Paradigm Financial Advisors, LLC - Q2 2018 holdings

$234 Million is the total value of Paradigm Financial Advisors, LLC's 120 reported holdings in Q2 2018. The portfolio turnover from Q1 2018 to Q2 2018 was 15.2% .

 Value Shares↓ Weighting
AAPL SellApple Inc$17,958,000
+8.1%
97,017
-2.0%
7.66%
+5.7%
BAC SellBank of America$9,460,000
-8.3%
335,610
-2.4%
4.04%
-10.3%
VIG SellVanguard Dividend Appreciationetf$6,981,000
-0.6%
68,706
-1.2%
2.98%
-2.9%
VUG SellVanguard Growth ETFetf$6,042,000
+5.2%
40,336
-0.3%
2.58%
+2.9%
SPY SellSPDR S&P 500etf$5,469,000
-0.8%
20,162
-3.8%
2.33%
-3.0%
BA SellBoeing Company$4,769,000
-13.7%
14,216
-15.6%
2.03%
-15.6%
CSCO SellCisco Systems Inc$4,692,000
-1.4%
109,049
-1.7%
2.00%
-3.6%
BRKB SellBerkshire Hathaway CL B$4,625,000
-8.2%
24,784
-1.9%
1.97%
-10.2%
XLB SellSPDR Materials Sector ETFspdr$4,548,000
-0.9%
78,325
-2.8%
1.94%
-3.1%
VNQ SellVanguard REIT ETF indexetf$3,912,000
+2.3%
48,031
-5.2%
1.67%
+0.1%
V SellVisa Inc$3,546,000
+9.4%
26,776
-1.2%
1.51%
+7.0%
VCSH SellVanguard Corp Bond Etfetf$3,507,000
-7.4%
44,916
-7.0%
1.50%
-9.5%
BOND SellPIMCO Total Return ETFetf$3,313,000
-4.0%
32,151
-2.9%
1.41%
-6.2%
XAR SellSpdr S&P Aerospacedef$3,270,000
-1.9%
37,540
-2.2%
1.40%
-4.1%
XLF SellSPDR Financial Sector ETFetf$3,120,000
-60.2%
117,362
-58.8%
1.33%
-61.1%
VEU SellVanguard Intl Equity Index exetf$2,800,000
-5.9%
54,014
-1.4%
1.19%
-8.1%
IBB SelliShares Nasdaq Biotechetf$2,674,000
-2.1%
24,352
-4.9%
1.14%
-4.4%
XOM SellExxon Mobil Corp$2,563,000
+5.3%
30,982
-5.1%
1.09%
+2.9%
VHT SellVanguard Health Care ETFetf$2,544,000
+2.1%
15,990
-1.5%
1.08%
-0.2%
VDE SellVanguard Energy ETFetf$2,320,000
+13.7%
22,084
-0.0%
0.99%
+11.2%
VWO SellVanguard MSCI Emerging Marketsetf$2,150,000
-13.8%
50,964
-4.0%
0.92%
-15.6%
VOT SellVanguard Mid Cap Growthetf$2,021,000
+0.8%
15,041
-2.8%
0.86%
-1.5%
KO SellCoca-Cola Company$1,734,000
-6.2%
39,553
-7.1%
0.74%
-8.2%
T SellAT&T Corp Com$1,229,000
-10.0%
38,286
-0.1%
0.52%
-12.1%
GE SellGeneral Electric$1,212,000
-22.9%
89,100
-23.6%
0.52%
-24.5%
CVX SellChevron Corporation$1,206,000
+10.8%
9,542
-0.1%
0.51%
+8.2%
BNDX SellVanguard Intl Bond Index ETFetf$1,184,000
-10.6%
21,650
-10.5%
0.50%
-12.6%
XLI SellSector Spdr Indl Selectspdr$1,013,000
-5.0%
14,145
-1.5%
0.43%
-7.1%
KMI SellKinder Morgan Inc$925,000
-15.6%
52,373
-28.1%
0.40%
-17.4%
KR SellKroger Co$926,000
-16.4%
32,551
-29.6%
0.40%
-18.2%
JPM SellMorgan J P & Co Inc$844,000
-9.9%
8,105
-4.9%
0.36%
-12.0%
TECK SellTeck Resources Ltd Cl Bfetf$788,000
-25.4%
31,000
-24.4%
0.34%
-27.1%
USO SellUnited States Oil Fundunits$723,000
+14.0%
48,013
-1.0%
0.31%
+11.2%
AMT SellAmerican Tower$708,000
-1.8%
4,917
-1.0%
0.30%
-3.8%
AMZN SellAmazon Com Inc$666,000
+5.9%
392
-9.9%
0.28%
+3.6%
MSFT SellMicrosoft Corp$600,000
+5.8%
6,090
-2.0%
0.26%
+3.6%
NFLX SellNetflix Inc$566,000
+24.1%
1,446
-6.5%
0.24%
+21.1%
PG SellProcter & Gamble Co$559,000
-4.0%
7,171
-2.3%
0.24%
-6.3%
FCX SellFreeport McMoran$522,000
-11.4%
30,261
-9.9%
0.22%
-13.2%
AEE SellAmeren Corp Com$508,000
+2.8%
8,363
-4.2%
0.22%
+0.9%
IWD SellISHARES RUSSELL 1000 VALUEetf$478,000
-12.3%
3,944
-13.3%
0.20%
-14.3%
VNQI SellVanguard Intl REIT ETFetf$458,000
-8.0%
7,893
-3.5%
0.20%
-10.1%
EEM SellIshares MSCI Emerging Mktsetf$436,000
-15.0%
10,076
-5.2%
0.19%
-17.0%
GWX SellSPDR Intl Small Cap ETFetf$419,000
-13.3%
12,210
-10.5%
0.18%
-15.2%
VOE SellVanguard Mid Cap Valueetf$392,000
-1.5%
3,554
-2.5%
0.17%
-4.0%
VZ SellVerizon Communications$373,000
-4.1%
7,428
-8.7%
0.16%
-6.5%
EUFN SelliShares European Financial ETFetf$327,000
-31.2%
16,209
-21.3%
0.14%
-32.9%
DVY SellISHARES SELECT DIVIDEND INDEXetf$319,000
-11.4%
3,265
-13.7%
0.14%
-13.4%
DIA SellDiamond Trust Series Ietf$276,000
-1.8%
1,139
-2.2%
0.12%
-4.1%
IWO SellISHARES RUSSELL 2000 GROWTH INetf$271,000
-10.6%
1,329
-16.5%
0.12%
-12.1%
VBR SellVanguard Small Cap Valueetf$266,000
+1.9%
1,963
-2.7%
0.11%
-0.9%
VBK SellVanguard Small Cap Grwthetf$263,000
+3.1%
1,496
-3.9%
0.11%
+0.9%
IWN SellISHARES RUSSELL 2000 VAL IND Fetf$248,000
-0.4%
1,881
-8.1%
0.11%
-2.8%
SCHG SellSchw US Lcap Gro Etfetf$218,000
+3.8%
2,882
-1.6%
0.09%
+1.1%
DBC SellInvesco DB Commodity Trackingint$208,000
-13.0%
11,789
-16.4%
0.09%
-14.4%
L100PS SellARCONIC INC COM$170,000
-27.0%
10,034
-1.0%
0.07%
-28.4%
GSG ExitIshares GSCI Commodity Indexetf$0-12,588
-100.0%
-0.09%
BAB ExitPowershares Build America Bndetf$0-7,080
-100.0%
-0.09%
BX ExitBlackstone Group$0-6,775
-100.0%
-0.09%
EPC ExitEdgewell Personal Care, Inc$0-7,076
-100.0%
-0.15%
R108 ExitEnergizer Hodlings,Inc$0-7,076
-100.0%
-0.18%
BKLN ExitPowershares Etfetf$0-21,847
-100.0%
-0.22%
FB ExitFacebook Inccall$0-3,500
-100.0%
-0.24%
MON ExitMonsanto Cocall$0-10,500
-100.0%
-0.53%
MON ExitMonsanto$0-20,115
-100.0%
-1.02%
QQQ ExitNasdaq 100 Shares$0-74,010
-100.0%
-5.17%
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2018-08-09
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
Qualcomm Inc33Q4 20213.9%
SPDR Financial Sector ETF33Q4 20213.6%
Pepsico Inc33Q4 20213.3%
Citigroup Inc33Q4 20212.5%
American Tower33Q4 20213.7%
Intel Corp33Q4 20212.5%
Cisco Systems Inc33Q4 20212.1%
Coca-Cola Company33Q4 20211.7%
AT&T Corp Com33Q4 20211.5%
Microsoft Corp33Q4 20210.9%

View Paradigm Financial Advisors, LLC's complete holdings history.

Latest filings
TypeFiled
13F-HR2022-02-10
13F-HR2021-11-10
13F-HR2021-08-09
13F-HR2021-04-29
13F-HR2021-02-12
13F-HR2020-11-09
13F-HR2020-08-13
13F-HR2020-05-11
13F-HR2020-02-10
13F-HR2019-11-04

View Paradigm Financial Advisors, LLC's complete filings history.

Compare quarters

Issues

The following issues were detected while analyzing the report:

  • The reported number of holdings is incorrect (120 != 119)

Export Paradigm Financial Advisors, LLC's holdings