GM Advisory Group, LLC - Q4 2016 holdings

$286 Million is the total value of GM Advisory Group, LLC's 107 reported holdings in Q4 2016. The portfolio turnover from Q3 2016 to Q4 2016 was 329.4% .

 Value Shares↓ Weighting
VTI BuyVANGUARD INDEX FDStotal stk mkt$25,761,000
+5.2%
223,389
+1.6%
9.00%
-1.1%
BSCK BuyCLAYMORE EXCHANGE TRD FD TRgug bull2020 e$13,371,000
-0.6%
629,334
+1.6%
4.67%
-6.6%
USCR BuyU S CONCRETE INC$11,766,000
+44.5%
179,641
+1.6%
4.11%
+35.8%
BSCM BuyCLAYMORE EXCHANGE TRD FD TRgugg bulsh 2022$10,006,000
+4.6%
477,165
+8.0%
3.50%
-1.7%
BSCL BuyCLAYMORE EXCHANGE TRD FD TRgugg bulsh 2021$9,438,000
-1.4%
448,665
+1.3%
3.30%
-7.4%
AGG BuyISHARES TRcore us aggbd et$8,966,000
+7.8%
82,976
+12.2%
3.13%
+1.3%
BSCI BuyCLAYMORE EXCHANGE TRD FD TRgug bull2018 e$8,114,000
+0.3%
382,540
+0.8%
2.84%
-5.8%
DXJ BuyWISDOMTREE TRjapn hedge eqt$6,485,000
+17.5%
130,914
+1.8%
2.27%
+10.4%
HEZU NewISHARES TRcur hd eurzn etf$5,992,000223,850
+100.0%
2.09%
GDX BuyVANECK VECTORS ETF TRgold miners etf$2,947,000
-19.7%
140,885
+1.5%
1.03%
-24.5%
FB NewFACEBOOK INCcl a$2,250,00019,554
+100.0%
0.79%
ACWX BuyISHARES TRmsci acwi ex us$1,629,000
-2.0%
40,457
+0.9%
0.57%
-7.9%
MSFT BuyMICROSOFT CORP$1,559,000
+11.2%
25,089
+3.1%
0.54%
+4.6%
AMLP NewALPS ETF TRalerian mlp$1,540,000122,237
+100.0%
0.54%
AMZN NewAMAZON COM INC$1,519,0002,026
+100.0%
0.53%
SPY NewSPDR S&P 500 ETF TRtr unit$1,491,0006,630
+100.0%
0.52%
VCSH BuyVANGUARD SCOTTSDALE FDSshrt trm corp bd$1,312,000
+4.1%
16,534
+5.7%
0.46%
-2.1%
TIP BuyISHARES TRtips bd etf$1,306,000
-2.0%
11,541
+1.0%
0.46%
-7.9%
GE BuyGENERAL ELECTRIC CO$1,121,000
+12.3%
35,210
+4.5%
0.39%
+5.7%
JNJ NewJOHNSON & JOHNSON$1,041,0009,035
+100.0%
0.36%
MDY NewSPDR S&P MIDCAP 400 ETF TRutser1 s&pdcrp$1,033,0003,411
+100.0%
0.36%
IBM NewINTERNATIONAL BUSINESS MACHS$1,011,0006,089
+100.0%
0.35%
GOOG NewALPHABET INCcap stk cl c$965,0001,250
+100.0%
0.34%
VEU BuyVANGUARD INTL EQUITY INDEX Fallwrld ex us$940,000
+89.9%
21,287
+95.5%
0.33%
+78.3%
ORCL BuyORACLE CORP$802,000
+6.2%
20,850
+8.4%
0.28%
-0.4%
GOOGL NewALPHABET INCcap stk cl a$693,000875
+100.0%
0.24%
BABA NewALIBABA GROUP HLDG LTDsponsored ads$684,0007,787
+100.0%
0.24%
V NewVISA INC$648,0008,308
+100.0%
0.23%
WFC NewWELLS FARGO & CO NEW$644,00011,677
+100.0%
0.22%
BA NewBOEING CO$619,0003,975
+100.0%
0.22%
KO BuyCOCA COLA CO$552,000
+11.7%
13,302
+13.9%
0.19%
+4.9%
DLN NewWISDOMTREE TRlargecap divid$550,0006,883
+100.0%
0.19%
BIL NewSPDR SERIES TRUSTblmbrg br 1 3 mt$549,00012,000
+100.0%
0.19%
BND NewVANGUARD BD INDEX FD INCtotal bnd mrkt$547,0006,775
+100.0%
0.19%
VZ NewVERIZON COMMUNICATIONS INC$529,0009,901
+100.0%
0.18%
BSV NewVANGUARD BD INDEX FD INCshort trm bond$493,0006,200
+100.0%
0.17%
EFA NewISHARES TRmsci eafe etf$490,0008,482
+100.0%
0.17%
SDY NewSPDR SERIES TRUSTs&p divid etf$485,0005,668
+100.0%
0.17%
IVV NewISHARES TRcore s&p500 etf$470,0002,090
+100.0%
0.16%
PFE NewPFIZER INC$463,00014,253
+100.0%
0.16%
BRKB NewBERKSHIRE HATHAWAY INC DELcl b new$460,0002,824
+100.0%
0.16%
FPE NewFIRST TR EXCHANGE-TRADED FDpfd secs inc etf$412,00021,681
+100.0%
0.14%
DFS NewDISCOVER FINL SVCS$388,0005,387
+100.0%
0.14%
MCD NewMCDONALDS CORP$385,0003,161
+100.0%
0.13%
NFLX NewNETFLIX INC$378,0003,050
+100.0%
0.13%
UNH NewUNITEDHEALTH GROUP INC$374,0002,336
+100.0%
0.13%
CELG NewCELGENE CORP$359,0003,104
+100.0%
0.12%
MMM New3M CO$344,0001,929
+100.0%
0.12%
SYY NewSYSCO CORP$339,0006,124
+100.0%
0.12%
MA NewMASTERCARD INCORPORATEDcl a$320,0003,103
+100.0%
0.11%
PRFZ NewPOWERSHARES ETF TRUSTftse us1500 sm$308,0002,670
+100.0%
0.11%
ED NewCONSOLIDATED EDISON INC$305,0004,146
+100.0%
0.11%
ADP NewAUTOMATIC DATA PROCESSING IN$306,0002,976
+100.0%
0.11%
IGSB NewISHARES TR1-3 yr cr bd etf$303,0002,890
+100.0%
0.11%
RAD NewRITE AID CORP$288,00035,000
+100.0%
0.10%
HON NewHONEYWELL INTL INC$287,0002,474
+100.0%
0.10%
BK NewBANK NEW YORK MELLON CORP$284,0006,000
+100.0%
0.10%
VTHR NewVANGUARD SCOTTSDALE FDSvng rus3000idx$273,0002,642
+100.0%
0.10%
UTX NewUNITED TECHNOLOGIES CORP$269,0002,455
+100.0%
0.09%
PEP NewPEPSICO INC$254,0002,390
+100.0%
0.09%
VNDA NewVANDA PHARMACEUTICALS INC$239,00015,000
+100.0%
0.08%
MO NewALTRIA GROUP INC$231,0003,392
+100.0%
0.08%
SO NewSOUTHERN CO$226,0004,587
+100.0%
0.08%
FNX NewFIRST TR MID CAP CORE ALPHAD$222,0003,928
+100.0%
0.08%
SLV NewISHARES SILVER TRUSTishares$221,00014,600
+100.0%
0.08%
NGG NewNATIONAL GRID PLCspon adr new$221,0003,745
+100.0%
0.08%
IWM NewISHARES TRrussell 2000 etf$216,0001,599
+100.0%
0.08%
UNP NewUNION PAC CORP$211,0002,036
+100.0%
0.07%
EEM NewISHARES TRmsci emg mkt etf$208,0005,946
+100.0%
0.07%
MRK NewMERCK & CO INC$206,0003,452
+100.0%
0.07%
BMY NewBRISTOL MYERS SQUIBB CO$205,0003,514
+100.0%
0.07%
XLV NewSELECT SECTOR SPDR TRsbi healthcare$205,0002,975
+100.0%
0.07%
BDX NewBECTON DICKINSON & CO$203,0001,226
+100.0%
0.07%
Original filings

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

  • View 13F-HR filed 2017-02-13
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
DISNEY WALT CO40Q3 20234.3%
MICROSOFT CORP40Q3 20231.7%
AT&T INC40Q3 20232.2%
EXXON MOBIL CORP40Q3 20232.7%
CISCO SYS INC40Q3 20230.8%
INTEL CORP40Q3 20230.5%
APPLE INC39Q3 20234.9%
BK OF AMERICA CORP39Q3 20230.8%
ISHARES TR38Q3 202312.8%
ORACLE CORP38Q3 20230.9%

View GM Advisory Group, LLC's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-05-09
13F-HR2024-02-12
13F-HR2023-11-14
13F-HR2023-08-14
13F-HR2023-05-12
13F-HR2023-02-13
13F-HR2022-11-14
13F-HR2022-08-15
13F-HR2022-05-13
13F-HR2022-02-10

View GM Advisory Group, LLC's complete filings history.

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