IFP Advisors, Inc Q1 2017 Filing

Filed April 26, 2017

Portfolio Value

$2.3B

Holdings

4,154

Report Date

Q1 2017

Filing Type

13F-HR

All Holdings (4,154 positions)

StockValue
FCNCAFIRST CTZNS BANCSHARES INC N C CL A
$2K
GPOR1EURGULFPORT ENERGY CORP COM NEW
$2K
TRINITY BIOTECH PLC SPON ADR NEW
$2K
MRTNMARTEN TRANS LTD COM
$2K
CPI CARD GROUP INC COM
$2K
INTL FCSTONE INC COM
$2K
ACCELERATE DIAGNOSTICS INC COM
$2K
ELKHORN S&P HIGH QUALITY PREFERRED ETF
$2K
FIRST TR STRATEGIC HIGH INC FD COM SHS NEW
$2K
SLGNSILGAN HOLDINGS INC COM
$2K
FIBKFIRST INTST BANCSYSTEM INC COM CL A
$2K
DIREXION DAILY SMALL CAP BULL 2X SHARES
$2K
EZPWEZCORP INC CL A NON VTG
$2K
VAC2USDVBI VACCINES INC COM NEW
$2K
EMKREUREMCORE CORP COM NEW
$2K
GASSSTEALTHGAS INC SHS
$2K
VREMACK CALI RLTY CORP COM
$2K
FRGIFIESTA RESTAURANT GROUP INC COM
$2K
SPMBSPDR BLOOMBERG BARCLAYS MORTGAGE BACKED BOND ETF
$2K
MOVMOVADO GROUP INC COM
$2K
MVISMICROVISION INC DEL COM NEW
$2K
PSTPROSHARES ULTRASHORT 7-10 TREASURY
$2K
GIIIG-III APPAREL GROUP LTD COM
$2K
FORTERRA INC COM
$2K
TIVO CORP COM
$2K
ETFS PHYSICAL SILVER SHARES
$2K
GMEDGLOBUS MED INC CL A
$2K
CDPCORPORATE OFFICE PPTYS TR SH BEN INT
$2K
BZHBEAZER HOMES USA INC COM NEW
$2K
AEFABERDEEN CHILE FD INC COM
$2K
FIBRIA CELULOSE S A SP ADR REP COM
$2K
TEEKAY TANKERS LTD CL A
$2K
WEAWESTERN ASSET PREMIER BD FD SHS BEN INT
$2K
TWITITAN INTL INC ILL COM
$2K
CPRXCATALYST PHARMACEUTICALS INC COM
$2K
ABAXIS INC COM
$2K
BBTBERKSHIRE HILLS BANCORP INC COM
$2K
SPXCSPX CORP COM
$2K
LRAD CORP COM
$2K
REALITY SHARES DIVS ETF
$2K
ICLNISHARES S&P GLOBAL CLEAN ENERGY INDEX FUND
$2K
PEBPEBBLEBROOK HOTEL TR COM
$2K
PLCECHILDRENS PL INC COM
$2K
AAONAAON INC COM PAR $0.004
$2K
PERNIX THERAPEUTICS HLDGS INC COM NEW
$2K
USDUWISDOMTREE BLOOMBERG U.S. DOLLAR BULLISH FUND
$2K
MVC CAPITAL INC COM
$2K
SIDCOMPANHIA SIDERURGICA NACIONAL SPONSORED ADR
$2K
ICADUSDICAD INC COM NEW
$2K
CAPSTEAD MTG CORP COM NO PAR
$2K
BANK AMER CORP WT EXP 011619
$2K
EDUCATION RLTY TR INC COM NEW
$2K
ATYR PHARMA INC COM
$2K
ESRTEMPIRE ST RLTY TR INC CL A
$2K
CONCURRENT COMPUTER CORP NEW COM PAR $.01
$2K
AAVEURADVANTAGE OIL & GAS LTD COM
$2K
ALLYALLY FINL INC COM
$2K
PRFTUSDPERFICIENT INC COM
$2K
AZTABROOKS AUTOMATION INC COM
$2K
TBFPROSHARES SHORT 20 YEAR TREASURY
$2K
GSMFERROGLOBE PLC SHS
$2K
51AAMERICAN PUBLIC EDUCATION INC COM
$2K
TRANSATLANTIC PETROLEUM LTD SHS NEW
$2K
PSLV/USPROTT PHYSICAL SILVER TR TR UNIT
$2K
LILALIBERTY GLOBAL PLC LILAC SHS CL A
$2K
PLY GEM HLDGS INC COM
$2K
BTOB2GOLD CORP COM
$2K
SPARTAN MTRS INC COM
$2K
ATROASTRONICS CORP COM
$2K
AOCAALUMINUM CORP CHINA LTD SPON ADR H SHS
$2K
IPHSEURINNOPHOS HOLDINGS INC COM
$2K
CMRXEURCHIMERIX INC COM
$2K
CENCOSUD S A SPONSORED ADS
$2K
TAILORED BRANDS INC COM
$2K
GLOBAL X MSCI NIGERIA ETF
$2K
SBSWSIBANYE GOLD LTD SPONSORED ADR
$2K
BOFI HLDG INC COM
$2K
NHTCNATURAL HEALTH TRENDS CORP COM PAR $.001
$2K
BTEBAYTEX ENERGY CORP COM
$2K
MLKNMILLER HERMAN INC COM
$2K
PRIMPRIMORIS SVCS CORP COM
$2K
DSIISHARES MSCI KLD 400 SOCIAL ETF
$2K
TELETECH HOLDINGS INC COM
$2K
CWSADVISORSHARES FOCUSED EQUITY ETF
$2K
ZM3ZUMIEZ INC COM
$2K
PDEURPRECISION DRILLING CORP COM 2010
$2K
CELLCOM ISRAEL LTD SHS
$2K
ANALOGIC CORP COM PAR $0.05
$2K
CASTLE BRANDS INC COM
$2K
CHTCHUNGHWA TELECOM CO LTD SPON ADR NEW11
$2K
AMKRAMKOR TECHNOLOGY INC COM
$2K
CHANGYOU COM LTD ADS REP CL A
$2K
BLMNBLOOMIN BRANDS INC COM
$2K
MVOMV OIL TR TR UNITS
$2K
GDOTGREEN DOT CORP CL A
$2K
BMC STK HLDGS INC COM
$2K
QUALITY SYS INC COM
$2K
BALDWIN & LYONS INC CL B
$2K
ASCENA RETAIL GROUP INC COM
$2K
TBPHTHERAVANCE BIOPHARMA INC COM
$2K
PreviousPage 37 of 42Next