UNITED CAPITAL FINANCIAL ADVISORS, LLC Q4 2016 Filing

Filed February 15, 2017

Portfolio Value

$10.3B

Holdings

1,250

Report Date

Q4 2016

Filing Type

13F-HR

All Holdings (1,250 positions)

StockValue
FDCFirst Data Corp
$252K
BCSBarclays Plc Adr
$251K
CoBiz Financial Inc
$250K
CCEPCoca-Cola European Partners PLC
$249K
VACMarriott Vacations Worldwide Corp
$248K
PNWPinnacle West Capital Corp
$248K
LYGLloyds Banking Group PLC
$247K
HIFSHingham Institution for Savings
$246K
Natus Medical Inc
$244K
IBTXUSDIndependent Bank Group Inc
$242K
CASYCasey's General Stores Inc
$242K
Liberty Tax Inc
$241K
GW Pharmaceuticals PLC
$236K
PRAProAssurance Corp
$236K
RYNRayonier Inc
$236K
FT2First Horizon National Corp
$235K
MHKMohawk Industries Inc
$235K
AZNAstrazeneca Plc Each Ads Representing 1/2 Of An Ordinary Share
$234K
DGRWWisdomTree US Quality Dividend Gr ETF
$234K
HASIHannon Armstrong Sustainable Infrastructure Capital Inc
$232K
Capstead Mortgage Corp
$232K
TPLUSDTexas Pacific Land Trust
$231K
JNPJuniper Networks Inc
$230K
SCLStepan Co
$228K
SYFSynchrony Financial
$228K
AYRAircastle Ltd
$227K
CPTCamden Property Trust
$227K
Orbital ATK Inc
$227K
EWBCEast West Bancorp Inc
$227K
IEXIDEX Corp
$227K
ENREnergizer Holdings Inc
$225K
ClubCorp Holdings Inc
$225K
TCBITexas Capital Bancshares Inc
$224K
SIXEURSix Flags Entertainment Corp
$224K
CHKEURChesapeake Energy Corp
$224K
KWE1Ring Energy Inc
$224K
AGZiShares Agency Bond
$223K
VanEck Vectors JP Morgan EM LC Bd ETF
$223K
Accelerate Diagnostics Inc
$222K
PSFCohen & Steers Select Pref & Income
$221K
AGCOAGCO Corp
$221K
USX1United States Steel Corp
$221K
Amplify Snack Brands Inc
$220K
MTUSTimkenSteel Corp
$220K
FBSSFauquier Bankshares Inc
$220K
BDJBlackRock Enhanced Equity Div
$219K
CNRCanadian National Railway Co
$219K
GOGOGogo Inc
$219K
AIVLWisdomTree Dividend ex-Financials ETF
$219K
CHICalamos Convertible Opps & Income
$216K
MCXMcCormick & Co Inc Non-Voting
$216K
RWOSPDR Dow Jones Global Real Estate ETF
$215K
MDMednax Inc
$214K
BCRUSDC.R. Bard Inc
$214K
MLNXMellanox Technologies Ltd
$214K
ALNTAllied Motion Technologies Inc
$214K
BHBBar Harbor Bancshare
$213K
FEFirstEnergy Corp
$212K
AMKRAmkor Technology, Inc.
$211K
Frontier Communications Corp Class B
$211K
AKRAcadia Realty Trust
$210K
APHAmphenol Corp
$210K
Cypress Semiconductor Corp
$210K
SEESealed Air Corp
$209K
Goldcorp Inc
$208K
BOHBank of Hawaii Corp
$208K
AERIEURAerie Pharmaceuticals Inc
$208K
PowerShares S&P SmallCap Low Volatil ETF
$207K
NVGNuveen Enhanced AMT-Free Muni Credit Opp
$207K
HOGHarley-Davidson Inc
$207K
FTNTFortinet Inc
$206K
UHSUniversal Health Services Inc
$206K
MAINMain Street Capital Corp
$205K
New York Mortgage Trust Inc
$205K
BUSDBarnes Group Inc
$205K
CDKCDK Global Inc
$204K
EVBNUSDEvans Bancorp Inc
$203K
XMUIXBlackRock Muni Inter Duration
$203K
ACADACADIA Pharmaceuticals Inc
$202K
SHYGiShares 0-5 Year High Yield Corp Bd
$202K
CPIXCumberland Pharmaceuticals Inc
$201K
Spirit Realty Capital Inc
$201K
DeVry Education Group Inc
$201K
FCXFreeport-McMoRan Inc
$199K
MDIVMulti-Asset Diversified Income ETF
$194K
La Quinta Holdings Inc
$193K
CDZICadiz Inc
$192K
ERICLM Ericsson Telephone Co
$189K
DARDarling Ingredients Inc
$188K
AEOAmerican Eagle Outfitters Inc
$182K
EPOLiShares MSCI Poland Capped
$181K
DDR Corp
$181K
GSPiPath S&P GSCI Crude Oil TR ETN
$178K
EHIWestern Asset Global High Inc
$178K
MRO*Marathon Oil Corp
$175K
ITUBItau Unibanco Holding SA
$172K
CIKCredit Suisse Group AG
$169K
PMLPIMCO Municipal Income II
$168K
SWN1EURSouthwestern Energy Co
$168K
Windstream Holdings Inc
$168K
PreviousPage 12 of 13Next