- New Purchases: GD, DFS, AFG, EVRG, CSX, CE, HUBB, FDX, LEG, TSN, RF, DOW, AMTD, BHF, ALK, KSU, FANG, ETRN, DD, SOXX, TEVA, IGV, NEM, FSK, SCHW, ALC, OLLI, ARKK, VNM, CTVA, TJX, JNK, EWY, AMT, MTCH, XLB, VIG, MPLX, FLR, TRGP, KKR, WM, USB, PGR, ILMN, KRE, GPN, GOLD, AXS, WPX,
- Added Positions: MPC, AGG, ABBV, ES, STI, LYB, NSC, DUK, NVDA, VTI, CI, XOM, INTC, AGN, HD, NVS, AFL, SLB, IBM, GS, JNJ, BTI, CVX, JPM, PRU, UPS, CONE, ORCL, GPC, MET, GOOG, SQ, EFA, XBI, EMR, NFLX, CRM, HCA, TGT, UTX, MINT, GSK, GOOGL, WFC, GM, BP, D, EXC, OXY, OKE, FDN, VUG, KO, GILD, PPL, RDS.A, WMT, DIS, PM, PSX, FDT, FTSL, IJK, QQQ, SPYG, XLY, ACN, AMZN, STZ, EOG, PEG, TXN, IGI, FB, KHC, ADM, BAC, BRK.B, BA, GLW, COST, EPD, GE, HAL, OHI, RTN, RYAAY, ET, MA, XYL, DBL, WATT, SONO, EMLP, FYX, GLD, HYLS, MMM, PLD, ADBE, AXP, ABC, BAX, CELG, DE, DLR, ETN, ISRG, KEY, LMT, MMP, PH, PAYX, SWKS, RDS.B, V, APO, BLUE, IEMG, IWD, SHY, SPYV, SUB, ABT, AKAM, ALL, BMI, BLK, CPE, CCJ, CAT, FIS, LOW, NOK, NVO, PXD, NTR, RRC, WPM, SNA, SYK, TMO, WCN, EBAY, AER, CQP, CLR, GTE, MOS, WP, CGC, PE, CDEV, AMLP, BAB, FTA, IJH, INDA, QDF, VEU,
- Reduced Positions: HYG, AOS, LUV, TRV, BMY, CCL, NEE, DAL, NOC, WBA, PG, IVZ, HRL, TLT, FTSM, KMB, PFE, QCOM, AMGN, COP, MRK, T, AAPL, DEO, PKG, PEP, AEP, MCD, SO, CB, XLE, CMCSA, VTEB, KMI, GIS, MSFT, UNH, TRCH, EROS, TWTR, EEM, GDX, SDY, CSCO, MDLZ, GRX, AWK, SHLL.U, IWF, MUB, BBT, CVS, CTL, VALE, LRCX, LFUS, VZ, WMB, AVGO, SMM, ZTS, ATUS, EFV, IJT, IVV, MDY, XLP, ASML, Y, CP, CRZO, ENB, EQT, IP, K, NKE, OLP, PCAR, ROP, UAL, WY, L, NZF, NEA, LBTYK, HBM, FNV, CLNY, GBAB, KMF, PSLV, FBHS, OAK, WH, FEX, FNX, IGF, ITA, VNQ, XLF, XLV,
For the details of USCA RIA LLC's stock buys and sells, go to https://www.gurufocus.com/guru/usca+ria+llc/current-portfolio/portfolio
These are the top 5 holdings of USCA RIA LLC- iShares Core U.S. Aggregate Bond ETF (AGG) - 187,134 shares, 2.16% of the total portfolio. Shares added by 23.22%
- Microsoft Corp (MSFT) - 137,633 shares, 1.91% of the total portfolio. Shares reduced by 1.73%
- Enterprise Products Partners LP (EPD) - 545,140 shares, 1.63% of the total portfolio. Shares added by 1.15%
- AT&T Inc (T) - 439,233 shares, 1.52% of the total portfolio. Shares reduced by 6.78%
- Pfizer Inc (PFE) - 327,005 shares, 1.47% of the total portfolio. Shares reduced by 8.9%
Usca Ria Llc initiated holding in General Dynamics Corp. The purchase prices were between $160.82 and $182.37, with an estimated average price of $172.09. The stock is now traded at around $185.82. The impact to a portfolio due to this purchase was 0.31%. The holding were 16,311 shares as of .
New Purchase: Discover Financial Services (DFS)Usca Ria Llc initiated holding in Discover Financial Services. The purchase prices were between $73.5 and $82.27, with an estimated average price of $77.43. The stock is now traded at around $80.78. The impact to a portfolio due to this purchase was 0.3%. The holding were 36,787 shares as of .
New Purchase: Celanese Corp (CE)Usca Ria Llc initiated holding in Celanese Corp. The purchase prices were between $94.93 and $112.17, with an estimated average price of $103.54. The stock is now traded at around $110.32. The impact to a portfolio due to this purchase was 0.29%. The holding were 25,700 shares as of .
New Purchase: CSX Corp (CSX)Usca Ria Llc initiated holding in CSX Corp. The purchase prices were between $73.95 and $80.52, with an estimated average price of $77.28. The stock is now traded at around $65.26. The impact to a portfolio due to this purchase was 0.29%. The holding were 35,981 shares as of .
New Purchase: Evergy Inc (EVRG)Usca Ria Llc initiated holding in Evergy Inc. The purchase prices were between $56.41 and $61.34, with an estimated average price of $58.48. The stock is now traded at around $64.35. The impact to a portfolio due to this purchase was 0.29%. The holding were 46,363 shares as of .
New Purchase: American Financial Group Inc (AFG)Usca Ria Llc initiated holding in American Financial Group Inc. The purchase prices were between $95.88 and $104.43, with an estimated average price of $100.54. The stock is now traded at around $100.35. The impact to a portfolio due to this purchase was 0.29%. The holding were 27,431 shares as of .
Added: Marathon Petroleum Corp (MPC)Usca Ria Llc added to a holding in Marathon Petroleum Corp by 818.27%. The purchase prices were between $45.99 and $63.6, with an estimated average price of $54.73. The stock is now traded at around $46.20. The impact to a portfolio due to this purchase was 0.53%. The holding were 101,634 shares as of .
Added: iShares Core U.S. Aggregate Bond ETF (AGG)Usca Ria Llc added to a holding in iShares Core U.S. Aggregate Bond ETF by 23.22%. The purchase prices were between $107.04 and $110.9, with an estimated average price of $108.58. The stock is now traded at around $113.64. The impact to a portfolio due to this purchase was 0.41%. The holding were 187,134 shares as of .
Added: AbbVie Inc (ABBV)Usca Ria Llc added to a holding in AbbVie Inc by 42.75%. The purchase prices were between $65.7 and $83.98, with an estimated average price of $78.61. The stock is now traded at around $64.28. The impact to a portfolio due to this purchase was 0.38%. The holding were 168,009 shares as of .
Added: Eversource Energy (ES)Usca Ria Llc added to a holding in Eversource Energy by 83.22%. The purchase prices were between $69.96 and $77.53, with an estimated average price of $73.15. The stock is now traded at around $78.62. The impact to a portfolio due to this purchase was 0.31%. The holding were 86,579 shares as of .
Added: SunTrust Banks Inc (STI)Usca Ria Llc added to a holding in SunTrust Banks Inc by 72.56%. The purchase prices were between $60.01 and $65.84, with an estimated average price of $62.84. The stock is now traded at around $60.77. The impact to a portfolio due to this purchase was 0.29%. The holding were 104,214 shares as of .
Added: LyondellBasell Industries NV (LYB)Usca Ria Llc added to a holding in LyondellBasell Industries NV by 93.36%. The purchase prices were between $74.25 and $92.29, with an estimated average price of $85.31. The stock is now traded at around $74.19. The impact to a portfolio due to this purchase was 0.27%. The holding were 61,665 shares as of .
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