IFP Advisors, Inc Q2 2017 Filing

Filed July 31, 2017

Portfolio Value

$2.4B

Holdings

4,240

Report Date

Q2 2017

Filing Type

13F-HR

All Holdings (4,240 positions)

StockValue
EFGISHARES MSCI EAFE GROWTH ETF
$129K
MTUSTIMKENSTEEL CORP COM
$129K
LQDHISHARES INTEREST RATE HEDGED CORPORATE BOND ETF
$129K
RABROOKFIELD REAL ASSETS INCOME SHS BEN INT
$128K
MKLMARKEL CORP COM
$128K
NGVTINGEVITY CORP COM
$128K
EFXEQUIFAX INC COM
$128K
GXCSPDR S&P CHINA ETF
$128K
INGRINGREDION INC COM
$127K
XMESPDR S&P METALS AND MINING ETF
$127K
SLRSOLITARIO EXPL & RTY CORP COM
$127K
MUCBLACKROCK MUNIHLDNGS CALI QLTY COM
$127K
CIBRFIRST TRUST NASDAQ CEA CYBERSECURITY ETF
$126K
ISHARES IBONDS DEC 2021 TERM MUNI BOND ETF
$125K
BNSBANK N S HALIFAX COM
$125K
INNOVATOR IBD 50 FUND
$125K
GASLOG LTD SHS
$125K
ENRENERGIZER HLDGS INC NEW COM
$125K
MIDDMIDDLEBY CORP COM
$125K
RWXSPDR DOW JONES INTERNATIONAL REAL ESTATE ETF
$124K
GW PHARMACEUTICALS PLC ADS
$124K
PMMPUTNAM MANAGED MUN INCOM TR COM
$124K
SPDR S&P OIL & GAS EQUIPMENT & SERVICES ETF
$124K
ERCWELLS FARGO MULTI SECTOR INCOM COM
$123K
DTDWISDOMTREE U.S. TOTAL DIVIDEND FUND
$123K
DLSWISDOMTREE INTERNATIONAL SMALLCAP DIVIDEND FUND
$123K
STKCOLUMBIA SELIGM PREM TECH GRW COM
$123K
PCARPACCAR INC COM
$123K
POWERSHARES FTSE RAFI US 1500 SMALL-MID PORTFOLIO
$123K
SGUSTAR GAS PARTNERS L P UNIT LTD PARTNR
$123K
NQ MOBILE INC ADR REPSTG CL A
$122K
BROBROWN & BROWN INC COM
$122K
HALYARD HEALTH INC COM
$122K
EMOCLEARBRIDGE ENERGY MLP FD INC COM
$122K
FFIVF5 NETWORKS INC COM
$122K
PRUDENTIAL SHT DURATION HG YLD COM
$122K
ISMDNORTHERN LTS FD TR IV INSPIRE SMAL ETF
$121K
PORPORTLAND GEN ELEC CO COM NEW
$121K
KLACKLA-TENCOR CORP COM
$121K
SPTMSPDR RUSSELL 3000 ETF
$120K
HAINHAIN CELESTIAL GROUP INC COM
$120K
BENFRANKLIN RES INC COM
$120K
GLOCLOUGH GLOBAL OPPORTUNITIES FD SH BEN INT
$120K
POWERSHARES S&P 500 ENHANCED VALUE PORTFOLIO
$119K
AQLTISHARES U.S. HEALTHCARE PROVIDERS ETF
$119K
FSSFEDERAL SIGNAL CORP COM
$119K
BMOBANK MONTREAL QUE COM
$118K
BLESINSPIRE GLOBAL HOPE ETF
$118K
PBSINVESCO DYNAMIC CR OPP FD COM
$118K
VANTIV INC CL A
$118K
CYPRESS SEMICONDUCTOR CORP COM
$118K
NEOGNEOGEN CORP COM
$118K
XOPUSDSPDR S&P OIL & GAS EXPLORATION & PRODUCTION ETF
$118K
PIIPOLARIS INDS INC COM
$118K
DSUBLACKROCK DEBT STRAT FD INC COM NEW
$118K
CVA1EURCOVANTA HLDG CORP COM
$118K
OLEDUNIVERSAL DISPLAY CORP COM
$118K
NTESNETEASE INC SPONSORED ADR
$118K
QAIIQ HEDGE MULTI-STRATEGY TRACKER ETF
$118K
ITGARTNER INC COM
$117K
OCOWENS CORNING NEW COM
$117K
STOTSPDR DOUBLELINE SHORT DURATION TOTAL RETURN TACTICAL ETF
$117K
IDAIDACORP INC COM
$116K
RHT1EURRED HAT INC COM
$116K
VEEVVEEVA SYS INC CL A COM
$116K
ALPINE GLOBAL PREMIER PPTYS FD COM SBI
$115K
XBGYXBLACKROCK ENHANCED INTL DIV TR COM BENE INTER
$115K
CODICOMPASS DIVERSIFIED HOLDINGS SH BEN INT
$115K
CTRACABOT OIL & GAS CORP COM
$115K
JLLJONES LANG LASALLE INC COM
$114K
POWERSHARES S&P SMALLCAP LOW VOLATILITY PORTFOLIO
$114K
FDO.FMACYS INC COM
$114K
VAWVANGUARD MATERIALS INDEX FUND
$114K
WDAYWORKDAY INC CL A
$114K
POWERSHARES S&P SMALLCAP FINANCIALS PORTFOLIO
$113K
BIGGQBIG LOTS INC COM
$113K
FISFIDELITY NATL INFORMATION SVCS COM
$112K
RITMNEW RESIDENTIAL INVT CORP COM NEW
$112K
RYNRAYONIER INC COM
$112K
QQQXNUVEEN NASDAQ 100 DYNAMIC OVER COM SHS
$112K
DEUTSCHE MUN INCOME COM
$112K
VALIDUS HOLDINGS LTD COM SHS
$112K
STRMSTREAMLINE HEALTH SOLUTIONS COM
$112K
POPE RES DEL LTD PARTNERSHIP DEPOSITRY RCPT
$111K
RGCGBPREGAL ENTMT GROUP CL A
$111K
GDOTGREEN DOT CORP CL A
$111K
SKYWSKYWEST INC COM
$111K
VEMYSTONE HBR EMERG MKTS TL INC FD COM
$111K
ARKQARK INDUSTRIAL INNOVATION ETF
$110K
FBNCFIRST BANCORP N C COM
$110K
ISHARES IBONDS DEC 2017 TERM CORPORATE ETF
$110K
CURRENCYSHARES SWISS FRANC TRUST
$109K
EXPEAGLE MATERIALS INC COM
$109K
TICC CAPITAL CORP COM
$109K
CATYCATHAY GEN BANCORP COM
$109K
QSRRESTAURANT BRANDS INTL INC COM
$109K
FRFIRST INDUSTRIAL REALTY TRUST COM
$109K
PJTPJT PARTNERS INC COM CL A
$108K
TOLTOLL BROTHERS INC COM
$108K
SUPNSUPERNUS PHARMACEUTICALS INC COM
$108K
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