|
Entity | Shares/Amount Change | Position Value Change |
IBMQ |
+99,107 | +$2,504 | IBHG |
+109,154 | +$2,430 | IBHF |
+105,130 | +$2,424 | IBHH |
+76,718 | +$1,791 | ALGN |
+2,000 | +$656 | NVDA |
+517 | +$467 | SQ |
+4,542 | +$384 | CAT |
+1,036 | +$380 | SCHW |
+4,388 | +$317 | TFC |
+8,098 | +$316 |
Entity | Shares/Amount Change | Position Value Change |
YUM |
-1,893 | -$247 | PLAB |
-6,693 | -$210 |
Entity | Shares/Amount Change | Position Value Change |
IBMP |
+118,481 | +$2,972 | IBMO |
+109,420 | +$2,762 | IBHE |
+97,291 | +$2,278 | IBMN |
+91,189 | +$2,405 | IJH |
+86,344 | +$839 | SPDW |
+45,952 | +$1,758 | IBHD |
+30,436 | +$714 | RSP |
+14,686 | +$17,823 | IBMM |
+13,740 | +$359 | IVW |
+7,210 | +$1,879 |
Entity | Shares/Amount Change | Position Value Change |
EFA |
-14,348 | +$1,249 | IVV |
-9,200 | +$17,228 | ICF |
-5,878 | -$694 | IEFA |
-5,149 | +$1,702 | IEMG |
-4,124 | -$67 | DVY |
-3,273 | +$1,028 | GM |
-3,000 | -$20 | EEM |
-2,891 | $UNCH | DUK |
-2,341 | -$228 |
Size ($ in 1000's)
At 03/31/2024: $1,153,272 At 12/31/2023: $1,051,935
Lbmc Investment Advisors LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Lbmc Investment Advisors LLC 13F filings.
Link to 13F filings: SEC filings
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As of 03/31/2024, we find all stocks held by Lbmc Investment Advisors LLC to be as follows, presented in the
table below with each row detailing each Lbmc Investment Advisors LLC position, ordered by largest to smallest position size.
The all-stocks-held-by-Lbmc Investment Advisors LLC table shows the entity held in the first column (click any entity to explore other funds
holding positions), the share amount held, the share count change between the last two reporting periods, and finally the
position size for all stocks held by Lbmc Investment Advisors LLC as of the latest filing.
Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size
($ in 1000's) |
Ishares TRUST S&P 500 (IVV) |
449,532 |
-9,200 |
$236,332 | IVV | 449,532 | -9,200 | $236,332 | Invesco S&P 500 Eql Wgt |
1,340,113 |
+14,686 |
$226,975 | RSP | 1,340,113 | +14,686 | $226,975 | Ishares Russell 2000 (IWM) |
706,274 |
+4,669 |
$148,529 | IWM | 706,274 | +4,669 | $148,529 | Ishares Msci ETF High Dividend Equity Fund (HDV) |
479,389 |
-1,355 |
$52,833 | HDV | 479,389 | -1,355 | $52,833 | Ishares Tr MSCI EAFE Fd (EFA) |
516,683 |
-14,348 |
$41,262 | EFA | 516,683 | -14,348 | $41,262 | Ishares Core Msci Eafe (IEFA) |
533,322 |
-5,149 |
$39,583 | IEFA | 533,322 | -5,149 | $39,583 | Ishares Tr Dow Jones Select Divid Index (DVY) |
236,923 |
-3,273 |
$29,184 | DVY | 236,923 | -3,273 | $29,184 | Vanguard Europe Pac Etf (VEA) |
489,594 |
-5 |
$24,563 | VEA | 489,594 | -5 | $24,563 | Ishares Cohen Steers REIT (ICF) |
338,595 |
-5,878 |
$19,537 | ICF | 338,595 | -5,878 | $19,537 | Ishares Tr S&P Smallcap (IJR) |
149,830 |
+2,343 |
$16,559 | IJR | 149,830 | +2,343 | $16,559 | Hca The Healthcare Co |
46,363 |
UNCH |
$15,463 | HCA | 46,363 | UNCH | $15,463 | Vanguard High Div ETF (VYM) |
117,621 |
-75 |
$14,231 | VYM | 117,621 | -75 | $14,231 | Vanguard S&P 500 Etf (VOO) |
28,024 |
-873 |
$13,471 | VOO | 28,024 | -873 | $13,471 | Vanguard Russell 2000 (VTWO) |
154,949 |
+76 |
$13,180 | VTWO | 154,949 | +76 | $13,180 | Ishares Tr S&P 500 Barra Growth Index (IVW) |
143,138 |
+7,210 |
$12,087 | IVW | 143,138 | +7,210 | $12,087 | Vanguard Mid Cap (VO) |
45,689 |
-1,601 |
$11,416 | VO | 45,689 | -1,601 | $11,416 | Ishares Tr S&P 500 Value Index Fd (IVE) |
55,159 |
+561 |
$10,304 | IVE | 55,159 | +561 | $10,304 | Ishares Tr S&P Aggressive (AOA) |
139,630 |
-879 |
$10,257 | AOA | 139,630 | -879 | $10,257 | Ishares Tr Dj US Utils (IDU) |
118,470 |
-1,183 |
$10,013 | IDU | 118,470 | -1,183 | $10,013 | Apple Computer Inc |
50,997 |
+837 |
$8,745 | AAPL | 50,997 | +837 | $8,745 | Vanguard Emerging Market (VWO) |
186,678 |
-1,798 |
$7,798 | VWO | 186,678 | -1,798 | $7,798 | Vanguard REIT (VNQ) |
89,917 |
-2,055 |
$7,776 | VNQ | 89,917 | -2,055 | $7,776 | Ishares Core Msci (IEMG) |
138,897 |
-4,124 |
$7,167 | IEMG | 138,897 | -4,124 | $7,167 | Ishares Tr S&P Midcap (IJH) |
106,700 |
+86,344 |
$6,481 | IJH | 106,700 | +86,344 | $6,481 | Ishares MSCI Emrg Mkt Fd (EEM) |
133,792 |
-2,891 |
$5,496 | EEM | 133,792 | -2,891 | $5,496 | S P D R TRUST Unit SR |
10,498 |
+49 |
$5,491 | SPY | 10,498 | +49 | $5,491 | Microsoft Corp |
12,829 |
+584 |
$5,398 | MSFT | 12,829 | +584 | $5,398 | Smith A O |
58,935 |
+23 |
$5,272 | AOS | 58,935 | +23 | $5,272 | iShares iBonds Dec 2025 Term Muni Bd ETF (IBMN) |
193,860 |
+91,189 |
$5,130 | IBMN | 193,860 | +91,189 | $5,130 | iShares iBonds Dec 2026 Term Muni Bd ETF (IBMO) |
186,620 |
+109,420 |
$4,731 | IBMO | 186,620 | +109,420 | $4,731 | A F L A C Inc |
52,905 |
-1,645 |
$4,542 | AFL | 52,905 | -1,645 | $4,542 | Ishares Tr S&P Allocation Fd (AOR) |
79,982 |
-414 |
$4,453 | AOR | 79,982 | -414 | $4,453 | Berkshire Hathaway Cl B |
|
|
$4,290 | BRK.B | 10,201 | -55 | $4,290 | iShares iBonds Dec 2027 Term Muni Bd ETF (IBMP) |
157,191 |
+118,481 |
$3,956 | IBMP | 157,191 | +118,481 | $3,956 | SPDR Portfolio Developed Wld ex US ETF (SPDW) |
106,609 |
+45,952 |
$3,821 | SPDW | 106,609 | +45,952 | $3,821 | SPDR Portfolio S&P 600 Sm Cap ETF (SPSM) |
84,395 |
+4,840 |
$3,632 | SPSM | 84,395 | +4,840 | $3,632 | Amazon Com Inc |
16,994 |
-70 |
$3,065 | AMZN | 16,994 | -70 | $3,065 | Nasdaq 100 Shares (QQQ) |
6,527 |
+982 |
$2,898 | QQQ | 6,527 | +982 | $2,898 | Home Depot Inc |
6,992 |
+1,502 |
$2,682 | HD | 6,992 | +1,502 | $2,682 | Google Inc Class C |
17,501 |
+3,460 |
$2,665 | GOOG | 17,501 | +3,460 | $2,665 | iShares iBonds 2025 Term HY and Inc ETF (IBHE) |
111,609 |
+97,291 |
$2,609 | IBHE | 111,609 | +97,291 | $2,609 | iShares iBonds Dec 2024 Term Muni Bond (IBMM) |
97,824 |
+13,740 |
$2,539 | IBMM | 97,824 | +13,740 | $2,539 | iShares iBonds Dec 2028 Term Muni Bd ETF (IBMQ) |
99,107 |
+99,107 |
$2,504 | IBMQ | 99,107 | +99,107 | $2,504 | ISHS IBND 2027 TRM HGH YLD INCM ETF (IBHG) |
109,154 |
+109,154 |
$2,430 | IBHG | 109,154 | +109,154 | $2,430 | ISHARES IBND 2026 TRM HG YD INCM ETF (IBHF) |
105,130 |
+105,130 |
$2,424 | IBHF | 105,130 | +105,130 | $2,424 | Spdr S&P 500 Growth Etf (SPYG) |
33,063 |
+28 |
$2,419 | SPYG | 33,063 | +28 | $2,419 | Gorman Rupp Co Com |
61,116 |
UNCH |
$2,417 | GRC | 61,116 | UNCH | $2,417 | Exxon Mobil Corporation |
20,516 |
-1,207 |
$2,385 | XOM | 20,516 | -1,207 | $2,385 | Coca Cola Company |
38,370 |
UNCH |
$2,348 | KO | 38,370 | UNCH | $2,348 | Google Inc Cl A |
13,331 |
UNCH |
$2,012 | GOOGL | 13,331 | UNCH | $2,012 | SPDR MSCI USA StrategicFactors ETF (QUS) |
13,464 |
+3,680 |
$1,961 | QUS | 13,464 | +3,680 | $1,961 | iShares iBonds 2028 Term HY & Inc ETF (IBHH) |
76,718 |
+76,718 |
$1,791 | IBHH | 76,718 | +76,718 | $1,791 | Vanguard Total World (VT) |
16,023 |
+398 |
$1,771 | VT | 16,023 | +398 | $1,771 | Schw US Lcap Etf (SCHX) |
27,426 |
+2 |
$1,702 | SCHX | 27,426 | +2 | $1,702 | The Southern Company |
23,499 |
-1,112 |
$1,686 | SO | 23,499 | -1,112 | $1,686 | iShares iBonds 2024 Term HY and Inc ETF (IBHD) |
71,419 |
+30,436 |
$1,665 | IBHD | 71,419 | +30,436 | $1,665 | Disney Walt Hldg Co |
12,770 |
+2,286 |
$1,563 | DIS | 12,770 | +2,286 | $1,563 | Facebook Inc Class A |
3,189 |
+1,501 |
$1,548 | META | 3,189 | +1,501 | $1,548 | Schwab Fundamental US (FNDX) |
22,873 |
+2 |
$1,541 | FNDX | 22,873 | +2 | $1,541 | J P Morgan Chase & Co |
7,101 |
-389 |
$1,422 | JPM | 7,101 | -389 | $1,422 | Lilly Eli & Company |
1,800 |
UNCH |
$1,400 | LLY | 1,800 | UNCH | $1,400 | Ishares S&P Midcap (IJK) |
14,458 |
-42 |
$1,319 | IJK | 14,458 | -42 | $1,319 | Blackstone Group LP |
9,651 |
+1,002 |
$1,268 | BX | 9,651 | +1,002 | $1,268 | Pinnancle Finl Partners Inc |
14,531 |
+5,005 |
$1,248 | PNFP | 14,531 | +5,005 | $1,248 | Mid Cap S P D R TRUST |
2,220 |
UNCH |
$1,235 | MDY | 2,220 | UNCH | $1,235 | Sector Spdr Health Fund (XLV) |
8,122 |
UNCH |
$1,200 | XLV | 8,122 | UNCH | $1,200 | Costco Whsl Corp New |
1,631 |
+490 |
$1,195 | COST | 1,631 | +490 | $1,195 | Merck & Co Inc |
8,886 |
-120 |
$1,173 | MRK | 8,886 | -120 | $1,173 | DFA Tax Managed US Marketwide Value II |
26,329 |
+39 |
$1,077 | DFUV | 26,329 | +39 | $1,077 | Intl Business Machines |
5,420 |
+12 |
$1,035 | IBM | 5,420 | +12 | $1,035 | SPDR Portfolio S&P 500 ETF (SPLG) |
15,674 |
+1,285 |
$964 | SPLG | 15,674 | +1,285 | $964 | Ishares Tr Russell (IWF) |
2,778 |
+1 |
$936 | IWF | 2,778 | +1 | $936 | Smartfinancial Inc |
44,298 |
UNCH |
$933 | SMBK | 44,298 | UNCH | $933 | Johnson & Johnson |
5,851 |
-100 |
$926 | JNJ | 5,851 | -100 | $926 | Oracle Corporation |
7,263 |
UNCH |
$912 | ORCL | 7,263 | UNCH | $912 | Mongodb Inc Cl A |
2,500 |
UNCH |
$897 | MDB | 2,500 | UNCH | $897 | Ishares Tr Dow Jones Re (IYR) |
9,912 |
UNCH |
$891 | IYR | 9,912 | UNCH | $891 | Chevrontexaco Corp |
5,627 |
UNCH |
$888 | CVX | 5,627 | UNCH | $888 | Nestle Sa Ord |
8,118 |
UNCH |
$862 | NSRGF | 8,118 | UNCH | $862 | Sysco Corporation |
10,615 |
UNCH |
$862 | SYY | 10,615 | UNCH | $862 | Bank Of America Corp |
22,252 |
+63 |
$844 | BAC | 22,252 | +63 | $844 | South St Corp Com |
9,902 |
UNCH |
$842 | SSB | 9,902 | UNCH | $842 | Mastercard Inc |
1,736 |
UNCH |
$836 | MA | 1,736 | UNCH | $836 | Visa Inc Cl A |
2,925 |
UNCH |
$816 | V | 2,925 | UNCH | $816 | Synopsys Inc |
1,344 |
-178 |
$768 | SNPS | 1,344 | -178 | $768 | Sch Fnd US Sm Etf (FNDA) |
13,326 |
UNCH |
$760 | FNDA | 13,326 | UNCH | $760 | SPDR Portfolio S&P 500 Value ETF (SPYV) |
15,175 |
+605 |
$760 | SPYV | 15,175 | +605 | $760 | Ishares S&P U S Pfd Fund (PFF) |
23,481 |
UNCH |
$757 | PFF | 23,481 | UNCH | $757 | Vanguard Short Term Bd Index (BSV) |
9,769 |
+11 |
$749 | BSV | 9,769 | +11 | $749 | Advanced Micro Devic |
4,136 |
UNCH |
$747 | AMD | 4,136 | UNCH | $747 | Conocophillips |
5,803 |
-810 |
$739 | COP | 5,803 | -810 | $739 | Schwab Fundamental Inl (FNDF) |
19,867 |
UNCH |
$707 | FNDF | 19,867 | UNCH | $707 | Pepsico Incorporated |
3,999 |
-551 |
$700 | PEP | 3,999 | -551 | $700 | Boeing Co |
3,472 |
+1,687 |
$670 | BA | 3,472 | +1,687 | $670 | Align Technology Inc |
2,000 |
+2,000 |
$656 | ALGN | 2,000 | +2,000 | $656 | General Electric Company |
3,570 |
+1,875 |
$627 | GE | 3,570 | +1,875 | $627 | Ishares Tr Dow Jones (IDV) |
21,125 |
-613 |
$592 | IDV | 21,125 | -613 | $592 | Cisco Systems Inc |
11,643 |
+169 |
$581 | CSCO | 11,643 | +169 | $581 | FIS CHRISTIAN STOCK FUND ETF (PRAY) |
20,780 |
UNCH |
$577 | PRAY | 20,780 | UNCH | $577 | Pnc Finl Services Gp Inc |
3,302 |
+1,500 |
$534 | PNC | 3,302 | +1,500 | $534 | Abbvie Inc |
2,894 |
+61 |
$527 | ABBV | 2,894 | +61 | $527 | Schw Intl Eq Etf (SCHF) |
13,339 |
UNCH |
$520 | SCHF | 13,339 | UNCH | $520 | Wal Mart Stores Inc |
8,311 |
+5,541 |
$500 | WMT | 8,311 | +5,541 | $500 | Schw US Scap Etf (SCHA) |
10,117 |
+1 |
$498 | SCHA | 10,117 | +1 | $498 | Raytheon Technologies Ord |
5,042 |
-97 |
$492 | RTX | 5,042 | -97 | $492 | Vanguard Div Appreciation (VIG) |
2,585 |
+5 |
$472 | VIG | 2,585 | +5 | $472 | NVIDIA Corp |
517 |
+517 |
$467 | NVDA | 517 | +517 | $467 | Fedex Corporation |
1,593 |
+500 |
$462 | FDX | 1,593 | +500 | $462 | Truxton Corp |
7,329 |
UNCH |
$462 | COM | 7,329 | UNCH | $462 | Dfa Tax Managed US Small |
8,457 |
+9 |
$460 | DFAT | 8,457 | +9 | $460 | Intel Corp |
10,236 |
+4 |
$452 | INTC | 10,236 | +4 | $452 | Bristol Myers Squibb Co |
7,992 |
+618 |
$433 | BMY | 7,992 | +618 | $433 | General Motors Corp |
9,404 |
-3,000 |
$426 | GM | 9,404 | -3,000 | $426 | Pfizer Incorporated |
15,353 |
-1,304 |
$426 | PFE | 15,353 | -1,304 | $426 | Mc Donalds Corp |
1,448 |
+5 |
$408 | MCD | 1,448 | +5 | $408 | Wells Fargo & Co New |
6,797 |
+241 |
$394 | WFC | 6,797 | +241 | $394 | Phillips |
2,382 |
-377 |
$389 | PSX | 2,382 | -377 | $389 | Tesla Motors Inc |
2,209 |
+944 |
$388 | TSLA | 2,209 | +944 | $388 | Square Inc Cl A |
4,542 |
+4,542 |
$384 | SQ | 4,542 | +4,542 | $384 | Micron Technology Inc |
3,246 |
UNCH |
$383 | MU | 3,246 | UNCH | $383 | Caterpillar Inc |
1,036 |
+1,036 |
$380 | CAT | 1,036 | +1,036 | $380 | Regions Financial Cp New |
17,927 |
+211 |
$377 | RF | 17,927 | +211 | $377 | Analog Devices Inc |
1,892 |
UNCH |
$374 | ADI | 1,892 | UNCH | $374 | Spdr Dow Jones (DIA) |
935 |
UNCH |
$372 | DIA | 935 | UNCH | $372 | Alpha Architect US Quantitative Val ETF (QVAL) |
8,000 |
UNCH |
$360 | QVAL | 8,000 | UNCH | $360 | Atmos Energy Corp |
2,996 |
-749 |
$356 | ATO | 2,996 | -749 | $356 | U S Bancorp Del New |
7,840 |
+319 |
$350 | USB | 7,840 | +319 | $350 | Spdr S&P Dividend Etf (SDY) |
2,644 |
+2 |
$347 | SDY | 2,644 | +2 | $347 | Philip Morris Intl Inc |
3,757 |
+25 |
$344 | PM | 3,757 | +25 | $344 | Nextera Energy Inc |
5,296 |
UNCH |
$338 | NEE | 5,296 | UNCH | $338 | Dupont De Nemours Inc |
4,228 |
UNCH |
$324 | DD | 4,228 | UNCH | $324 | Unitedhealth Group Inc |
647 |
UNCH |
$320 | UNH | 647 | UNCH | $320 | Invesco S&P 500 Quality ETF (SPHQ) |
5,273 |
UNCH |
$319 | SPHQ | 5,273 | UNCH | $319 | The Charles Schwab Corp |
4,388 |
+4,388 |
$317 | SCHW | 4,388 | +4,388 | $317 | Truist Finl Corp Com |
8,098 |
+8,098 |
$316 | TFC | 8,098 | +8,098 | $316 | City Holding Co |
3,000 |
UNCH |
$313 | CHCO | 3,000 | UNCH | $313 | Duke Energy Corporation |
3,238 |
-2,341 |
$313 | DUK | 3,238 | -2,341 | $313 | C V S Corp Del |
3,899 |
UNCH |
$311 | CVS | 3,899 | UNCH | $311 | ProShares Ultra QQQ (QLD) |
3,556 |
UNCH |
$311 | QLD | 3,556 | UNCH | $311 | SPDR S&P Emerging Markets ETF (SPEM) |
8,523 |
UNCH |
$308 | SPEM | 8,523 | UNCH | $308 | Vanguard Mortgage Backed (VMBS) |
6,763 |
UNCH |
$308 | VMBS | 6,763 | UNCH | $308 | Trane Technologies PLC |
1,000 |
UNCH |
$300 | TT | 1,000 | UNCH | $300 | Fifth Third Bancorp |
8,000 |
+8,000 |
$298 | FITB | 8,000 | +8,000 | $298 | Abbott Laboratories |
2,612 |
+1 |
$297 | ABT | 2,612 | +1 | $297 | SPDR S&P 600 Small Cap Growth ETF (SLYG) |
3,268 |
-1,284 |
$285 | SLYG | 3,268 | -1,284 | $285 | Ishares Russell Index Fd (IWR) |
3,347 |
+1 |
$281 | IWR | 3,347 | +1 | $281 | Vanguard Information Technology ETF (VGT) |
531 |
+1 |
$278 | VGT | 531 | +1 | $278 | Marathon Pete Corp |
1,338 |
+1,338 |
$270 | MPC | 1,338 | +1,338 | $270 | Prudential Financial Inc |
2,294 |
UNCH |
$269 | PRU | 2,294 | UNCH | $269 | Dow Chemical Company |
4,398 |
UNCH |
$255 | DOW | 4,398 | UNCH | $255 | Procter & Gamble Co |
1,554 |
UNCH |
$252 | PG | 1,554 | UNCH | $252 | Vanguard Total Stock Mkt (VTI) |
970 |
+2 |
$252 | VTI | 970 | +2 | $252 | Spdr S&P Regional (KRE) |
5,000 |
+5,000 |
$251 | KRE | 5,000 | +5,000 | $251 | Sector Spdr Consumer Fd (XLY) |
1,366 |
UNCH |
$251 | XLY | 1,366 | UNCH | $251 | Schwab Fundamental Intl (FNDC) |
7,061 |
UNCH |
$250 | FNDC | 7,061 | UNCH | $250 | United Parcel Service B |
1,664 |
+15 |
$247 | UPS | 1,664 | +15 | $247 | Block H R Incorporated |
5,000 |
UNCH |
$246 | HRB | 5,000 | UNCH | $246 | i3 Verticals Inc |
10,700 |
UNCH |
$245 | IIIV | 10,700 | UNCH | $245 | Corteva Inc com |
4,228 |
UNCH |
$244 | CTVA | 4,228 | UNCH | $244 | A T & T Corp |
13,843 |
-113 |
$244 | T | 13,843 | -113 | $244 | Verizon Communications |
5,822 |
-1,232 |
$244 | VZ | 5,822 | -1,232 | $244 | Global Pmts Inc Com |
1,817 |
UNCH |
$243 | GPN | 1,817 | UNCH | $243 | Schwab Funda Emg Mkts (FNDE) |
8,735 |
UNCH |
$242 | FNDE | 8,735 | UNCH | $242 | Airbnb Inc |
1,419 |
+1,419 |
$234 | ABNB | 1,419 | +1,419 | $234 | Mckesson Corporation |
430 |
+430 |
$231 | MCK | 430 | +430 | $231 | Schwab Intermediate Term |
4,660 |
UNCH |
$229 | SCHR | 4,660 | UNCH | $229 | Nike Inc Class B |
2,416 |
+488 |
$227 | NKE | 2,416 | +488 | $227 | Royal Bk Cda Montreal |
2,254 |
UNCH |
$227 | RY | 2,254 | UNCH | $227 | Honeywell International |
1,094 |
UNCH |
$225 | HON | 1,094 | UNCH | $225 | PerkinElmer Inc |
2,133 |
UNCH |
$224 | RVTY | 2,133 | UNCH | $224 | Applied Materials Inc |
1,050 |
+1,050 |
$217 | AMAT | 1,050 | +1,050 | $217 | Texas Instruments Inc |
1,241 |
UNCH |
$216 | TXN | 1,241 | UNCH | $216 | Constellation Brand Cl A |
775 |
+775 |
$211 | STZ | 775 | +775 | $211 | Ares Capital Corp |
10,079 |
UNCH |
$210 | ARCC | 10,079 | UNCH | $210 | Royal Carribean Cruisesf |
1,500 |
+1,500 |
$209 | RCL | 1,500 | +1,500 | $209 | Humana Inc |
600 |
UNCH |
$208 | HUM | 600 | UNCH | $208 | Vanguard S&P Small Cap 600 ETF (VIOO) |
2,024 |
UNCH |
$205 | VIOO | 2,024 | UNCH | $205 | United Continental Holdings Inc Com Usd0 |
4,267 |
+4,267 |
$204 | UAL | 4,267 | +4,267 | $204 | General Mills Inc |
2,871 |
+2,871 |
$201 | GIS | 2,871 | +2,871 | $201 | Thermo Fisher Scntfc |
345 |
+345 |
$201 | TMO | 345 | +345 | $201 | Ford Motor Company |
13,294 |
+156 |
$177 | F | 13,294 | +156 | $177 | Carnival Corp |
10,600 |
+10,600 |
$173 | CCL | 10,600 | +10,600 | $173 | ATLAS SALT ORD |
10,000 |
UNCH |
$6 | COM | 10,000 | UNCH | $6 | Provectus Pharmaceutical Inc |
22,000 |
UNCH |
$4 | COM | 22,000 | UNCH | $4 | Icon Media Holdings Inc |
100,000 |
+100,000 |
<$1 | COM | 100,000 | +100,000 | $0 | MSGI Security Solutions Inc NV |
50,000 |
+50,000 |
$0 | COM | 50,000 | +50,000 | $0 | Photronics Inc |
|
|
$0 (exited) | PLAB | 0 | -6,693 | $0 | YUM Brands Inc. |
0 |
-1,893 |
$0 (exited) | YUM | 0 | -1,893 | $0 |
See Summary: Lbmc Investment Advisors LLC Top Holdings
See Details: Top 10 Stocks Held By Lbmc Investment Advisors LLC
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