Financial Security Advisor, Inc. Activity Q3 2023-Q3 2023

Q3 2023
 Value Shares↓ Weighting
NewCapital Group Growth ETFexchange traded fund$48,177,8841,966,44422.15%
RPG NewInvesco S&P 500 Pure Growth ETFexchange traded fund$26,314,862872,79812.10%
SPSM NewSPDR Portfolio S&P 600 Sm Cap ETFexchange traded fund$16,875,687457,3357.76%
BRKB NewBerkshire Hathaway Inc Cl B$14,534,29741,4916.68%
AAPL NewApple Inc$9,582,59655,9694.40%
MSFT NewMicrosoft Corp$8,467,85526,8183.89%
JNJ NewJohnson & Johnson$7,350,28247,1923.38%
SLYG NewSPDR S&P 600 Small Cap Growth ETFexchange traded fund$5,158,67070,4062.37%
XOM NewExxon Mobil Corp$4,498,03238,2552.07%
CSCO NewCisco Systems Inc$4,297,65779,9411.98%
MCD NewMcDonalds Corp$3,940,38214,9571.81%
GOOGL NewAlphabet Inc Cl A$3,867,17429,5521.78%
MO NewAltria Group, Inc$3,449,86180,1701.59%
SPLG NewSPDR Portfolio S&P 500 ETFexchange traded fund$3,083,66761,3541.42%
WMT NewWal-Mart Stores Inc$2,994,82518,7251.38%
PG NewProcter & Gamble Co$2,817,22419,3141.30%
VZ NewVerizon Communications Inc$2,351,01572,5391.08%
LLY NewEli Lilly and Co$2,286,0494,2561.05%
BND NewVanguard Total Bond Market ETFexchange traded fund$2,138,76830,6500.98%
PM NewPhilip Morris Intl Inc$1,862,70819,8410.86%
AMZN NewAmazonCom Inc$1,834,46814,4310.84%
D NewDominion Energy Inc$1,734,53338,8290.80%
HCA NewHCA Healthcare Inc$1,491,3376,0620.69%
AXP NewAmerican Express Co$1,476,8629,8990.68%
NVDA NewNVIDIA Corp$1,362,8593,1330.63%
SPY NewSPDR S&P 500 ETF Trustexchange traded fund$1,287,0193,0100.59%
KO NewCoca-Cola Co$1,286,23022,7890.59%
PH NewParker Hannifin Corp$1,232,9863,1650.57%
ANTM NewElevance Health Inc$1,026,5002,3570.47%
TFC NewTruist Financial Corp$1,011,90935,3690.46%
GS NewGoldman Sachs Group Inc$1,004,0813,1030.46%
LMT NewLockheed Martin Corp$995,0882,4330.46%
TXN NewTexas Instruments Inc$945,8085,9480.44%
GOOG NewAlphabet Inc Cl C$912,0066,9170.42%
CB NewChubb Ltd$888,0954,2480.41%
DFAC NewDimensional US Core Equity 2 ETFexchange traded fund$872,52733,3020.40%
UNH NewUnitedhealth Group Inc$865,6521,7160.40%
FCNCA NewFirst Ctzns Bancshares Inc N C Cl A$839,4236080.39%
TOWN NewTowne Bank$833,60235,9620.38%
NSC NewNorfolk Southern Corp$781,9843,9700.36%
TSLA NewTesla Inc$766,4233,0630.35%
NewWisdomtree Floating Rate Treasury Fundexchange traded fund$746,20514,8290.34%
SWTX NewSpringWorks Therapeutics Inc Ordinary Shares$734,24431,7580.34%
DE NewDeere & Co$727,0351,9260.33%
UEC NewUranium Energy Corp$656,794127,5330.30%
MRK NewMerck & Co Inc$604,6945,8320.28%
ORCL NewOracle Corp$574,1935,4210.26%
BABA NewAlibaba Group Hldg Ltd ADRamerican depository receipt$571,7036,5910.26%
HD NewHome Depot Inc$572,1221,8930.26%
MKL NewMarkel Group Inc$555,1283770.26%
FB NewMeta Platforms Inc Class A$542,7791,8080.25%
WY NewWeyerhaeuser Coreal estate investment trust$537,56317,5330.25%
DUK NewDuke Energy Corp$493,7425,5940.23%
PFE NewPfizer Inc$482,23214,5380.22%
VNLA NewJanus Henderson Short Duration Income ETFexchange traded fund$456,3059,5120.21%
ABBV NewAbbVie Inc$452,3613,0340.21%
PEP NewPepsiCo Inc$446,1552,6330.20%
AZN NewAstraZeneca PLC ADRamerican depository receipt$441,1486,5140.20%
AMGN NewAmgen Inc$414,0031,5400.19%
MAIN NewMain Street Capital Corpclosed end fund$393,2909,6790.18%
IVV NewiShares Core S&P 500 ETFexchange traded fund$382,6858870.18%
CVX NewChevron Corp$381,6712,2630.18%
COST NewCostco Wholesale Corp$377,1106670.17%
JPM NewJPMorgan Chase & Co$367,2552,5320.17%
ABT NewAbbott Laboratories$361,4933,7320.17%
DIS NewThe Walt Disney Co$358,7234,4250.16%
INTC NewIntel Corp$358,11210,0730.16%
V NewVISA Inc Class A$356,4031,5490.16%
COP NewConocophillips$344,2962,8590.16%
DHR NewDanaher Corp$337,7091,3610.16%
RY NewRoyal Bk Of Canada$335,9443,8420.15%
MDLZ NewMondelez International Inc Cl A$332,7454,7650.15%
PXD NewPioneer Natural Resources Co$327,4281,4260.15%
COF NewCapital One Finl Corp$324,0893,3390.15%
DLTR NewDollar Tree Inc$320,8403,0140.15%
IBM NewInternational Business Machines Corp$320,6992,2850.15%
SO NewSouthern Co$319,1684,9310.15%
ADP NewAutomatic Data Processing Inc$304,1461,2570.14%
VTI NewVanguard Total Stock Market ETFexchange traded fund$294,0461,3840.14%
BAC NewBank of America Corp$288,75510,5460.13%
ROK NewRockwell Automation Corp$271,5229490.12%
BMY NewBristol Myers Squibb Co$250,5684,3170.12%
ITW NewIllinois Tool Wks Inc$244,0271,0530.11%
WRB NewBerkley W R Corp$236,5313,6900.11%
NVS NewNovartis AG ADRamerican depository receipt$230,1012,2590.11%
VUG NewVanguard Growth ETFexchange traded fund$224,6228240.10%
VMC NewVulcan Materials Co$223,7771,1070.10%
PBR NewPetroleo Brasileiro SA Petrobras ADRamerican depository receipt$217,35514,5000.10%
EVT NewEaton Vance Tax Advantaged Div Incomeclosed end fund$211,80010,0000.10%
BWA NewBorgWarner Inc$201,7344,9970.09%
CII NewBlackRock Enhanced Cap & Inc Fd Incclosed end fund$197,62110,5960.09%
NewRallybio Corp$169,43650,2780.08%
NMZ NewNuveen Muni High Income Opp Fdclosed end fund$93,25510,0000.04%
NXE NewNexGen Energy Ltd$60,67910,1640.03%
WRAP NewWrap Technologies Inc$22,03214,6880.01%

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