EVOKE WEALTH, LLC Q4 2021 Filing

Filed February 9, 2022

Portfolio Value

$3.2T

Holdings

1,201

Report Date

Q4 2021

Filing Type

13F-HR

All Holdings (1,201 positions)

StockValue
VGITVanguard IntermediateTerm Treasury ETF
$17.0M
BCEBCE, Inc.
$17.0M
SRESempra Energy
$17.0M
ORLYOreilly Automotive
$17.0M
VTRSViatris Inc
$17.0M
ATRCAtricure Inc
$17.0M
ABCLAbCellera Biologics Inc
$17.0M
NDAQNasdaq Inc
$17.0M
BNDXVanguard Total International Bond ETF
$17.0M
OGNOrganon Co
$16.0M
TDOCTeladoc Health Inc
$16.0M
HEROGlobal X Video Games Esports ETF
$16.0M
EFGiShares MSCI EAFE GRWTH ETF
$16.0M
SPWRQSunpower Corporation CMN
$16.0M
FINXGlobal X FinTech ETF
$16.0M
HCAHca Healthcare Inc
$16.0M
LRCXEURLam Research Corp
$16.0M
PCARPaccar Inc Com
$16.0M
Appharvest Inc
$16.0M
AFRMAffirm Holdings Inc A
$16.0M
XLREReal Estate Select Sector SPDR
$15.0M
BLIUSDBerkeley Lights Inc
$15.0M
BBAXJPMorgan BetaBuilders Dev Asia exJapan ETF
$15.0M
FNFFidelity National Financial
$15.0M
ABJAABB LTD ADR
$15.0M
CFGCitizens Finl Group
$15.0M
ADPTAdaptive Biotechnologies Corpo CMN
$15.0M
IVZInvesco LTD SHS
$15.0M
BITOProShares Bitcoin Strategy ETF
$14.0M
FSVFirstService Corp
$14.0M
HBANHuntington
$14.0M
BDJBlackRock Enhanced Equit
$14.0M
DISCKUSDDiscovery Inc C
$14.0M
LYVLive Nation
$14.0M
PUKNPrudential ADR Each
$14.0M
FSLRFirst Solar Inc Com
$14.0M
STTState STR Corp Com
$14.0M
CBRECbre Group Inc Com
$14.0M
EXRExtra Space Storage
$14.0M
Synlogic Inc
$14.0M
SSNCSSC Technologies
$13.0M
NATHNathans Famous Inc
$13.0M
GDRXGoodRX Holdings Inc
$13.0M
BAPCredicorp Com STK
$13.0M
National Instruments
$13.0M
EFXEquifax Inc Com
$13.0M
TWLOTwilio Inc A
$13.0M
RCLRoyal Caribbean
$13.0M
MOSMosaic Co New Com
$13.0M
MTBM T Bank Corp Com
$13.0M
VSSVanguard FTSE AllWld exUS SmCp ETF
$13.0M
DOVDover Corp Com
$13.0M
AG8Agilent Technologies
$13.0M
MTCHMatch Group Inc New
$12.0M
DOGProShares Short Dow30
$12.0M
TTEKTetra Tech Inc New
$12.0M
FNVFranco Nevada Corp F
$12.0M
APAApa
$12.0M
TTMCHFTata Motors Limited
$12.0M
CCOCameco Corp Com NPV
$12.0M
MRO*Marathon Oil
$12.0M
RSPInvesco SP 500 Equal Weight ETF
$12.0M
S76Store Capital Corporation
$12.0M
PLTRPalantir Technologies Inc
$12.0M
CRONCronos Group Inc Com
$11.0M
EFAViShares Edge MSCI Min Vol EAFE ETF
$11.0M
NINisource Inc Com
$11.0M
LOCOEl Pollo Loco
$11.0M
BBVABanco Bilbao Vizcaya
$11.0M
DGDollar General Corp.
$11.0M
OKTAOkta Inc CL A
$11.0M
BPOPPopular Inc
$11.0M
VODVodafone Group Spon
$11.0M
FBINFortune Brands Home
$11.0M
RYAAYRyanair HLDGS PLC ADR
$11.0M
GPNGlobal PMTS Inc Com
$11.0M
HALHalliburton Co Com
$11.0M
CMICummins Inc
$11.0M
APHAmphenol Corp Class
$11.0M
DECKDeckers Outdoor Corp
$11.0M
RACEFerrari
$11.0M
IDXXIdexx Laboratories
$11.0M
LBRDKLiberty Broadband Corp Class C
$11.0M
DTEDte Energy Holding
$11.0M
CIGIColliers Intl Group
$11.0M
PGRProgressive
$11.0M
TSNTyson Foods Inc CL A
$10.0M
INCYIncyte Corp Com
$10.0M
SYFSynchrony Financial
$10.0M
KRKroger Co Com
$10.0M
KDKyndryl Holdings Inc
$10.0M
RRCRange Resources Corp
$10.0M
XBISPDR SP Biotech ETF
$10.0M
Qiagen NV SHS New
$10.0M
CHRWCH Robinson
$10.0M
KALAKala Pharmaceuticals
$10.0M
MZTILancaster Colony Corp
$10.0M
WHWyndham Hotels
$10.0M
ATRAptarGroup Inc
$9.0M
KRGKite Realty Group
$9.0M
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