SPDR S&P BIOTECH EXCHANGE TRADED FUND (XBI) 5,032 -818 $477
     XBI5,032-818$477
EXELON CORPORATION 12,589 +12,589 $473
     EXC12,589+12,589$473
SPROTT PHYSICAL GOLD TR UNIT 27,300 UNCH $472
     PHYS27,300UNCH$472
CONSOLIDATED EDISON INCORPORATED 5,165 -2,541 $469
     ED5,165-2,541$469
VANGUARD SCOTTSDALE FDS (VCIT) 5,794 -10 $467
     VCIT5,794-10$467
ASML HOLDING N V 480 -159 $466
     ASML480-159$466
TRUIST FINL CORPORATION 11,950 -108 $466
     TFC11,950-108$466
FIRST TRUST EQUITY BUFFER SEPTEMBER (FSEP) 10,900 +100 $463
     FSEP10,900+100$463
SPDR BLOOMBERG CONVERTIBLE SECURITIES (CWB) 6,295 +6,295 $460
     CWB6,295+6,295$460
NUCOR CORPORATION 2,315 -781 $458
     NUE2,315-781$458
ARK INNOVATION EXCHANGE TRADED FUND (ARKK) 9,052 -918 $453
     ARKK9,052-918$453
PRUDENTIAL FINL INCORPORATED 3,821 -920 $449
     PRU3,821-920$449
W.P. CAREY INC. 7,962 -323 $449
     WPC7,962-323$449
KENVUE INC 20,852 -22,846 $447
     KVUE20,852-22,846$447
RIO TINTO PLC SPONSORED ADR 6,994 -1,227 $446
     RIO6,994-1,227$446
ISHARES MSCI EMERGING (EEM) 10,827 -1,290 $445
     EEM10,827-1,290$445
S&P GLOBAL INCORPORATED 1,047 +145 $445
     SPGI1,047+145$445
ALLY FINL INC 10,938 -1,013 $444
     ALLY10,938-1,013$444
ARM HOLDINGS PLC SPONSORED ADR 3,520 +3,520 $440
     ARM3,520+3,520$440
CALAVO GROWERS INC 15,788 -13,100 $439
     CVGW15,788-13,100$439
SPDR S&P AEROSPACE (XAR) 3,117 +1,406 $438
     XAR3,117+1,406$438
INGERSOLL RAND INC 4,557 -5,183 $433
     IR4,557-5,183$433
SAFRAN SPON ADR      $433
     AMERICAN DEPOSITORY7,637-3,204$433
PAYCHEX INC 3,490 +822 $429
     PAYX3,490+822$429
ISHARES MORGSTAR MID CAP (IMCG) 6,035 +6,035 $427
     IMCG6,035+6,035$427
EOG RESOURCES INC 3,317 -911 $424
     EOG3,317-911$424
ISHARES PREFERRED INCOME (PFF) 13,138 -39 $423
     PFF13,138-39$423
FISERV INCORPORATED 2,623 -49 $419
     FI2,623-49$419
FIRST TRUST SENIOR LOAN (FTSL) 8,931 -54 $413
     FTSL8,931-54$413
STANDARD & POORS MIDCAP 400 742 -40 $413
     MDY742-40$413
F M C CORP 6,449 -669 $411
     FMC6,449-669$411
VANGUARD FINANCIALS EXCHANGE TRADED FUND (VFH) 3,992 -1,031 $409
     VFH3,992-1,031$409
FIRST TRUST EQUITY BUFFER (FAPR) 11,142 -900 $406
     FAPR11,142-900$406
ISHARES US INSURANCE (IAK) 3,457 -97 $406
     IAK3,457-97$406
MORGAN STANLEY DIRECT LE 18,637 +18,637 $402
     MSDL18,637+18,637$402
ISHARES SEMICONDUCTOR (SOXX) 1,779 +972 $402
     SOXX1,779+972$402
AMETEK INC 2,186 +312 $400
     AME2,186+312$400
FIRST TRUST NASDAQ (CIBR) 7,078 +7,078 $399
     CIBR7,078+7,078$399
PNC FINL SVCS GROUP INCORPORATED 2,466 -473 $399
     PNC2,466-473$399
NUVEEN MUN CR OPPORTUNITIES FD 37,650 +37,650 $398
     NMCO37,650+37,650$398
ECOLAB INCORPORATED 1,721 +18 $397
     ECL1,721+18$397
GENERAL MILLS INC 5,676 -7,739 $397
     GIS5,676-7,739$397
NUVEEN AMT FREE MUNICIPAL 32,707 +9,352 $397
     NVG32,707+9,352$397
REPUBLIC SVCS INCORPORATED 2,072 -12 $397
     RSG2,072-12$397
VANECK GOLD MINERS EXCHANGE TRADED FUND (GDX) 12,533 +428 $396
     GDX12,533+428$396
BNY MELLON ALCENTRA GLOBAL CR 45,925 +45,925 $395
     DCF45,925+45,925$395
WISDOMTREE JAPAN HEDGED 3,633 +3,633 $394
     DXJ3,633+3,633$394
EASTMAN CHEMICAL COMPANY 3,915 +626 $392
     EMN3,915+626$392
NASDAQ 7 HANDL INDEX (HNDL) 18,400 -200 $390
     HNDL18,400-200$390
IRON MTN INC NEW 4,865 -421 $390
     IRM4,865-421$390
WALGREENS BOOTS ALLIANCE INCORPORATED 17,925 -8,280 $389
     WBA17,925-8,280$389
INTERCONTINENTAL EXCHANGE INCORPORATED (ICE) 2,815 +5 $387
     ICE2,815+5$387
VANGUARD SHORT TERM (VGSH) 6,594 +6,594 $383
     VGSH6,594+6,594$383
AMCOR PLC ORD 40,068 +4,438 $381
     AMCR40,068+4,438$381
BLACKSTONE SECURED LENDING 12,247 +3,682 $381
     BXSL12,247+3,682$381
PIONEER MUNICIPAL HIGH INCOME 46,725 +11,810 $381
     MAV46,725+11,810$381
SPDR PORTFOLIO S P 1500 (SPTM) 5,939 -300 $381
     SPTM5,939-300$381
HOST HOTELS & RESORTS INCORPORATED REIT 17,981 +279 $372
     HST17,981+279$372
VANGUARD FTSE EMERGING (VWO) 8,879 +3,212 $371
     VWO8,879+3,212$371
APOLLO GLOBAL MGMT INCORPORATED 3,255 +318 $366
     APO3,255+318$366
APPLIED INDUSTRIAL 1,849 +1,849 $365
     AIT1,849+1,849$365
ISHARES CORE MSCI TOTL (IXUS) 5,377 +424 $365
     IXUS5,377+424$365
JABIL INCORPORATED 2,707 -1,560 $363
     JBL2,707-1,560$363
ULTA BEAUTY INC. 694 +123 $363
     ULTA694+123$363
BLACKROCK HEALTH SCIENCE 21,988 +1,845 $360
     BMEZ21,988+1,845$360
SPDR S&P SEMICONDUCTOR (XSD) 1,550 +1,550 $360
     XSD1,550+1,550$360
TIMKEN CO 4,103 -3,400 $359
     TKR4,103-3,400$359
KEYCORP 22,626 -6,021 $358
     KEY22,626-6,021$358
DOVER CORPORATION 2,011 UNCH $356
     DOV2,011UNCH$356
VIATRIS INC 29,698 +2 $355
     VTRS29,698+2$355
NUVEEN NASDAQ 100 DYNAMIC 14,609 -434 $353
     QQQX14,609-434$353
AIRBNB INC 2,132 -357 $352
     ABNB2,132-357$352
YUM BRANDS INC 2,540 +443 $352
     YUM2,540+443$352
SPDR AGGREGATE BOND EXCHANGE TRADED FUND (SPAB) 13,790 +13,790 $349
     SPAB13,790+13,790$349
TOLL BROTHERS INCORPORATED 2,694 -1,928 $349
     TOL2,694-1,928$349
ISHARES US AEROSPACE (ITA) 2,639 +734 $348
     ITA2,639+734$348
DOUBLELINE SHILLER CAPE US EQUITIES 12,400 +3,100 $347
     CAPE12,400+3,100$347
LULULEMON ATHLETICA INC 889 -208 $347
     LULU889-208$347
SPDR INDEX SHARES EMERG (SPEM) 9,384 +9,384 $340
     SPEM9,384+9,384$340
LAUDER ESTEE COMPANIES INCORPORATED CLASS A 2,196 +2,196 $339
     EL2,196+2,196$339
VANECK FTSE GLOBAL INFRASTRUCTURE 7,787 -125 $338
     IFRA7,787-125$338
RPM INTERNATIONAL INCORPORATED 2,842 +2,842 $338
     RPM2,842+2,842$338
GE HEALTHCARE TECHNOLOGIES INC 3,707 -586 $337
     GEHC3,707-586$337
BIOGEN INC 1,559 +1,559 $336
     BIIB1,559+1,559$336
WHEATON PRECIOUS METALS CORPORATION 7,136 -2,605 $336
     WPM7,136-2,605$336
GS US AGG BOND EXCHANGE TRADED FUND (GCOR) 8,137 UNCH $335
     GCOR8,137UNCH$335
U S BANCORP 7,475 -333 $334
     USB7,475-333$334
BAKER HUGHES COMPANY CLASS A 9,906 -1,132 $332
     BKR9,906-1,132$332
PALANTIR TECHNOLOGIES INC 14,417 -6,604 $332
     PLTR14,417-6,604$332
LYONDELLBASELL INDUSTRIES N V 3,238 -1,058 $331
     LYB3,238-1,058$331
FT VEST US COMMON STOCK BUFFER 7,246 +7,246 $328
     FFEB7,246+7,246$328
APA CORPORATION 9,514 +9,514 $327
     APA9,514+9,514$327
STF TACTICAL GROWTH EXCHANGE TRADED FUND (TUG) 10,242 -10,140 $326
     TUG10,242-10,140$326
BEST BUY INCORPORATED 3,948 -98 $324
     BBY3,948-98$324
FIRST TRUST EXCHANGE TRADED (FPEI) 17,450 -150 $318
     FPEI17,450-150$318
BAXTER INTERNATIONAL INCORPORATED 7,416 -764 $317
     BAX7,416-764$317
ISHARES MBS EXCHANGE TRADED FUND (MBB) 3,414 -204 $316
     MBB3,414-204$316
FT VST FD OF NASDAQ 100 11,133 +11,133 $315
     BUFQ11,133+11,133$315
CORTEVA INC 5,467 -5,351 $315
     CTVA5,467-5,351$315
PIONEER MUN HIGH INCOME OPPORT COMMON STOCK 27,835 +10,650 $315
     MIO27,835+10,650$315
ISHARES S&P 500 GROWTH (IVW) 3,691 -1,538 $312
     IVW3,691-1,538$312
SCHWAB US LARGE CAP EXCHANGE TRADED FUND (SCHX) 5,033 +5,033 $312
     SCHX5,033+5,033$312
AMERICAN ELEC PWR COMPANY INCORPORATED 3,612 -239 $311
     AEP3,612-239$311
SEAGATE TECHNOLOGY HLDNGS PLC ORD SHS 3,330 -31 $310
     STX3,330-31$310
FIRST TRUST PREFERRED (FPE) 17,849 +2,519 $309
     FPE17,849+2,519$309
NASDAQ 100 ENHANCED OPTION INCOME ETF (QQQY) 18,400 +7,000 $307
     QQQY18,400+7,000$307
FT VEST US COMMON STOCK BUFFER 7,416 +7,416 $306
     FDEC7,416+7,416$306
FS CREDIT OPPORTUNITIES CORPORATION 51,591 -1,800 $306
     FSCO51,591-1,800$306
D R HORTON INCORPORATED 1,850 -41 $305
     DHI1,850-41$305
PARAMOUNT GLOBAL 25,954 -12,859 $305
     PARA25,954-12,859$305
ISHARES U S MEDICAL DEVICES (IHI) 5,181 -702 $304
     IHI5,181-702$304
CARRIER GLOBAL CORPORATION 5,214 +426 $303
     CARR5,214+426$303
FIRST TRUST RISING DIVIDEND (RDVY) 5,387 +6 $303
     RDVY5,387+6$303
HUNTINGTON BANCSHARES INCORPORATED (HBAN) 21,671 -1,820 $302
     HBAN21,671-1,820$302
ISHARES BIOTECHNOLOGY (IBB) 2,197 -574 $302
     IBB2,197-574$302
CLEARBRIDGE ENERGY MIDSTRM OPP 7,400 UNCH $301
     EMO7,400UNCH$301
PIONEER NATURAL RESOURCES 1,147 -1,764 $301
     PXD1,147-1,764$301
FT VEST INTERNATNL EQY 13,578 +13,578 $301
     YJUN13,578+13,578$301
XCEL ENERGY INC 5,575 -6,477 $300
     XEL5,575-6,477$300
C H ROBINSON WORLDWD 3,886 +3,886 $296
     CHRW3,886+3,886$296
CLEARBRIDGE MLP AND MIDSTRM TR 7,100 UNCH $295
     CTR7,100UNCH$295
BOOKING HOLDINGS INC 81 -7 $294
     BKNG81-7$294
INVSC HIGH YIELD 14,164 -122 $293
     PEY14,164-122$293
PPL CORPORATION 10,601 -1,339 $292
     PPL10,601-1,339$292
ISHARES TIPS BOND EXCHANGE TRADED FUND (TIP) 2,721 -4,494 $292
     TIP2,721-4,494$292
ISHARES CORE S&P TOTAL (ITOT) 2,526 -681 $291
     ITOT2,526-681$291
SPDR S&P 500 VALUE EXCHANGE TRADED FUND (SPYV) 5,810 -1,275 $291
     SPYV5,810-1,275$291
ISHARES 20 PLS YEAR (TLT) 3,053 -982 $289
     TLT3,053-982$289
BLOCK INC 3,396 -1,835 $287
     SQ3,396-1,835$287
BP PLC SPONSORED ADR 7,593 -594 $286
     BP7,593-594$286
FIRST TRUST ISE CLOUD COMPUTING INDEX FUND (SKYY) 2,996 -17 $286
     SKYY2,996-17$286
INVESCO MUN OPPORTUNITY TR 29,405 +7,850 $286
     VMO29,405+7,850$286
ABRDN NATL MUN INCOME FD SH BEN INT 27,525 +9,325 $285
     VFL27,525+9,325$285
VANGUARD TOTAL INTERNTL (VXUS) 4,724 -1,153 $284
     VXUS4,724-1,153$284
LENNAR CORP 1,646 -203 $283
     LEN1,646-203$283
VANGUARD FTSE ALL WORLD (VEU) 4,831 +4,831 $283
     VEU4,831+4,831$283
SMUCKER J M COMPANY COM NEW 2,240 -500 $282
     SJM2,240-500$282
PIMCO ACTIVE BOND EXCHANGE TRADED FUND (BOND) 3,058 UNCH $281
     BOND3,058UNCH$281
KLA CORP 400 +400 $280
     KLAC400+400$280
ALLSTATE CORPORATION 1,609 -73 $278
     ALL1,609-73$278
HUBBELL INCORPORATED 670 +14 $278
     HUBB670+14$278
HERSHEY COMPANY 1,423 -596 $277
     HSY1,423-596$277
C3 AI INC 10,176 +10,176 $275
     AI10,176+10,176$275
CALIFORNIA WTR SVC GROUP 5,925 -1,000 $275
     CWT5,925-1,000$275
DOCUSIGN INC 4,617 -153 $275
     DOCU4,617-153$275
WESTERN AST INFL LKD OPP & INM 31,879 -11,498 $275
     WIW31,879-11,498$275
ISHARES US TECHNOLOGY (IYW) 2,031 +2,031 $274
     IYW2,031+2,031$274
COINBASE GLOBAL INC 1,028 -598 $273
     COIN1,028-598$273
INVESCO ADVANTAGE MUN INCOME T SH BEN INT 32,130 +10,850 $273
     VKI32,130+10,850$273
ENPHASE ENERGY INC 2,251 +2,251 $272
     ENPH2,251+2,251$272
VIRTUS ARTIFICIAL 13,436 +13,436 $270
     AIO13,436+13,436$270
HASBRO INCORPORATED 4,773 +4,773 $270
     HAS4,773+4,773$270
A O SMITH CORPORATION 2,994 +328 $268
     AOS2,994+328$268
ISHARES EXPONENTIAL TECHNOLOGIES (XT) 4,500 -4,750 $268
     XT4,500-4,750$268
CRISPR THERAPEUTICS AG 3,914 -570 $267
     CRSP3,914-570$267
KELLANOVA 4,652 -1,726 $267
     K4,652-1,726$267
MOTOROLA SOLUTIONS 745 -583 $264
     MSI745-583$264
ISHARES S&P GSCI COMMODITY IN UNIT BEN INT (GSG) 11,900 UNCH $263
     GSG11,900UNCH$263
INNOVATOR GROW 100 POWER 6,042 +6,042 $263
     NJAN6,042+6,042$263
SHELL PLC SPON ADS 3,917 -8,755 $263
     SHEL3,917-8,755$263
GLOBAL X ROBOTICS ARTFCL 8,225 -500 $262
     BOTZ8,225-500$262
PACER GLOBAL CASH COWS 7,516 -691 $261
     GCOW7,516-691$261
WHIRLPOOL CORPORATION 2,183 +2,183 $261
     WHR2,183+2,183$261
GOLAR LNG LIMITED SHS 10,800 UNCH $260
     GLNG10,800UNCH$260
PROSHARES SHORT DOW 30 (DOG) 9,140 -375 $259
     DOG9,140-375$259
ISHARES INCORPORATED MSCI AUST (EWA) 10,500 UNCH $259
     EWA10,500UNCH$259
ISHARES RUSSELL MID CAP (IWR) 3,068 -90 $258
     IWR3,068-90$258
KEYSIGHT TECHNOLOGIES INCORPORATED 1,653 -151 $258
     KEYS1,653-151$258
ENBRIDGE INCORPORATED 7,072 -1,330 $256
     ENB7,072-1,330$256
SHOPIFY INCORPORATED CLASS A 3,294 -938 $254
     SHOP3,294-938$254
TAPESTRY INCORPORATED 5,320 +5,320 $253
     TPR5,320+5,320$253
VANGUARD LARGE CAP EXCHANGE TRADED FUND (VV) 1,040 -461 $250
     VV1,040-461$250
TOTALENERGIES SE SPONSORED ADS 3,607 -1,059 $248
     TTE3,607-1,059$248
BCE INCORPORATED COM NEW 7,260 -4,399 $247
     BCE7,260-4,399$247
VANGUARD RUSSELL 2000 (VTWO) 2,890 +291 $246
     VTWO2,890+291$246
ESSENTIAL UTILS INC 6,650 +6,650 $246
     WTRG6,650+6,650$246
WILLIAMS SONOMA 772 +772 $245
     WSM772+772$245
EVERGY INCORPORATED 4,573 +300 $244
     EVRG4,573+300$244
OKTA INC 2,326 -867 $243
     OKTA2,326-867$243
CAESARS ENTMT INC NEW 5,498 -1,043 $240
     CZR5,498-1,043$240
HEICO CORPORATION NEW CLASS A      $239
     HEI.A1,553-745$239
HALLIBURTON COMPANY 6,031 -4,417 $238
     HAL6,031-4,417$238
CMS ENERGY CORPORATION 3,936 UNCH $237
     CMS3,936UNCH$237
FT VEST US COMMON STOCK BUFFER 5,843 +150 $237
     FOCT5,843+150$237
GLDMN SCHS ACS INV GRD 5,107 UNCH $234
     GIGB5,107UNCH$234
CARNIVAL CORP 14,154 +14,154 $231
     CCL14,154+14,154$231
FEDERATED HERMS U S STRG 9,142 +9,142 $231
     FDV9,142+9,142$231
NIO INCORPORATED SPON ADS 51,209 -25,404 $230
     NIO51,209-25,404$230
BECTON DICKINSON&CO 925 +925 $229
     BDX925+925$229
ISHS MSCI EMERG MRKT MIN 4,014 -407 $227
     EEMV4,014-407$227
FASTENAL COMPANY 2,934 +2,934 $226
     FAST2,934+2,934$226
FIDELITY HIGH DIVIDEND 4,974 -876 $225
     FDVV4,974-876$225
AMERICAN CENTURY US QLT 3,843 +3,843 $224
     VALQ3,843+3,843$224
FT VEST US EQTY MOD BUFR 6,476 +6,476 $223
     GFEB6,476+6,476$223
HEALTHCARE TRUST INCORPORATED REIT      $223
     REAL ESTATE INVESTMENT TRUST15,924+15,924$223
VANGUARD ENERGY (VDE) 1,687 +1,687 $222
     VDE1,687+1,687$222
1TRST ULTSHT DUR MN 10,966 +10,966 $220
     FUMB10,966+10,966$220
SPDR S&P 400 MID CAP (MDYG) 2,494 -1,314 $218
     MDYG2,494-1,314$218
VERALTO CORP 2,464 -279 $218
     VLTO2,464-279$218
NEUBERGER BERMAN MUN FD INCORPORATED 20,751 +7,270 $217
     NBH20,751+7,270$217
DIGITALBRIDGE GROUP INCORPORATED CLASS A NEW 11,213 +11,213 $216
     DBRG11,213+11,213$216
FIRST TRUST TCW (FIXD) 4,943 +4,943 $216
     FIXD4,943+4,943$216
DELTA AIR LINES INCORPORATED DEL COM NEW 4,500 -2,723 $215
     DAL4,500-2,723$215
SNOWFLAKE INC 1,332 +1,332 $215
     SNOW1,332+1,332$215
MOSAIC COMPANY NEW 6,496 +6,496 $211
     MOS6,496+6,496$211
BLACKROCK MUNIASSETS FD INCORPORATED 19,045 +1,900 $211
     MUA19,045+1,900$211
STAG INDUSTRIAL INC 5,479 +227 $211
     STAG5,479+227$211
BAIN CAP SPECIALTY FIN I 13,379 -114 $210
     BCSF13,379-114$210
ISHARES 1 3 YEAR TREASRY (SHY) 2,561 +2,561 $209
     SHY2,561+2,561$209
FEDERAL AGRIC MTG CORP 1,055 +1,055 $208
     AGM1,055+1,055$208
FT VEST US COMMON STOCK BUFFER 4,640 +4,640 $206
     FJUL4,640+4,640$206
TC ENERGY CORPORATION 5,101 -805 $205
     TRP5,101-805$205
ISHARES RUSSELL TOP 200 (IWY) 1,045 -201 $204
     IWY1,045-201$204
CONAGRA BRANDS INCORPORATED 6,800 -12,348 $202
     CAG6,800-12,348$202
FIRST TRUST INDXX NEXTG EXCHANGE TRADED FUND (NXTG) 2,539 +2,539 $201
     NXTG2,539+2,539$201
BHP GROUP LIMITED SPONSORED ADS 3,474 -3,795 $200
     BHP3,474-3,795$200
BNY MELLON STRATEGIC MUN BD FD 31,000 +16,800 $182
     DSM31,000+16,800$182
COEUR MINING INCORPORATED COM NEW 47,000 -7,000 $177
     CDE47,000-7,000$177
NUVEEN MUNICIPAL CREDIT 14,150 +14,150 $173
     NZF14,150+14,150$173
NORDIC AMERN TANK F 43,593 +33,243 $171
     NAT43,593+33,243$171
FS ENERGY & PWR FD COM SH BEN INT      $169
     CLOSED END FUND49,296+49,296$169
GAMCO NAT RES GOLD & INCOME TR SH BEN INT 32,000 -2,000 $167
     GNT32,000-2,000$167
FIRST TR SR FLTG RATE INCOME F (FCT) 15,778 -5,813 $163
     FCT15,778-5,813$163
STRATS TR UTD STS CELLULAR 15,804 UNCH $139
     GJH15,804UNCH$139
PROSHARES ULTRA BLOM NAT (BOIL) 10,536 +10,536 $135
     BOIL10,536+10,536$135
STEALTHGAS INCORPORATED SHS 21,000 UNCH $125
     GASS21,000UNCH$125
PURPLE BIOTECH LTD 186,100 +11,000 $125
     PPBT186,100+11,000$125
GAMCO GLOBAL GOLD NAT RES & COM SH BEN INT 32,100 UNCH $124
     GGN32,100UNCH$124
INOGEN INC 15,300 +15,300 $123
     INGN15,300+15,300$123
WARNER BROS DISCOVERY INC 14,107 +14,107 $123
     WBD14,107+14,107$123
NUVEEN NEW YORK QUALITY 11,000 UNCH $120
     NAN11,000UNCH$120
GLOBAL NET LEASE INC 15,304 +15,304 $119
     GNL15,304+15,304$119
ATYR PHARMA INCORPORATED COM NEW 60,000 +60,000 $117
     LIFE60,000+60,000$117
NEWELL BRANDS INC 14,485 +60 $116
     NWL14,485+60$116
NEW YORK CMNTY BANCORP INCORPORATED 32,228 -12,985 $104
     NYCB32,228-12,985$104
FIRST MAJESTIC SILVER CORPORATION 16,532 UNCH $97
     AG16,532UNCH$97
REDWOOD TRUST INCORPORATED REIT 15,265 -11,296 $97
     RWT15,265-11,296$97
COMSTOCK INCORPORATED COM NEW 233,000 UNCH $85
     LODE233,000UNCH$85
ALGONQUIN PWR UTILS CORPORATION 11,136 -7,688 $70
     AQN11,136-7,688$70
URANIUM ENERGY CORPORATION 10,000 +10,000 $68
     UEC10,000+10,000$68
BAKKT HOLDINGS INC 135,740 -41,040 $62
     BKKT135,740-41,040$62
ATAI LIFE SCIENCES NV SHS 30,000 +30,000 $59
     ATAI30,000+30,000$59
FORTUNA SILVER MINES INCORPORATED 15,783 -10,000 $59
     FSM15,783-10,000$59
ALDEYRA THERAPEUTICS INC 15,000 +15,000 $49
     ALDX15,000+15,000$49
MEDICAL PPTYS TRUST INCORPORATED REIT 10,316 -11,883 $48
     MPW10,316-11,883$48
BRAINSTORM CELL THERAPEUTICS 81,050 +81,050 $46
     BCLI81,050+81,050$46
SIRIUS XM HLDGS INC 11,200 UNCH $43
     SIRI11,200UNCH$43
VAXART INC 25,000 +25,000 $32
     VXRT25,000+25,000$32
ENDEAVOUR SILVER CORPORATION 10,000 +10,000 $24
     EXK10,000+10,000$24
BUZZFEED INC 50,000 UNCH $23
     BZFD50,000UNCH$23
BUTTERFLY NETWORK INC 20,340 +20,340 $22
     BFLY20,340+20,340$22
SMART SAND INCORPORATED 11,000 UNCH $21
     SND11,000UNCH$21
SENSEONICS HLDGS INCORPORATED 37,100 +37,100 $20
     SENS37,100+37,100$20
VERU INCORPORATED 24,800 +800 $17
     VERU24,800+800$17
MICROBOT MEDICAL INC 10,000 +10,000 $12
     MBOT10,000+10,000$12
CENCORA INCORPORATED $0 (exited)
     ABC0-2,845$0
AUTODESK INCORPORATED $0 (exited)
     ADSK0-1,143$0
AMBASE CORPORATION $0 (exited)
     COMMON STOCK0-26,000$0
AMERICAN HEALTHCARE REIT INC $0 (exited)
     COMMON STOCK0-10,017$0
APOLLO COMMERCIAL REAL ESTATE FINANCE INC $0 (exited)
     ARI0-18,813$0
AVNET INCORPORATED $0 (exited)
     AVT0-7,203$0
AMERICAN WTR WKS COMPANY INCORPORATED NEW $0 (exited)
     AWK0-2,470$0
ALIBABA GROUP HLDG LIMITED SPONSORED ADS $0 (exited)
     BABA0-7,024$0
BARINGS BDC INCORPORATED $0 (exited)
     BBDC0-18,720$0
INVESCO SENIOR LOAN ETF $0 (exited)
     BKLN0-30,582$0
BLACKROCK NEW YORK MUNICIPAL INCOME TRUST $0 (exited)
     BNY0-16,339$0
CHARTER COMMUNICATIONS INCORPORATED NEW CLASS A $0 (exited)
     CHTR0-1,660$0
CIM REAL ESTATE FINANCE TRUST INC $0 (exited)
     EXCHANGE TRADED FUND0-17,656$0
C3IS INCORPORATED COMMON STOCK $0 (exited)
     CISS0-21,173$0
CANADIAN IMPERIAL BK COMM TORO $0 (exited)
     CM0-4,715$0
CME GROUP INCORPORATED $0 (exited)
     CME0-3,318$0
CONSOLIDATED COMM HLDGS INCORPORATED $0 (exited)
     CNSL0-10,877$0
CRH PLC $0 (exited)
     CRH0-5,230$0
COTERRA ENERGY INCORPORATED $0 (exited)
     CTRA0-8,580$0
CAVCO INDUSTRIES INCORPORATED DEL $0 (exited)
     CVCO0-670$0
CLEARWAY ENERGY INCORPORATED CLASS C $0 (exited)
     CWEN0-6,396$0
DUPONT DE NEMOURS INCORPORATED $0 (exited)
     DD0-9,670$0
QUEST DIAGNOSTICS INCORPORATED $0 (exited)
     DGX0-2,207$0
AMPLIFY CWP ENHANCED DIVIDEND INCOME ETF $0 (exited)
     DIVO0-8,578$0
DAVITA INCORPORATED $0 (exited)
     DVA0-27,027$0
EMPIRE ST RLTY TR INCORPORATED CLASS A REIT $0 (exited)
     ESRT0-23,663$0
EATON VANCE TAX MANAGED DIVERSIFIED EQUITY INCOME FUND $0 (exited)
     ETY0-13,983$0
ISHARES MSCI SWITZERLAND ETF $0 (exited)
     EWL0-4,377$0
DIAMONDBACK ENERGY INCORPORATED $0 (exited)
     FANG0-1,480$0
FIDELITY LOW VOLATILITY FACTOR ETF $0 (exited)
     FDLO0-6,817$0
FIRST MINING GOLD CORPORATION $0 (exited)
     COMMON STOCK0-1,010,000$0
FT VEST US EQUITY BUFFER ETF NOVEMBER $0 (exited)
     FNOV0-10,000$0
FS SPECIALTY LENDING FUND $0 (exited)
     CLOSED END FUND0-49,297$0
GAMING & LEISURE PPTYS INCORPORATED REIT $0 (exited)
     GLPI0-4,429$0
GENERAC HLDGS INCORPORATED $0 (exited)
     GNRC0-18,686$0
GOLD SPRINGS RESOURCE CORPORATION $0 (exited)
     COMMON STOCK0-20,000$0
GAP INC $0 (exited)
     GPS0-43,005$0
GRAYSCALE ETHEREUM TRUST $0 (exited)
     EXCHANGE TRADED FUND0-201,391$0
GARMIN LTD $0 (exited)
     GRMN0-2,655$0
GOLDMAN SACHS ACTIVEBETA INTERNATIONAL EQUITY ETF $0 (exited)
     GSIE0-6,682$0
GXO LOGISTICS INC $0 (exited)
     GXO0-3,311$0
HESS CORPORATION $0 (exited)
     HES0-1,397$0
HANCOCK JOHN PREFERRED INCOME FD II $0 (exited)
     HPF0-11,859$0
ISHARES TR INTL SEL DIV ETF $0 (exited)
     IDV0-7,481$0
IDEX CORPORATION $0 (exited)
     IEX0-1,158$0
IROBOT CORPORATION $0 (exited)
     IRBT0-13,179$0
INDEPENDENCE RLTY TR INCORPORATED REIT $0 (exited)
     IRT0-17,196$0
ISHARES RUSSELL 2000 GROWTH ETF $0 (exited)
     IWO0-882$0
ISHARES TR RUS MD CP GR ETF $0 (exited)
     IWP0-2,569$0
ALLIANZIM US LARGE CAP BUFFER20 JUL ETF $0 (exited)
     JULW0-7,075$0
KFORCE INCORPORATED $0 (exited)
     KFRC0-3,716$0
GLADSTONE LAND CORP $0 (exited)
     LANDP0-20,333$0
BNY MELLON STRATEGIC MUNS INCORPORATED $0 (exited)
     LEO0-25,530$0
LUMEN TECHNOLOGIES INCORPORATED $0 (exited)
     LUMN0-13,221$0
MANCHESTER UNITED PLC $0 (exited)
     MANU0-10,050$0
MICROCHIP TECHNOLOGY INCORPORATED. $0 (exited)
     MCHP0-2,432$0
M D C HLDGS INCORPORATED $0 (exited)
     MDC0-730$0
MERCADOLIBRE INCORPORATED $0 (exited)
     MELI0-421$0
MFS SPL VALUE TR SH BEN INT $0 (exited)
     MFV0-15,000$0
MGM RESORTS INTERNATIONAL $0 (exited)
     MGM0-9,587$0
MARATHON OIL CORPORATION $0 (exited)
     MRO0-12,494$0
M & T BK CORPORATION $0 (exited)
     MTB0-3,491$0
MULTI METAL DEVELOPMENT LIMITED $0 (exited)
     COMMON STOCK0-200,000$0
NUVEEN CA QUALTY MUN INCOME FD $0 (exited)
     NAC0-12,118$0
NEWMONT CORPORATION $0 (exited)
     NEM0-9,895$0
NEXTERA ENERGY PARTNERS LP $0 (exited)
     NEP0-13,364$0
NATIONAL GRID PLC SPONSORED ADR NE $0 (exited)
     NGG0-4,130$0
NUVEEN MUN HIGH INCOME OPPORTU $0 (exited)
     NMZ0-10,050$0
NOKIA CORPORATION SPONSORED ADR $0 (exited)
     NOK0-13,336$0
NORFOLK SOUTHN CORPORATION $0 (exited)
     NSC0-1,387$0
NUTRIEN LIMITED $0 (exited)
     NTR0-3,787$0
OLIN CORP $0 (exited)
     OLN0-3,763$0
ORIGIN MATERIALS INCORPORATED WARRANT EXP 062526 $0 (exited)
     ORGNW0-26,800$0
PG&E CORPORATION $0 (exited)
     PCG0-11,937$0
INVESCO DWA MOMENTUM ETF $0 (exited)
     PDP0-20,787$0
PUBLIC SVC ENTERPRISE GRP INCORPORATED $0 (exited)
     PEG0-12,803$0
NVESCO PREFERRED ETF $0 (exited)
     PGX0-22,204$0
PPG INDUSTRIES INCORPORATED $0 (exited)
     PPG0-1,402$0
REGI U S INCORPORATED $0 (exited)
     RGUS0-11,000$0
RH $0 (exited)
     RH0-1,388$0
RESMED INCORPORATED $0 (exited)
     RMD0-1,199$0
SCHWAB U.S. MID CAP ETF $0 (exited)
     SCHM0-27,522$0
SERVICE CORPORATION INTERNATIONAL $0 (exited)
     SCI0-7,982$0
ISHARES TR SHORT TREAS BD $0 (exited)
     SHV0-2,424$0
SILA REALTY TRUST INC $0 (exited)
     COMMON STOCK0-41,216$0
SILVER BULL RES INCORPORATED COM NEW $0 (exited)
     COMMON STOCK0-75,000$0
SILVER ONE RES INCORPORATED $0 (exited)
     COMMON STOCK0-482,000$0
SILVER PREDATOR CORPORATION COM NEW $0 (exited)
     COMMON STOCK0-22,000$0
SCIENCE 37 HOLDINGS INC $0 (exited)
     SNCE0-29,725$0
TD SYNNEX CORPORATION $0 (exited)
     SNX0-2,167$0
DIREXION DAILY SEMICONDUCTOR BULL 3X SHARES $0 (exited)
     SOXL0-19,288$0
SPS COMM INCORPORATED $0 (exited)
     SPSC0-2,372$0
SPDR BLACKSTONE SENIOR LOAN ETF $0 (exited)
     SRLN0-5,488$0
STINGER RESOURCES INCORPORATED $0 (exited)
     COMMON STOCK0-22,648$0
SVB FINANCIAL GROUP $0 (exited)
     COMMON STOCK0-70,006$0
SYSCO CORP $0 (exited)
     SYY0-2,756$0
TIDEWATER INCORPORATED NEW $0 (exited)
     TDW0-10,440$0
ATLASSIAN CORPORATION CLASS A $0 (exited)
     TEAM0-1,148$0
TELLURIAN INC $0 (exited)
     TELL0-11,115$0
TREASURY METALS INCORPORATED COM NEW $0 (exited)
     COMMON STOCK0-13,676$0
THE TRADE DESK INCORPORATED COM CLASS A $0 (exited)
     TTD0-2,989$0
UNITED AIRLS HLDGS INCORPORATED $0 (exited)
     UAL0-5,988$0
UNITI GROUP INCORPORATED REIT $0 (exited)
     UNIT0-14,646$0
UPSTART HOLDINGS INC $0 (exited)
     UPST0-7,200$0
PROSHARES ULTRA RUSSELL2000 $0 (exited)
     UWM0-8,592$0
VANGUARD SMALL CAP VALUE ETF $0 (exited)
     VBR0-1,148$0
INVESCO CALIF VALUE MUN INCOME $0 (exited)
     VCV0-11,297$0
INVESCO TR INVT GRADE MUNS $0 (exited)
     VGM0-10,432$0
WESTERN DIGITAL CORPORATION. $0 (exited)
     WDC0-4,422$0
WELLTOWER INCORPORATED REIT $0 (exited)
     WELL0-6,095$0
ENCORE WIRE CORP $0 (exited)
     WIRE0-2,694$0
WEYERHAEUSER COMPANY MTN BE COM NEW REIT $0 (exited)
     WY0-7,013$0
UNITED STATES STEEL CORP 0 -7,670 $0 (exited)
     X0-7,670$0

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See Details: Top 10 Stocks Held By Kingswood Wealth Advisors LLC

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