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Advisors Preferred

Filed: 27 Oct 21, 5:14pm

The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F INFORMATION TABLE

OMB APPROVAL
OMB Number:3235-0006
Expires:Oct 31, 2018
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COLUMN 1COLUMN 2COLUMN 3COLUMN 4COLUMN 5COLUMN 6COLUMN 7COLUMN 8
VALUESHRS ORSH/PUT/INVESTMENTOTHERVOTING AUTHORITY
NAME OF ISSUERTITLE OF CLASSCUSIP(x$1000)PRN AMTPRNCALLDISCRETIONMANAGERSOLESHAREDNONE
Apple Inc.COM0378331004222,962SH OTR22,96200
iShares MSCI Global Min Vol Factor ETFETF46428652578759SH OTR275900
Analog Devices Inc.COM0326541053702,211SH OTR22,21100
Alliance Data Systems CorporationCOM0185811082782,664SH OTR22,66400
AES Corporation TheCOM00130H1051707,403SH OTR27,40300
iShares Core U.S. Aggregate Bond ETFETF4642872264644,034SH OTR24,03400
iShares Core U.S. Aggregate Bond ETFETF4642872263,17427,601SH OTR227,60100
Amgen Inc.COM0311621004211,967SH OTR21,96700
Alerian MLP ETFETF00162Q4526,505192,514SH OTR2192,51400
APA CorporationCOM03743Q108803,668SH OTR23,66800
Arrow Electronics Inc.COM0427351005524,802SH OTR24,80200
Avery Dennison CorporationCOM0536111093811,815SH OTR21,81500
Boise Cascade CompanyCOM09739D1003917,125SH OTR27,12500
Vanguard Total Bond Market ETFETF9219378353,17537,083SH OTR237,08300
Boot Barn Holdings Inc.COM0994061001,04411,522SH OTR211,52200
Broadridge Financial Solutions Inc.COM11133T1034162,506SH OTR22,50600
Invesco BulletShares 2021 Corporate Bond ETFETF46138J70021,2781,008,930SH OTR21,008,93000
Invesco BulletShares 2022 Corporate Bond ETFETF46138J88220,897971,040SH OTR2971,04000
Invesco BulletShares 2023 Corporate Bond ETFETF46138J8663,467160,000SH OTR2160,00000
Invesco BulletShares 2024 Corporate Bond ETFETF46138J84120,888943,470SH OTR2943,47000
Vanguard Short-Term Bond ETFETF9219378278199,990SH OTR29,99000
VictoryShares US EQ Income Enhanced Volatility ETFETF92647N8243154,855SH OTR24,85500
Celanese CorporationCOM1508701035043,286SH OTR23,28600
VictoryShares US 500 Enhanced Volatility Wtd ETFETF92647N7821161,611SH OTR21,61100
CH Robinson Worldwide Inc.COM12541W2094154,811SH OTR24,81100
Cleveland Cliffs Inc.COM1858991011165,917SH OTR25,91700
Clorox Company TheCOM1890541094142,518SH OTR22,51800
CoreSite Realty CorporationREIT21870Q1054223,012SH OTR23,01200
Invesco S and P Spin-Off ETFETF46137V1596101SH OTR210100
Citrix Systems Inc.COM1773761004233,904SH OTR23,90400
Invesco MSCI Global Timber ETFETF46138E545441,216SH OTR21,21600
SPDR Bloomberg Barclays Convertible Securities ETFETF78464A3591752,036SH OTR22,03600
Deere and CompanyCOM2441991054711,375SH OTR21,37500
Dollar General CorporationCOM2566771054141,979SH OTR21,97900
WisdomTree US LargeCap Dividend FundETF97717W3076,47453,726SH OTR253,72600
Digital Realty Trust Inc.REIT2538681034893,369SH OTR23,36900
Devon Energy CorporationCOM25179M10340611,039SH OTR211,03900
eBay Inc.COM2786421034195,992SH OTR25,99200
Consolidated Edison Inc.COM2091151042,07428,968SH OTR228,96800
iShares MSCI EAFE ETFETF46428746553,854688,678SH OTR2688,67800
iShares MSCI Canada ETFETF46428650942911,719SH OTR211,71900
iShares MSCI United Kingdom ETFETF46435G3342136,583SH OTR26,58300
iShares Fallen Angels USD Bond ETFETF46435G47423,494782,100SH OTR2782,10000
FTI Consulting Inc.COM3029411092,18016,091SH OTR216,09100
Fidelity National Information Services Inc.COM31620M1063733,025SH OTR23,02500
SPDR Bloomberg Barclays Investment Grade Floating Rate ETFETF78468R20081926,710SH OTR226,71000
FMC CorporationCOM3024913031661,797SH OTR21,79700
First Trust ETF III-First Trust LongShort Equity ETFETF33739P10345921SH OTR292100
First Trust Materials AlphaDEX FundETF33734X16855966SH OTR296600
SPDR SSgA Global Allocation ETFETF78467V4001833,999SH OTR23,99900
iShares Government Credit Bond ETFETF4642885964403,600SH OTR23,60000
General Dynamics CorporationCOM3695501084222,130SH OTR22,13000
General Mills Inc.COM3703341044236,974SH OTR26,97400
SPDR Gold SharesETF78463V1071,1426,938SH OTR26,93800
Invesco Ultra Short Duration ETFETF46090A88720,908414,350SH OTR2414,35000
Chart Industries Inc.COM16115Q3084622,320SH OTR22,32000
VanEck Natural Resources ETFETF92189F841942,034SH OTR22,03400
Hull Tactical US ETFETF301505806772,337SH OTR22,33700
iShares iBoxx High Yield Corporate Bond ETFETF4642885133,79443,402SH OTR243,40200
FlexShrs High Yield Value Scored Bond Index FundETF33939L6625,720115,100SH OTR2115,10000
PIMCO 0-5 Year High Yield Corporate Bond Index ETFETF72201R7831,52015,307SH OTR215,30700
MarineMax Inc.COM5679081083556,942SH OTR26,94200
iShares U.S. Broker Dealers and Securities Exchanges ETFETF4642887941631,542SH OTR21,54200
iShares U.S. Insurance ETFETF4642887861291,627SH OTR21,62700
iShares Biotechnology ETFETF46428755612,68679,821SH OTR279,82100
iShares Cohen and Steers REIT ETFETF4642875641342,030SH OTR22,03000
iShares Convertible Bond ETFETF46435G1022632,617SH OTR22,61700
iShares 7 10 Year Treasury Bond ETFETF46428744080,128673,422SH OTR2673,42200
iShares North American Natural Resources ETFETF4642873741876,240SH OTR26,24000
iShares Trust iShares 1 to 5 Year Investment Grade Corporate Bond ETFETF4642886464,37279,990SH OTR279,99000
Illumina Inc.COM4523271098762,219SH OTR22,21900
iShares MSCI International Momentum Factor ETFETF46434V44924649SH OTR264900
Quadratic Interest Rate Volatility and Inflation ETFETF5007677366,366227,586SH OTR2227,58600
iShares Russell 1000 Value ETFETF46428759827,945176,254SH OTR2176,25400
iShares Russell 2000 ETFETF46428765567300SH OTR230000
iShares US Financials ETFETF4642877881802,151SH OTR22,15100
iShares U.S. Financial Services ETFETF464287770119618SH OTR261800
iShares U.S. Basic Materials ETFETF46428783858458SH OTR245800
iShares U.S. Real Estate ETFETF4642877391571,509SH OTR21,50900
John B Sanfilippo and Son Inc.COM8004221074215,120SH OTR25,12000
Johnson and JohnsonCOM4781601044152,589SH OTR22,58900
SPDR Bloomberg Barclays High Yield Bond ETFETF78468R62211,503105,339SH OTR2105,33900
Kellogg CompanyCOM4878361084166,517SH OTR26,51700
Kulicke and Soffa Industries Inc.COM5012421014878,297SH OTR28,29700
Coca-Cola Company TheCOM1912161004247,995SH OTR27,99500
Global X Lithium and Battery Tech ETFETF37954Y85532396SH OTR239600
Eli Lilly and CompanyCOM5324571084151,808SH OTR21,80800
Louisiana-Pacific CorporationCOM5463471055689,074SH OTR29,07400
iShares iBoxx Investment Grade Corporate Bond ETFETF4642872425,41640,499SH OTR240,49900
Life Storage Inc.REIT53223X1072,10418,203SH OTR218,20300
PIMCO Enhanced Short Maturity Active ETFETF72201R8334,38543,030SH OTR243,03000
3M CompanyCOM88579Y1014212,382SH OTR22,38200
Merck and Company Inc.COM58933Y1054545,578SH OTR25,57800
Micron Technology Inc.COM5951121031161,634SH OTR21,63400
iShares Global Materials ETFETF4642886952182,544SH OTR22,54400
Myriad Genetics Inc.COM62855J10435911,259SH OTR211,25900
SPDR SandP North American Natural Resources ETFETF78463X152731,798SH OTR21,79800
BLACKROCK SHORT MATURITY BONDETF46431W5072,14242,740SH OTR242,74000
NewMarket CorporationCOM6515871074251,230SH OTR21,23000
Northrop Grumman CorporationCOM6668071024201,163SH OTR21,16300
Nuveen Enhanced Yield US Aggregate Bond ETFETF67092P10244017,704SH OTR217,70400
Nuveen ESG Large-Cap Growth ETFETF67092P201731,102SH OTR21,10200
Nushares ETF Trust - Nuveen Esg Mid-Cap Growth ETFETF67092P409941,717SH OTR21,71700
NVIDIA CorporationCOM67066G1049804,727SH OTR24,72700
Realty Income CorporationREIT7561091045708,649SH OTR28,64900
Owens and Minor Inc.COM6907321022377,483SH OTR27,48300
Invesco Dynamic Media ETFETF46137V69642764SH OTR276400
PACCAR Inc.COM6937181084215,293SH OTR25,29300
Pfizer Inc.COM7170811034179,725SH OTR29,72500
Progressive Corporation TheCOM7433151034214,631SH OTR24,63100
Invesco Preferred ETFETF46138E5111,517100,905SH OTR2100,90500
Invesco Fundamental High Yield Corporate Bond ETFETF46138E7193,800194,853SH OTR2194,85300
Invesco DWA Emerging Markets Markets Momentum ETFETF46138E86719796SH OTR279600
Park Aerospace CorporationCOM70014A10442430,689SH OTR230,68900
Pool CorporationCOM73278L1051,3082,991SH OTR22,99100
Public StorageREIT74460D1093,10110,433SH OTR210,43300
Invesco QQQ Trust Series 1ETF46090E1033,87010,745SH OTR210,74500
Invesco SandP 500 Equal Weight Consumer Discretionary ETFETF46137V38134231SH OTR223100
iShares Global REIT ETFETF46434V6472017,232SH OTR27,23200
Regeneron Pharmaceuticals Inc.COM75886F1071,2122,123SH OTR22,12300
iShares Residential and Multisector Real Estate ETFETF46428856236412SH OTR241200
ResMed Inc.COM7611521079993,809SH OTR23,80900
Invesco SandP 500 Equal Weight ETFETF46137V3574,81031,676SH OTR231,67600
VanEck Retail ETFETF92189F6843952,264SH OTR22,26400
Invesco SandP 500 Equal Weight Materials ETFETF46137V3162341,438SH OTR21,43800
InvInvesco SandP Midcap 400 Revenue ETFETF46138G67275842SH OTR284200
iShares Global Consumer Discretionary ETFETF4642887452661,606SH OTR21,60600
Service Corp InternationalCOM8175651041,26620,838SH OTR220,83800
SPDR Nuveen Bloomberg Barclays Short Term Municipal Bond ETFETF78468R73981816,580SH OTR216,58000
iShares Short Treasury Bond ETFETF46428867923,985339,357SH OTR2339,35700
iShares 1-3 Year Treasury Bond ETFETF46428745715,974185,357SH OTR2185,35700
VanEck Short High Yield Muni ETFETF92189F38781532,580SH OTR232,58000
SVB Financial GroupCOM78486Q1019251,392SH OTR21,39200
J M Smucker Company TheCOM8326964051,92116,050SH OTR216,05000
VanEck Steel ETFETF92189F20525447SH OTR244700
VanEck Short Muni ETFETF92189F52881645,430SH OTR245,43000
PIMCO Short Term Municipal Bond Active ETFETF72201R87481815,960SH OTR215,96000
Synopsys Inc.COM8716071073191,056SH OTR21,05600
iShares Semiconductor ETFETF46428752363,693142,759SH OTR2142,75900
SPDR Portfolio TIPS ETFETF78464A65644014,132SH OTR214,13200
Invesco SandP 500 Low Volatility ETFETF46138E3544,71577,152SH OTR277,15200
SPDR Portfolio Short Term Corporate Bond ETFETF78464A47420,906669,200SH OTR2669,20000
SPDR SandP 500 ETF TrustETF78462F103217500SH OTR250000
Steel Dynamics Inc.COM8581191001963,363SH OTR23,36300
iShares Short-Term National Muni Bond ETFETF4642881588187,610SH OTR27,61000
Teradata CorporationCOM88076W1031823,147SH OTR23,14700
Target CorporationCOM87612E1064181,829SH OTR21,82900
iShares TIPS Bond ETFETF4642871766,09247,665SH OTR247,66500
iShares 10-20 Year Treasury Bond ETFETF4642886534362,948SH OTR22,94800
iShares 20 plus Year Treasury Bond ETFETF46428743216,803115,605SH OTR2115,60500
SPDR Doubleline Total Return Tactical ETFETF78467V8483,16865,617SH OTR265,61700
Trimble Inc.COM8962391003984,727SH OTR24,72700
Tractor Supply CompanyCOM8923561064142,058SH OTR22,05800
Toro Company TheCOM8910921084204,281SH OTR24,28100
Tupperware Brands CorporationCOM89989610429213,529SH OTR213,52900
Domtar CorporationCOM2575592034448,074SH OTR28,07400
SPDR SSgA Ultra Short Term Bond ETFETF78467V7072,74167,780SH OTR267,78000
United Parcel Service Inc.COM9113121064172,300SH OTR22,30000
United Rentals Inc.COM911363109350978SH OTR297800
iShares Broad USD High Yield Corporate Bond ETFETF46435U85316,892408,330SH OTR2408,33000
Vanguard Materials ETFETF92204A801140797SH OTR279700
Vanguard Long-Term Corporate Bond ETFETF92206C8136,51361,211SH OTR261,21100
Vanguard Consumer Discretionary ETFETF92204A10843138SH OTR213800
Vanguard Short-Term Corporate Bond ETFETF92206C40920,522248,940SH OTR2248,94000
Vanguard Financials ETFETF92204A4051011,070SH OTR21,07000
Vanguard Dividend Appreciation ETFETF9219088445,92838,218SH OTR238,21800
Vanguard International Dividend Appreciation ETFETF9219468104,94756,526SH OTR256,52600
Victoryshares Dividend Accelerator ETFETF92647N667601,385SH OTR21,38500
Verizon Communications Inc.COM92343V1044237,784SH OTR27,78400
Werner Enterprises Inc.COM9507551084139,415SH OTR29,41500
iShares Global Timber and Forestry ETFETF464288174961,134SH OTR21,13400
West Pharmaceutical Services Inc.COM9553061051,4313,410SH OTR23,41000
WisdomTree Managed Futures Strategy FundETF97717W1253388,147SH OTR28,14700
Financial Select Sector SPDR FundETF81369Y605671,764SH OTR21,76400
Technology Select Sector SPDR FundETF81369Y80381,444537,338SH OTR2537,33800
Real Estate Select Sector SPDR FundETF81369Y8602886,418SH OTR26,41800
SPDR SandP Metals and Mining ETFETF78464A75529677SH OTR267700
Zoetis Inc.COM98978V1031,5738,018SH OTR28,01800