UNITED CAPITAL FINANCIAL ADVISORS, LLC Q2 2017 Filing

Filed August 14, 2017

Portfolio Value

$11.2B

Holdings

1,270

Report Date

Q2 2017

Filing Type

13F-HR

All Holdings (1,270 positions)

StockValue
URIUnited Rentals Inc
$266K
JWNUSDNordstrom Inc
$266K
ENREnergizer Holdings Inc
$266K
UEUrban Edge Properties
$265K
Ellie Mae Inc
$264K
EUHYIshares Inc International High Yield Bond Etf
$264K
AIVLWisdomTree Dividend ex-Financials ETF
$263K
FBSSFauquier Bankshares Inc
$262K
AWCAmerican Water Works Co Inc
$261K
BMSBemis Co Inc
$260K
TRMKTrustmark Corp
$260K
NVGNuveen AMT-Free Muni Credit Inc
$259K
CPIXCumberland Pharmaceuticals Inc
$259K
MCHIiShares MSCI China
$258K
OKEONEOK Inc
$257K
EVBNUSDEvans Bancorp Inc
$257K
EFXEquifax Inc
$257K
FMCFMC Corp
$257K
XMUIXBlackRock Muni Inter Duration
$256K
Senior Housing Properties Trust
$255K
CCEPCoca-Cola European Partners PLC
$255K
ANDEAndersons Inc
$253K
iShares iBonds Mar 2020 Term Corp exFncl
$253K
BRWTempleton Global Income
$251K
PNWPinnacle West Capital Corp
$251K
WDFCWD-40 Co
$251K
SQMSociedad Quimica Y Minera De Chile SA
$250K
CLHClean Harbors Inc
$250K
Gramercy Property Trust
$250K
RYNRayonier Inc
$249K
XAWFXAllianceBernstein Glb High Inc
$248K
BIDSothebys
$247K
BUSDBarnes Group Inc
$245K
Advaxis Inc
$244K
EWBCEast West Bancorp Inc
$244K
GW Pharmaceuticals PLC
$244K
MSAMSA Safety Inc
$242K
SPHSuburban Propane Partners LP
$241K
BKHBlack Hills Corp
$241K
MATWMatthews International Corp
$241K
ETRAE TRADE Financial Corp
$241K
EQT Midstream Partners LP
$240K
FXNFirst Trust Energy AlphaDEX ETF
$239K
FAXAberdeen Asia-Pacific Income
$238K
BHPBhp Billiton Ltd
$236K
REGNRegeneron Pharmaceuticals Inc
$236K
VanEck Vectors High-Yield Municipal ETF
$235K
HQLTekla Life Sciences Investors
$235K
Pinnacle Entertainment Inc Com
$234K
IEXIDEX Corp
$234K
AllianzGI Equity & Conv Inc
$232K
XLREReal Estate Select Sector SPDR
$232K
9990302DApache Corp
$231K
AGCOAGCO Corp
$230K
HMCHonda Motor Co Ltd
$230K
HDBHDFC Bank Ltd
$228K
ATGEAdtalem Global Education Inc.
$228K
LVLTLevel 3 Communications Inc
$227K
HIFSHingham Institution for Savings
$227K
JDJD.com Inc ADR
$226K
Analogic Corp
$226K
IVZInvesco Ltd
$225K
AKAFVident Core US Equity
$224K
Almost Family Inc
$222K
WRBWR Berkley Corp
$221K
ITUBItau Unibanco Holding SA
$221K
SEESealed Air Corp
$220K
Nuveen GA Quality Muni Inc
$220K
FGDFirst Trust Dow Jones Global Sel Div ETF
$219K
YieldShares High Income ETF
$218K
Liberty Media Corp
$218K
CHICalamos Convertible Opps & Income
$218K
VVVValvoline Inc
$217K
CIKCredit Suisse Group AG
$216K
YPFYpf Sa
$216K
AU Optronics Corp
$216K
FIVEFive Below Inc
$216K
KLX Inc
$215K
ELDWisdomTree Emerging Markets Lcl Dbt ETF
$215K
STIPiShares 0-5 Year TIPS Bond
$215K
ASHAshland Global Holdings Inc
$214K
Panera Bread Co
$212K
HASIHannon Armstrong Sustainable Infrastructure Capital Inc
$211K
CYHCommunity Health Systems Inc
$210K
FTITechnipFMC PLC
$209K
CWBSPDR Blmbg Barclays Convert Secs ETF
$209K
NBL2EURNoble Energy Inc
$208K
ABXBarrick Gold Corp
$208K
Liberty Tax Inc
$207K
MLNXMellanox Technologies Ltd
$206K
DPZDomino's Pizza Inc
$206K
BBYBest Buy Co Inc
$205K
LNCLincoln National Corp
$204K
INCYIncyte Corp
$204K
PANWPalo Alto Networks Inc
$204K
PowerShares Variable Rate Preferred ETF
$203K
IPGThe Interpublic Group of Companies Inc
$202K
Cypress Semiconductor Corp
$202K
PSFCohen & Steers Select Pref & Income
$202K
SCLStepan Co
$201K
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