Advisors Preferred Llc (1598841) Portfolio


Number of Companies: 129
Inflow: $995 K
Outflow: $-2,420 K
Net Flow: $-1,424 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)
2881 6 Waste Management Inc (WM) Waste Management 4,031 Added More 1,965 $59.00 $115 $237
2194 92 Parkway Properties Inc (PKY) Reit 5,870 Added More 2,571 $15.66 $40 $91
2542 7 Deluxe Corp (DLX) Printing Services 631 New Holding 631 $62.49 $39 $39
2927 6 Ford Motor Co (F) Automobiles 2,914 New Holding 2,914 $13.50 $39 $39
2695 114 Macerich Cothe (MAC) Reit 496 New Holding 496 $79.23 $39 $39
79 3 Firstenergy Corp (FE) Integrated Utilities 1,092 New Holding 1,092 $35.97 $39 $39
518 9 Capstead Mortgage Corp (CMO) Mortgage Finance 3,970 New Holding 3,970 $9.89 $39 $39
2135 6 Renaissancere Holdings Ltd (RNR) Reinsurance 327 New Holding 327 $119.83 $39 $39
2738 24 Western Union Co (WU) Consumer Finance 2,028 New Holding 2,028 $19.29 $39 $39
1873 6 Crane Co (CR) Flow Control Equipment 722 New Holding 722 $53.86 $38 $38
317 25 Omega Healthcare Investors (OHI) Reit 1,026 New Holding 1,026 $35.29 $36 $36
1901 78 Government Properties Income (GOV) Reit 2,022 New Holding 2,022 $17.85 $36 $36
2289 28 Dunkin Brands Group Inc (DNKN) Restaurants 761 New Holding 761 $47.16 $35 $35
2691 38 Questar Corp (STR) Utility Networks 1,439 New Holding 1,439 $24.79 $35 $35
2080 87 Corporate Office Properties (OFC) Reit 1,358 New Holding 1,358 $26.24 $35 $35
696 51 New York Community Bancorp (NYCB) Banks 2,238 New Holding 2,238 $15.90 $35 $35
3019 8 Union Pacific Corp (UNP) Rail Freight 444 New Holding 444 $79.55 $35 $35
2360 6 Healthways Inc (HWAY) Managed Care 5,384 Added More 1,694 $10.09 $17 $54
3051 57 Gilead Sciences Inc (GILD) Biotech 161 New Holding 161 $91.86 $14 $14
3057 15 Jpmorgan Chase And Co (JPM) Diversified Banks 1,020 Added More 236 $59.22 $13 $60
30 1 Resmed Inc (RMD) Health Care Supplies 175 New Holding 175 $57.82 $10 $10
416 8 Cracker Barrel Old Country (CBRL) Restaurants 66 New Holding 66 $152.66 $10 $10
2492 23 Dsw Inc-Class A (DSW) Specialty Apparel Stores 361 New Holding 361 $27.63 $9 $9
1817 1 Hsn Inc (HSNI) Catalog And Tv Based Retailers 186 New Holding 186 $52.31 $9 $9
203 14 Penn Real Estate Invest Tst (PEI) Reit 2,596 Added More 392 $21.85 $8 $56
747 19 Pdl Biopharma Inc (PDLI) Biotech 2,344 New Holding 2,344 $3.33 $7 $7
2442 44 American Capital Agency Corp (AGNC) Mortgage Finance 410 New Holding 410 $18.62 $7 $7
988 17 Transocean Ltd (RIG) Oil And Gas Services And Equip 833 New Holding 833 $9.14 $7 $7
2660 30 Sanderson Farms Inc (SAFM) Packaged Food 84 New Holding 84 $90.18 $7 $7
420 1 Rr Donnelley And Sons Co (RRD) Printing Services 461 New Holding 461 $16.40 $7 $7
2964 15 United Continental Holdings (UAL) Airlines 126 New Holding 126 $59.86 $7 $7
2650 19 Entergy Corp (ETR) Integrated Utilities 95 New Holding 95 $79.27 $7 $7
415 33 Mack-Cali Realty Corp (CLI) Reit 2,387 Added More 320 $23.50 $7 $56
1161 31 Northern Oil And Gas Inc (NOG) Exploration And Production 1,845 New Holding 1,845 $3.99 $7 $7
437 5 Cryolife Inc (CRY) Medical Devices 5,047 Added More 673 $10.75 $7 $54
2322 70 Neustar Inc-Class A (NSR) Application Software 291 New Holding 291 $24.60 $7 $7
253 1 Taiwan Semiconductor (TSM) Semiconductor Mfg 240 New Holding 240 $26.20 $6 $6
1788 13 Lg Display Co Ltd (LPL) Electronics Components 550 New Holding 550 $11.43 $6 $6
61 4 Kilroy Realty Corp (KRC) Reit 917 Added More 100 $61.86 $6 $56
533 1 Allegiant Travel Co (ALGT) Airlines 34 New Holding 34 $178.05 $6 $6
941 20 Cia Paranaense Ener-Sp Adr P (ELP) Utility Networks 758 New Holding 758 $7.92 $6 $6
858 3 Ja Solar Holdings Co Ltd (JASO) Renewable Energy Equipment 695 New Holding 695 $8.61 $5 $5
2470 16 Trina Solar Ltd (TSL) Renewable Energy Equipment 585 New Holding 585 $9.94 $5 $5
2499 109 Duke Realty Corp (DRE) Reit 2,506 Added More 240 $22.54 $5 $56
2314 20 Gentherm Inc (THRM) Auto Parts 114 New Holding 114 $41.59 $4 $4
2568 8 Molina Healthcare Inc (MOH) Managed Care 73 New Holding 73 $64.48 $4 $4
395 1 Rofin-Sinar Technologies Inc (RSTI) Metalworking Machinery 146 New Holding 146 $32.22 $4 $4
2891 65 Skyworks Solutions Inc (SWKS) Semiconductor Devices 60 New Holding 60 $77.90 $4 $4
2572 8 Hawaiian Holdings Inc (HA) Airlines 99 New Holding 99 $47.18 $4 $4
2723 11 Jetblue Airways Corp (JBLU) Airlines 221 New Holding 221 $21.12 $4 $4
2767 12 Southwest Airlines Co (LUV) Airlines 104 New Holding 104 $44.79 $4 $4
959 7 Intl Fcstone Inc (INTL) Institutional Brokerage 172 New Holding 172 $26.73 $4 $4
2679 4 Ncr Corporation (NCR) Transaction Mgmt Systems 87 New Holding 87 $29.93 $2 $2
1515 24 United Fire Group Inc (UFCS) P And C Insurance 1,379 Added More 39 $43.82 $1 $60
2115 18 Teekay Tankers Ltd-Class A (TNK) Marine Shipping 388 New Holding 388 $3.67 $1 $1
251 2 Express Inc (EXPR) Specialty Apparel Stores 66 New Holding 66 $21.41 $1 $1
2624 46 Mgic Investment Corp (MTG) Mortgage Finance 184 New Holding 184 $7.67 $1 $1
509 3 Nordic American Tankers Ltd (NAT) Marine Shipping 100 New Holding 100 $14.09 $1 $1
2328 25 Cal-Maine Foods Inc (CALM) Packaged Food 27 New Holding 27 $51.91 $1 $1
8 1 Herbalife Ltd (HLF) Packaged Food 22 New Holding 22 $61.56 $1 $1
2398 55 Telephone And Data Systems (TDS) Telecom Carriers 1,875 Sold Some -27 $30.09 $-0 $56
1025 3 Novo-Nordisk As (NVO) Large Pharma 201 Sold Some -24 $54.18 $-1 $10
866 8 Resources Connection Inc (RECN) Professional Services 656 Sold Some -90 $15.56 $-1 $10
2246 244 Columbia Banking System Inc (COLB) Banks 340 Sold Some -48 $29.92 $-1 $10
2460 16 Packaging Corp Of America (PKG) Containers And Packaging 167 Sold Some -30 $60.40 $-1 $10
2290 9 Gamestop Corp-Class A (GME) Other Spec Retail Discr 352 Sold Some -68 $31.73 $-2 $11
2432 7 Lexmark International Inc-A (LXK) Office Electronics 309 Sold Some -83 $33.43 $-2 $10
1838 210 City Holding Co (CHCO) Banks 214 Sold Some -62 $47.77 $-2 $10
2376 43 First American Financial (FAF) Mortgage Finance 272 Sold Some -88 $38.11 $-3 $10
3068 39 Mcdonalds Corp (MCD) Restaurants 81 Sold Some -27 $125.68 $-3 $10
2414 24 Ca Inc (CA) Infrastructure Software 329 Sold Some -119 $30.79 $-3 $10
2652 20 Cms Energy Corp (CMS) Integrated Utilities 240 Sold Some -113 $42.43 $-4 $10
2668 3 Fastenal Co (FAST) Home And Office Product Whslrs 206 Sold Some -111 $49.00 $-5 $10
11 1 Western Digital Corp (WDC) Computer Hardware And Storage 56 Sold Some -140 $47.24 $-6 $2
102 3 Regions Financial Corp (RF) Banks 327 Sold Some -921 $7.85 $-7 $2
2518 254 Fifth Third Bancorp (FITB) Banks 154 Sold Some -439 $16.69 $-7 $2
75 2 Keycorp (KEY) Banks 233 Sold Some -675 $11.04 $-7 $2
2425 16 Invesco Ltd (IVZ) Investment Management 83 Sold Some -275 $30.77 $-8 $2
3040 9 Abbvie Inc (ABBV) Large Pharma 46 Sold Some -154 $57.11 $-8 $2
93 2 Xerox Corp (XRX) It Services 240 Sold Some -886 $11.16 $-9 $2
1435 21 Employers Holdings Inc (EIG) P And C Insurance 760 Sold Some -1,105 $9.39 $-10 $7
2906 16 Valero Energy Corp (VLO) Refining And Marketing 0 Sold All -182 $64.13 $-11 $0
2907 20 Dr Pepper Snapple Group Inc (DPS) Beverages 0 Sold All -136 $89.41 $-12 $0
2488 23 Magna International Inc (MGA) Auto Parts 0 Sold All -302 $42.95 $-12 $0
1959 5 Roadrunner Transportation Sy (RRTS) Logistics Services 201 Sold Some -1,088 $12.46 $-13 $2
192 2 J2 Global Inc (JCOM) Telecom Carriers 0 Sold All -249 $61.58 $-15 $0
168 11 Cousins Properties Inc (CUZ) Reit 5,473 Sold Some -1,781 $10.38 $-18 $56
2082 27 New York Times Co-A (NYT) Publishing And Broadcasting 0 Sold All -1,518 $12.46 $-18 $0
408 32 Taubman Centers Inc (TCO) Reit 0 Sold All -269 $71.23 $-19 $0
1070 14 Kemper Corp (KMPR) P And C Insurance 726 Sold Some -649 $29.57 $-19 $21
43 1 Netease Inc (NTES) Application Software 0 Sold All -136 $143.58 $-19 $0
487 2 Callaway Golf Company (ELY) Sporting Goods 0 Sold All -2,189 $9.12 $-19 $0
2251 18 Chemed Corp (CHE) Health Care Services 0 Sold All -148 $135.44 $-20 $0
2125 20 Masimo Corp (MASI) Medical Devices 0 Sold All -488 $41.84 $-20 $0
3014 6 Bristol-Myers Squibb Co (BMY) Large Pharma 0 Sold All -321 $63.88 $-20 $0
2669 16 Te Connectivity Ltd (TEL) Electrical Components 0 Sold All -342 $61.91 $-21 $0
3016 38 Starbucks Corp (SBUX) Restaurants 0 Sold All -368 $59.70 $-21 $0
289 24 Weingarten Realty Investors (WRI) Reit 0 Sold All -596 $37.52 $-22 $0
3007 24 Dentsply Sirona Inc (XRAY) Medical Equipment 0 Sold All -365 $61.63 $-22 $0
1592 20 Futurefuel Corp (FF) Basic And Diversified Chemicals 1,856 Sold Some -1,938 $11.79 $-22 $21
2991 68 Texas Instruments Inc (TXN) Semiconductor Devices 0 Sold All -399 $57.41 $-22 $0
2748 30 Lam Research Corp (LRCX) Semiconductor Mfg 0 Sold All -279 $82.59 $-23 $0
517 38 Retail Opportunity Investmen (ROIC) Reit 0 Sold All -1,150 $20.12 $-23 $0
1998 25 Wns Holdings Ltd (WNS) It Services 0 Sold All -802 $30.63 $-24 $0
2242 4 Grupo Aeroportuario Pac (PAC) Transport Support Services 0 Sold All -279 $88.70 $-24 $0
309 5 Sri Malini Spinning Mills (PAM) 0 Sold All -1,193 $21.44 $-25 $0
2411 55 Ii-Vi Inc (IIVI) Semiconductor Devices 0 Sold All -1,180 $21.70 $-25 $0
2734 19 Fomento Economico Mex (FMX) Beverages 0 Sold All -268 $96.30 $-25 $0
529 36 Bbva Banco Frances Sa (BFR) Banks 0 Sold All -1,303 $19.96 $-26 $0
506 32 International Bancshares Crp (IBOC) Banks 876 Sold Some -1,081 $24.66 $-26 $21
2268 13 Tal Education Group (XRS) Educational Services 0 Sold All -539 $49.68 $-26 $0
178 1 New Oriental Educatio (EDU) Educational Services 0 Sold All -785 $34.59 $-27 $0
2183 29 Convergys Corp (CVG) It Services 0 Sold All -979 $27.77 $-27 $0
567 3 Fabrinet (FN) Emsodm 0 Sold All -859 $32.34 $-27 $0
2075 232 N B T Bancorp Inc (NBTB) Banks 798 Sold Some -1,037 $26.95 $-27 $21
708 9 Exlservice Holdings Inc (EXLS) It Services 0 Sold All -545 $51.79 $-28 $0
3027 7 Comcast Corp-Class A (CMCSA) Cable And Satellite 357 Sold Some -563 $61.08 $-34 $21
2829 19 Prudential Financial Inc (PRU) Life Insurance 0 Sold All -486 $72.22 $-35 $0
1946 218 Tompkins Financial Corp (TMP) Banks 339 Sold Some -568 $64.00 $-36 $21
1765 24 Kelly Services Inc -A (KELYA) Professional Services 1,169 Sold Some -2,016 $19.12 $-38 $22
2914 19 Clorox Company (CLX) Household Products 1,945 Sold Some -1,038 $126.05 $-130 $245
369 5 Apollo Commercial Real Estat (ARI) Mortgage Finance 14,500 Sold Some -8,396 $16.29 $-136 $236
208 2 Proassurance Corp (PRA) P And C Insurance 5,016 Sold Some -2,937 $50.59 $-148 $253
1890 29 Arch Capital Group Ltd (ACGL) P And C Insurance 3,359 Sold Some -2,138 $71.09 $-152 $238
3059 25 Pepsico Inc (PEP) Beverages 2,322 Sold Some -1,502 $102.48 $-153 $237
922 20 Mfa Financial Inc (MFA) Mortgage Finance 35,716 Sold Some -22,594 $6.85 $-154 $244
3003 49 Travelers Cos Incthe (TRV) P And C Insurance 2,042 Sold Some -1,416 $116.70 $-165 $238
2805 17 Church And Dwight Co Inc (CHD) Household Products 2,599 Sold Some -1,976 $92.18 $-182 $239
2727 10 Everest Re Group Ltd (RE) Reinsurance 1,212 Sold Some -932 $197.42 $-184 $239