Strategic Wealth Advisors Group Inc (1548916) Portfolio


Number of Companies: 38
Inflow: $67,222 K
Outflow: $-12,097 K
Net Flow: $55,125 K
2016-03-31: Recent SEC Filing
2015-12-31: Previous SEC Filing


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Mffais Overall Rank Mffais Industry Rank Company Industry Shares Action Qty Chg Close Price Mffais Flow(K) Current Value (K)
3079 54 Apple Inc (AAPL) Communications Equipment 164,770 New Holding 164,770 $108.98 $17,958 $17,958
3021 55 Celgene Corp (CELG) Biotech 85,641 New Holding 85,641 $100.08 $8,571 $8,571
3061 12 Chevron Corp (CVX) Integrated Oils 85,641 New Holding 85,641 $95.40 $8,170 $8,170
3074 26 Facebook Inc-A (FB) Internet Media 64,052 New Holding 64,052 $114.09 $7,308 $7,308
3049 6 General Electric Co (GE) Electrical Power Equipment 123,977 New Holding 123,977 $31.79 $3,941 $3,941
2994 16 Corning Inc (GLW) Electronics Components 183,294 New Holding 183,294 $20.88 $3,829 $3,829
3064 14 Walt Disney Cothe (DIS) Entertainment Content 33,449 New Holding 33,449 $99.30 $3,321 $3,321
3030 69 Intel Corp (INTC) Semiconductor Devices 71,491 New Holding 71,491 $32.34 $2,312 $2,312
2984 25 Netflix Inc (NFLX) Internet Media 19,530 New Holding 19,530 $102.23 $1,996 $1,996
2979 53 Cisco Systems Inc (CSCO) Communications Equipment 58,828 New Holding 58,828 $28.46 $1,674 $1,674
3031 8 Pfizer Inc (PFE) Large Pharma 71,392 Added More 43,296 $29.63 $1,283 $2,116
2068 86 Wp Carey Inc (WPC) Reit 19,336 New Holding 19,336 $62.24 $1,203 $1,203
3059 25 Pepsico Inc (PEP) Beverages 11,195 New Holding 11,195 $102.48 $1,147 $1,147
3047 19 Honeywell International Inc (HON) Comml And Res Bldg Equip And Sys 8,843 New Holding 8,843 $112.05 $990 $990
3023 7 Merck And Co Inc (MRK) Large Pharma 49,826 Added More 18,681 $52.91 $988 $2,636
2944 1 Emerson Electric Co (EMR) Industrial Automation Controls 13,514 New Holding 13,514 $54.38 $734 $734
3017 8 Wal-Mart Stores Inc (WMT) Mass Merchants 9,435 New Holding 9,435 $68.48 $646 $646
861 18 Two Harbors Investment Corp (TWO) Mortgage Finance 32,708 New Holding 32,708 $7.94 $259 $259
3052 34 Visa Inc-Class A Shares (V) Consumer Finance 25,100 Added More 3,177 $76.48 $242 $1,919
3029 24 Coca-Cola Cothe (KO) Beverages 14,138 Added More 4,715 $46.38 $218 $655
467 2 Kb Home (KBH) Homebuilders 15,007 New Holding 15,007 $14.28 $214 $214
2927 6 Ford Motor Co (F) Automobiles 15,402 New Holding 15,402 $13.50 $207 $207
1824 24 Venus Remedies Ltd (VNR) 0 Sold All -36,177 $1.46 $-52 $0
2767 12 Southwest Airlines Co (LUV) Airlines 13,457 Sold Some -2,207 $44.79 $-98 $602
3037 33 Mastercard Inc-Class A (MA) Consumer Finance 14,145 Sold Some -1,106 $94.50 $-104 $1,336
693 2 Kennedy-Wilson Holdings Inc (KW) Real Estate Owners And Developers 0 Sold All -14,407 $21.90 $-315 $0
3062 63 Atandt Inc (T) Telecom Carriers 44,923 Sold Some -10,564 $39.16 $-413 $1,759
2832 19 Williams Cos Inc (WMB) Midstream Oil And Gas 0 Sold All -28,542 $16.07 $-458 $0
2976 33 Oracle Corp (ORCL) Infrastructure Software 0 Sold All -12,152 $40.91 $-497 $0
3016 38 Starbucks Corp (SBUX) Restaurants 0 Sold All -12,478 $59.70 $-744 $0
214 16 Retail Properties Of Ame - A (RPAI) Reit 0 Sold All -48,303 $15.85 $-765 $0
3075 13 Exxon Mobil Corp (XOM) Integrated Oils 14,138 Sold Some -11,458 $83.58 $-957 $1,181
3077 22 Procter And Gamble Cothe (PG) Household Products 0 Sold All -11,789 $82.30 $-970 $0
3057 15 Jpmorgan Chase And Co (JPM) Diversified Banks 0 Sold All -16,655 $59.22 $-986 $0
3050 14 Wells Fargo And Co (WFC) Diversified Banks 15,169 Sold Some -21,844 $48.36 $-1,056 $733
3072 34 Microsoft Corp (MSFT) Infrastructure Software 0 Sold All -26,747 $55.23 $-1,477 $0
3058 62 Verizon Communications Inc (VZ) Telecom Carriers 0 Sold All -28,128 $54.08 $-1,521 $0
3076 10 Johnson And Johnson (JNJ) Large Pharma 0 Sold All -15,490 $108.19 $-1,676 $0