LPL Financial LLC Q3 2018 Filing

Filed November 14, 2018

Portfolio Value

$41.7M

Holdings

3,214

Report Date

Q3 2018

Filing Type

13F-HR

All Holdings (3,214 positions)

StockValue
K6BKBR INC
$361K
VACMARRIOTT VACATIONS WRLDWDE C
$361K
CWHCAMPING WORLD HLDGS INC
$361K
KEMET CORP
$360K
EVFEATON VANCE SR INCOME TR
$360K
BARGRANITESHARES GOLD TR
$359K
PBWINVESCO EXCHANGE TRADED FD T
$359K
FIRST TR SR FLOATING RATE 20
$359K
LXRXLEXICON PHARMACEUTICALS INC
$359K
JEFJEFFERIES FINL GROUP INC
$359K
EXTRACTION OIL AND GAS INC
$358K
QUSSPDR SER TR
$357K
KBHKB HOME
$356K
PBRPETROLEO BRASILEIRO SA PETRO
$355K
AXGNAXOGEN INC
$355K
ETOEATON VANCE TX ADV GLB DIV O
$355K
GIISPDR INDEX SHS FDS
$354K
AITAPPLIED INDL TECHNOLOGIES IN
$353K
SMMUPIMCO ETF TR
$353K
USLUNITED STS 12 MONTH OIL FD L
$352K
SKAASKECHERS U S A INC
$352K
KDPKEURIG DR PEPPER INC
$352K
NURENUSHARES ETF TR
$352K
NMFCNEW MTN FIN CORP
$351K
KTOSKRATOS DEFENSE & SEC SOLUTIO
$351K
GLINVANECK VECTORS ETF TR
$350K
SIMOSILICON MOTION TECHNOLOGY CO
$350K
CRSPCRISPR THERAPEUTICS AG
$350K
PLOWDOUGLAS DYNAMICS INC
$350K
EEMSISHARES INC
$349K
AYIACUITY BRANDS INC
$349K
IMGIAMGOLD CORP
$349K
OPLNKAR AUCTION SVCS INC
$348K
AVTAVNET INC
$347K
PIMCO INCOME OPPORTUNITY FD
$347K
WTMFWISDOMTREE TR
$347K
NKTREURNEKTAR THERAPEUTICS
$346K
HCSGHEALTHCARE SVCS GRP INC
$345K
CMCCOMMERCIAL METALS CO
$345K
FTXLFIRST TR EXCHANGE TRADED FD
$344K
ALNYALNYLAM PHARMACEUTICALS INC
$344K
WBWEIBO CORP
$344K
ALTYGLOBAL X FDS
$344K
KRNYKEARNY FINL CORP MD
$344K
DCP MIDSTREAM LP
$344K
DALIFIRST TR EXCHANGE TRADED FD
$344K
ESBAEMPIRE ST RLTY OP L P
$343K
ESNTESSENT GROUP LTD
$342K
ELDWISDOMTREE TR
$341K
LKORFLEXSHARES TR
$341K
WTVWISDOMTREE TR
$341K
ETFS TR
$341K
TALTAL ED GROUP
$341K
CR1USDCRANE CO
$341K
PEBPEBBLEBROOK HOTEL TR
$341K
CHUYUSDCHUYS HLDGS INC
$340K
BERYEURBERRY GLOBAL GROUP INC
$339K
EENI S P A
$339K
LBRDKLIBERTY BROADBAND CORP
$339K
VOYA RISK MANAGED NAT RES FD
$339K
RIGSALPS ETF TR
$338K
PMOPUTNAM MUN OPPORTUNITIES TR
$338K
PATTERN ENERGY GROUP INC
$337K
NTGRNETGEAR INC
$337K
HRCHILL ROM HLDGS INC
$337K
TRHCEURTABULA RASA HEALTHCARE INC
$336K
PRKSSEAWORLD ENTMT INC
$336K
APPNAPPIAN CORP
$336K
WESTERN ASSET MUN DEF OPP TR
$335K
SANBANCO SANTANDER SA
$335K
AAOIAPPLIED OPTOELECTRONICS INC
$334K
XEFRXEATON VANCE SR FLTNG RTE TR
$334K
ERFGBPENERPLUS CORP
$333K
ISHARES TR
$333K
SUN HYDRAULICS CORP
$332K
WPSISHARES TR
$332K
SBLKSTAR BULK CARRIERS CORP
$331K
TLTEFLEXSHARES TR
$331K
NBL2EURNOBLE ENERGY INC
$331K
ESLTELBIT SYS LTD
$331K
PLAYDAVE & BUSTERS ENTMT INC
$331K
JHIHANCOCK JOHN INVS TR
$331K
INTREXON CORP
$330K
ECPGENCORE CAP GROUP INC
$329K
PRPLPURPLE INNOVATION INC
$329K
FCGFIRST TR EXCHANGE TRADED FD
$329K
INSIGHT SELECT INCOME FD
$328K
JOHN HANCOCK EXCHANGE TRADED
$328K
CNKCINEMARK HOLDINGS INC
$328K
KEXKIRBY CORP
$328K
EODWELLS FARGO GLOBAL DIVIDEND
$328K
DNREURDENBURY RES INC
$327K
SMFGSUMITOMO MITSUI FINL GROUP I
$327K
DELAWARE INVTS DIV & INCOME
$326K
DMOWESTERN ASSET MTG DEF OPPTY
$325K
RFICOHEN & STEERS TOTAL RETURN
$325K
NEANUVEEN SR INCOME FD
$325K
FCAFIRST TR EXCH TRD ALPHA FD I
$325K
LFUSLITTELFUSE INC
$324K
PPCPILGRIMS PRIDE CORP NEW
$323K
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