EverSource Wealth Advisors, LLC Q3 2022 Filing

Filed November 7, 2022

Portfolio Value

$436.8M

Holdings

2,045

Report Date

Q3 2022

Filing Type

13F-HR

All Holdings (2,045 positions)

StockValue
NBRNABORS INDUSTRIES LTD SHS
$2K
BCXBLACKROCK RES & COMMODITIES ST SHS
$2K
KREFKKR REAL ESTATE FIN TR INC COM
$2K
GPROGOPRO INC CL A
$2K
DEIDOUGLAS EMMETT INC COM
$2K
YEXTYEXT INC COM
$2K
HEIHEICO CORP NEW COM
$2K
BBBYEURBED BATH & BEYOND INC COM
$2K
SPLKCHFSPLUNK INC COM
$2K
MGAMAGNA INTL INC COM
$2K
TPDTEMPUR SEALY INTL INC COM
$2K
VTYVERINT SYS INC COM
$2K
CWENCLEARWAY ENERGY INC CL C
$2K
GRFSGRIFOLS S A SP ADR REP B NVT
$2K
JRINUVEEN REAL ASSET INCOME & GRO COM
$2K
OMCOMNICOM GROUP INC COM
$2K
RPRXROYALTY PHARMA PLC SHS CLASS A
$2K
BEPCBROOKFIELD RENEWABLE CORP CL A SUB VTG
$2K
S76STORE CAP CORP COM
$2K
CPTCAMDEN PPTY TR SH BEN INT
$2K
BLUCORA INC COM
$2K
REXREX AMERICAN RES CORP COM
$2K
HYEMVANECK EMERGING MARKETS HIGH YIELD BOND ETF
$2K
LENLENNAR CORP CL B
$2K
HAYNUSDHAYNES INTL INC COM NEW
$2K
KLICKULICKE & SOFFA INDS INC COM
$2K
VGREURVECTOR GROUP LTD COM
$2K
MLKNMILLERKNOLL INC COM
$2K
WWDWOODWARD INC COM
$2K
8LP1LAREDO PETROLEUM INC COM
$2K
AMHAMERICAN HOMES 4 RENT CL A
$2K
PODDINSULET CORP COM
$2K
TXRHTEXAS ROADHOUSE INC COM
$2K
KWRQUAKER HOUGHTON COM
$2K
TBBKBANCORP INC DEL COM
$2K
LNTALLIANT ENERGY CORP COM
$2K
FDPFRESH DEL MONTE PRODUCE INC ORD
$2K
TTEKTETRA TECH INC NEW COM
$2K
ORCORCHID IS CAP INC COM NEW
$2K
VRRMVERRA MOBILITY CORP CL A COM STK
$2K
XXYCROSS CTRY HEALTHCARE INC COM
$2K
IGEISHARES NORTH AMERICAN NATURAL RESOURCES ETF
$2K
MFCMANULIFE FINL CORP COM
$2K
PSMTPRICESMART INC COM
$2K
BOOTBOOT BARN HLDGS INC COM
$2K
ICHRICHOR HOLDINGS SHS
$2K
JACKJACK IN THE BOX INC COM
$2K
DFINDONNELLEY FINL SOLUTIONS INC COM
$2K
DOVDOVER CORP COM
$2K
BMEZBLACKROCK HEALTH SCIENCS TR II COM SHS
$2K
BRWTEMPLETON GLOBAL INCOME FD COM
$2K
GCOGENESCO INC COM
$2K
INSGEURINSEEGO CORP COM
$2K
AMWLAMERICAN WELL CORP CL A
$2K
XLVHEALTH CARE SELECT SECTOR SPDR FUND
$2K
VRTSVIRTUS INVT PARTNERS INC COM
$2K
LBRTLIBERTY ENERGY INC COM CL A
$2K
XAWFXALLIANCEBERNSTEIN GLOBAL HIGH COM
$2K
STEWSRH TOTAL RETURN FUND INC COM
$2K
FRFIRST INDL RLTY TR INC COM
$2K
BDCBELDEN INC COM
$2K
ENVAENOVA INTL INC COM
$2K
TECK/BTECK RESOURCES LTD CL B
$2K
VPLVANGUARD FTSE PACIFIC ETF
$2K
DBRGDIGITALBRIDGE GROUP INC CL A NEW
$1K
RCREADY CAPITAL CORP COM
$1K
RITMRITHM CAPITAL CORP COM NEW
$1K
PPTPUTNAM PREMIER INCOME TR SH BEN INT
$1K
TKRTIMKEN CO COM
$1K
TNDMTANDEM DIABETES CARE INC COM NEW
$1K
CASYCASEYS GEN STORES INC COM
$1K
ARLOARLO TECHNOLOGIES INC COM
$1K
UGRULTRAPAR PARTICIPACOES SA SP ADR REP COM
$1K
MTNVAIL RESORTS INC COM
$1K
HQYHEALTHEQUITY INC COM
$1K
MYEMYERS INDS INC COM
$1K
HUBBHUBBELL INC COM
$1K
JBGSJBG SMITH PPTYS COM
$1K
CSRCENTERSPACE COM
$1K
APPHARVEST INC COM
$1K
INGNINOGEN INC COM
$1K
NXRTNEXPOINT RESIDENTIAL TR INC COM
$1K
CCBGCAPITAL CITY BK GROUP INC COM
$1K
TLVGRUPO TELEVISA S A B SPON ADR REP ORD
$1K
LPXLOUISIANA PAC CORP COM
$1K
ASANASANA INC CL A
$1K
ROKUROKU INC COM CL A
$1K
FDDFIRST TR HIGH INCOME LONG / SH COM
$1K
ISTAR INC COM
$1K
SPSBSPDR PORTFOLIO SHORT TERM CORPORATE BOND ETF
$1K
DOXAMDOCS LTD SHS
$1K
APOLLO TACTICAL INCOME FD INC COM
$1K
VDCVANGUARD CONSUMER STAPLES ETF
$1K
TCBITEXAS CAP BANCSHARES INC COM
$1K
EFAVISHARES MSCI EAFE MIN VOL FACTOR ETF
$1K
RWXSPDR DOW JONES INTERNATIONAL REAL ESTATE ETF
$1K
CWSTCASELLA WASTE SYS INC CL A
$1K
HCCIUSDHERITAGE CRYSTAL CLEAN INC COM
$1K
BILIBILIBILI INC SPONS ADS REP Z
$1K
TFIITFI INTL INC COM
$1K
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