Form f13t for CIK:1574010

Reported Date (DD.MM.YYYY) Issuer Name Value Thousands Sshprn Amount Sshprn Type Class Title Voting Authority Sole Voting Authority Shared Voting Authority None
10.07.2019 PowerShares DB Commodity Index Tracking 5 300 SH ETF 0 0 300
15.01.2020 Welltower Inc Com 14 177 SH COM 0 0 177
10.01.2019 Materials Select Sector SPDRA 1 18 SH ETF 0 0 18
08.10.2019 SPDR S&P Dividend ETF 6143 59877 SH ETF 0 0 59877
20.01.2017 Hershey Co 9 86 SH COM 0 0 86
10.04.2020 Vanguard FTSE Developed Markets ETF 23 694 SH ETF 0 0 694
07.01.2021 Arconic Inc 75 2525 SH COM 0 0 2525
16.10.2020 CME Group Inc/IL 2 12 SH COM 0 0 12
08.07.2020 Verizon Communications Inc 155 2818 SH COM 0 0 2818
16.10.2020 iShares Core S&P Small-Cap 25 359 SH ETF 0 0 359
04.12.2015 Exelon Corp 15 516 SH COM 0 0 516
20.01.2017 Nordstrom Inc 2 45 SH COM 0 0 45
30.10.2018 Cypress Semiconductor Corp 2 150 SH COM 0 0 150
16.10.2020 Energy Select Sector SPDRA 17 576 SH ETF 0 0 576
20.01.2017 iShares MSCI Global Gold Miners 26 1523 SH ETF 0 0 1523
17.07.2017 H&R Block Inc 13 406 SH COM 0 0 406
10.01.2019 Churchill Downs Inc 11 45 SH COM 0 0 45
15.01.2020 Financial Select Sector SPDR 4855 157745 SH ETF 0 0 157745
12.07.2018 iShares S&P 100 Index Fund CBOE 179 1498 SH ETF 0 0 1498
16.10.2020 UNDER ARMOUR INC. 12 1083 SH COM 0 0 1083
19.07.2016 Lumber Liquidators Holdings Inc 2 100 SH COM 0 0 100
08.04.2019 Yamana Gold Inc 20 8000 SH COM 0 0 8000
30.10.2018 iShares S&P 100 Index Fund CBOE 194 1498 SH ETF 0 0 1498
10.07.2019 iShares MSCI Glbl Agriculture Producers 3 96 SH ETF 0 0 96
07.12.2015 iShares S&P 500 Growth 143 1252 SH ETF 0 0 1252
19.07.2016 Nucor Corp 12 245 SH COM 0 0 245
08.07.2020 iShares Core S&P 500 33 108 SH ETF 0 0 108
11.04.2016 Potash Corp of Saskatchewan Inc 9 530 SH COM 0 0 530
12.07.2018 ASTRAZENECA PLC -SPONS ADR 4 100 SH ADR 0 0 100
14.10.2016 Consumer Discret Select Sector SPDRA 4 50 SH ETF 0 0 50
03.02.2016 ProShares Short S&P500 10 492 SH ETF 0 0 492
14.10.2016 Wal-Mart Stores Inc 26 364 SH COM 0 0 364
06.04.2018 Arconic Inc 175 7600 SH COM 0 0 7600
12.07.2018 iShares Core S&P Mid-Cap 3 15 SH ETF 0 0 15
31.03.2021 Waste Management Inc 13 102 SH COM 0 0 102
14.10.2016 GENERAL ELECTRIC COMPANY 25 831 SH COM 0 0 831
20.01.2017 Kohl s Corp 0 7 SH COM 0 0 7
10.07.2019 iShares Core S&P Small-Cap 24 304 SH ETF 0 0 304
06.04.2018 iShares Russell 2000 131 865 SH ETF 0 0 865
10.01.2019 VISHAY PRECISION GROUP INC 0 1 SH COM 0 0 1
05.10.2017 Morgan Stanley 5 100 SH COM 0 0 100
18.01.2018 iShares Core S&P Total US Stock Mkt 8 135 SH ETF 0 0 135
12.07.2018 Pentair Plc 3 77 SH COM 0 0 77
31.03.2021 iShares MSCI EAFE 3 44 SH ETF 0 0 44
19.07.2016 iShares US Aerospace & Defense 29 230 SH ETF 0 0 230
16.10.2020 Nutrien Ltd 0 12 SH COM 0 0 12
17.07.2017 GILEAD SCIENCES INC. 9 126 SH COM 0 0 126
07.01.2021 Teva Pharmaceutical Industries Ltd 1 68 SH ADR 0 0 68
10.01.2019 Wheeler Real Estate Investment Trust Inc 12 1600 SH CV PFD SER 0 0 1600
10.01.2019 Guggenheim S&P 500 Eq Wt Technology ETF 8 57 SH ETF 0 0 57
14.10.2016 PepsiCo Inc 35 320 SH COM 0 0 320
17.07.2017 Cognex Corp 11 125 SH COM 0 0 125
08.10.2019 Eastman Chemical Co 26 350 SH COM 0 0 350
06.04.2018 iShares Russell 3000 1711 10945 SH ETF 0 0 10945
08.04.2019 BIOLIFE SOLUTIONS 0 2 SH COM 0 0 2
08.07.2020 MannKind Corp 1 500 SH COM 0 0 500
14.10.2016 NETFLIX INC. 4 41 SH COM 0 0 41
08.04.2019 Avago Technologies Ltd 12 42 SH COM 0 0 42
08.07.2020 UNDER ARMOUR INC-CLASS C 11 1271 SH COM 0 0 1271
08.07.2020 iShares High Dividend 407 5019 SH ETF 0 0 5019
15.01.2020 Cisco Systems Inc 24 508 SH COM 0 0 508
03.02.2016 Potash Corp of Saskatchewan Inc 1 30 SH COM 0 0 30
08.10.2019 PowerShares Cleantech 0 5 SH ETF 0 0 5
08.07.2020 Nutanix Inc 5 200 SH COM 0 0 200
04.12.2015 Chesapeake Energy Corp 0 48 SH COM 0 0 48
06.04.2018 STMicroelectronics NV 2 80 SH COM 0 0 80
10.01.2019 NETFLIX INC. 11 41 SH COM 0 0 41
08.10.2019 Exact Sciences Corp 4 45 SH COM 0 0 45
10.01.2019 Prothena Corp PLC 0 1 SH SHS 0 0 1
08.10.2019 APPLE INC. 365 1628 SH COM 0 0 1628
10.07.2019 SALESFORCE COM COMPANY 2 16 SH COM 0 0 16
07.01.2021 Rockwell Automation Inc 62 248 SH COM 0 0 248
31.03.2021 Churchill Capital Corp IV Ordinary Class A 2 80 SH COM 0 0 80
20.01.2017 General Mills Inc 9 150 SH COM 0 0 150
15.01.2020 Reality Shs Etf Tr Nsd Nxgn Eco Etf 1 42 SH ETF 0 0 42
03.02.2016 American Electric Power Co Inc 30 511 SH COM 0 0 511
08.10.2019 Eaton Vance Corp 36 800 SH COM 0 0 800
15.01.2020 WisdomTree US Quality Sharehld Yld ETF 5 56 SH ETF 0 0 56
15.01.2020 Market Vectors Agribusiness ETF 27 395 SH ETF 0 0 395
14.10.2016 Bank of America Corporation 4 280 SH COM 0 0 280
07.01.2021 PNC Financial Services Group Inc 46 308 SH COM 0 0 308
30.10.2018 MetLife Inc 8 176 SH COM 0 0 176
30.10.2018 Ishares Nasdaq Biotechnology 45 365 SH ETF 0 0 365
30.10.2018 Approach Resources Inc 3 1528 SH COM 0 0 1528
06.04.2018 Guggenheim BulletShrs 2019 Corp Bd ETF 3 155 SH ETF 0 0 155
08.07.2020 Lexington Realty Trust 27 500 SH PFD CONV SER C 0 0 500
30.10.2018 iShares Core MSCI Total Intl Stk 3 52 SH ETF 0 0 52
11.04.2016 MasterCard Inc 96 1020 SH COM 0 0 1020
17.07.2017 Fitbit Inc Cl A 0 60 SH COM 0 0 60
10.07.2019 Thor Industries Inc 20 334 SH COM 0 0 334
10.01.2019 Vanguard European Stock Index ETF 8 165 SH ETF 0 0 165
15.01.2020 Maxim Integrated Products Inc 1 10 SH COM 0 0 10
16.10.2020 MasterCard Inc 17 50 SH COM 0 0 50
08.10.2019 iShares US Home Construction 9 200 SH ETF 0 0 200
04.12.2015 H&R Block Inc 15 406 SH COM 0 0 406
19.07.2016 Eastman Chemical Co 24 350 SH COM 0 0 350
17.07.2017 WisdomTree India Earnings ETF 960 39150 SH ETF 0 0 39150
07.12.2015 Michael Kors Holdings Ltd 4 65 SH SHS 0 0 65
05.04.2017 iShares Global Timber & Forestry 3 50 SH ETF 0 0 50
15.01.2020 Vanguard Health Care ETF 20 105 SH ETF 0 0 105
10.04.2020 GENERAL ELECTRIC COMPANY 2 245 SH COM 0 0 245
15.01.2020 Waste Management Inc 12 102 SH COM 0 0 102
10.04.2020 Frontier Communications Corp 0 17 SH COM 0 0 17
19.07.2016 Bce Inc Com New 1 14 SH COM 0 0 14
03.02.2016 Smith & Wesson Holding Corporation 8 358 SH COM 0 0 358
06.04.2018 iShares MSCI Emerging Markets 48 1002 SH ETF 0 0 1002
10.07.2019 BP PLC 68 1622 SH ADR 0 0 1622
14.10.2016 BlackRock Inc 4 10 SH COM 0 0 10
15.01.2020 Ishares Nasdaq Biotechnology 3 25 SH ETF 0 0 25
08.04.2019 Sempra Energy 1 11 SH COM 0 0 11
14.10.2016 Senior Housing Properties Trust 1 27 SH COM 0 0 27
05.04.2017 Broadridge Financial Solutions Inc 33 491 SH COM 0 0 491
07.01.2021 Guggenheim S&P 500A Equal Weight 82 640 SH ETF 0 0 640
08.10.2019 Valero Energy Corp 2 25 SH COM 0 0 25
17.07.2017 Prothena Corp PLC 0 1 SH SHS 0 0 1
04.12.2015 Google Inc 5 8 SH COM 0 0 8
08.07.2020 Leggett & Platt Inc 18 500 SH COM 0 0 500
31.03.2021 SPDR S&P Oil & Gas Exploration & Production ETF 4 50 SH ETF 0 0 50
31.03.2021 NIKE INC 7 51 SH COM 0 0 51
31.03.2021 Fidelity MSCI Health Care ETF 3 50 SH ETF 0 0 50
07.12.2015 Visa Inc 4 60 SH COM 0 0 60
03.02.2016 DISNEY WALT COMPANY 43 413 SH COM 0 0 413
05.10.2017 Procter & Gamble Co 14 150 SH COM 0 0 150
12.07.2018 Vanguard Total Stock Market ETF 37 260 SH ETF 0 0 260
31.03.2021 Arconic Inc 1 25 SH COM 0 0 25
07.12.2015 Eaton Vance Corp 33 800 SH COM 0 0 800
10.07.2019 Cognizant Technology Solutions Corp 13 200 SH COM 0 0 200
08.07.2020 iShares Core MSCI EAFE 5856 102446 SH ETF 0 0 102446
08.07.2020 Guggenheim S&P 500 Pure Growth ETF 39 299 SH ETF 0 0 299
16.10.2020 Advanced Micro Devices Inc 8 100 SH COM 0 0 100
10.04.2020 STMicroelectronics NV 3 150 SH COM 0 0 150
30.10.2018 Nutanix Inc 9 200 SH COM 0 0 200
04.12.2015 Guggenheim BulletShrs 2017 Corp Bd ETF 474 20912 SH ETF 0 0 20912
11.04.2016 GILEAD SCIENCES INC. 12 126 SH COM 0 0 126
03.02.2016 AGL Resources Inc 6 100 SH COM 0 0 100
07.12.2015 Stryker Corporation 9 100 SH COM 0 0 100
11.04.2016 PowerShares Cleantech 0 5 SH ETF 0 0 5
17.07.2017 Stericycle Inc 15 200 SH COM 0 0 200
10.07.2019 Starbucks Corp 58 694 SH COM 0 0 694
03.02.2016 TE Connectivity Ltd 1 10 SH SHS 0 0 10
10.07.2019 PIMCO 1-3 Year US Treasury Index ETF 57 1120 SH ETF 0 0 1120
07.01.2021 WisdomTree International SmallCp Div ETF 12 170 SH ETF 0 0 170
05.10.2017 Pure Storage Inc 16 1000 SH COM 0 0 1000
31.03.2021 Nutanix Inc 5 200 SH COM 0 0 200
03.02.2016 Market Vectors Agribusiness ETF 18 395 SH ETF 0 0 395
06.04.2018 United Parcel Service Inc (UPS) 18 176 SH COM 0 0 176
06.04.2018 Brighthouse Finl Inc Com 0 1 SH COM 0 0 1
08.10.2019 Dow Chemical Co 1 14 SH COM 0 0 14
15.01.2020 iShares Tr MSCI USA MinVolatility 24551 374246 SH ETF 0 0 374246
06.04.2018 Reality Shs Etf Tr Nsd Nxgn Eco Etf 1 42 SH ETF 0 0 42
14.10.2016 Denbury Resources Inc 4 1260 SH COM 0 0 1260
03.02.2016 Harley-Davidson Inc 7 150 SH COM 0 0 150
05.04.2017 iShares S&P 500 Growth 165 1252 SH ETF 0 0 1252
08.04.2019 Cameco Corp 31 2670 SH COM 0 0 2670
16.10.2020 Inovio Pharmaceuticals Inc 1 100 SH COM 0 0 100
30.10.2018 Rockwell Automation Inc 53 282 SH COM 0 0 282
17.07.2017 iShares Core S&P Total US Stock Mkt 7 135 SH ETF 0 0 135
18.01.2018 iShares Core S&P 500 15 57 SH ETF 0 0 57
10.04.2020 Automatic Data Processing 166 1215 SH COM 0 0 1215
31.03.2021 Mallinckrodt PLC 0 1 SH SHS 0 0 1
30.10.2018 Southwest Airlines Co 13 206 SH COM 0 0 206
08.07.2020 Virgin Galactic Holdings Inc 7 400 SH COM 0 0 400
14.10.2016 T. Rowe Price Group Inc 57 860 SH COM 0 0 860
19.07.2016 Enterprise Products Partners LP 15 528 SH COM 0 0 528
06.04.2018 Rockwell Collins Inc 67 499 SH COM 0 0 499
08.04.2019 iShares MSCI Emerging Markets 43 1002 SH ETF 0 0 1002
31.03.2021 Main Street Capital Corp 27 700 SH COM 0 0 700
03.02.2016 Morgan Stanley 3 100 SH COM 0 0 100
03.02.2016 Baxalta Inc 2 50 SH COM 0 0 50
18.01.2018 Diamond Offshore Drilling Inc 12 660 SH COM 0 0 660
10.07.2019 ConocoPhillips 7 117 SH COM 0 0 117
18.01.2018 TE Connectivity Ltd 2 16 SH SHS 0 0 16
08.07.2020 Crispr Therapeutics Agnamen Akt 0 4 SH NAMEN AKT 0 0 4
05.04.2017 CME Group Inc/IL 2 17 SH COM 0 0 17
04.12.2015 Freeport-McMoran Copper & Gold 30 3048 SH COM 0 0 3048
19.07.2016 Xcel Energy Inc 29 658 SH COM 0 0 658
17.07.2017 MERCK & CO. INC. 141 2194 SH COM 0 0 2194
08.04.2019 PIMCO Enhanced Short Maturity ETF 7494 73789 SH ETF 0 0 73789
14.10.2016 PowerShares Cleantech 0 5 SH ETF 0 0 5
15.01.2020 Annaly Capital Management Inc 2603 276303 SH COM 0 0 276303
30.10.2018 Texas Instruments Inc 54 500 SH COM 0 0 500
15.01.2020 Vanguard European Stock Index ETF 10 165 SH ETF 0 0 165
15.01.2020 H&R Block Inc 10 406 SH COM 0 0 406
19.07.2016 TE Connectivity Ltd 1 10 SH SHS 0 0 10
16.10.2020 Real Estate Select Sector SPDR 0 2 SH ETF 0 0 2
07.12.2015 Chesapeake Energy Corp 1 48 SH COM 0 0 48
10.07.2019 Costco Wholesale Corp 26 100 SH COM 0 0 100
05.04.2017 Procter & Gamble Co 13 150 SH COM 0 0 150
30.10.2018 iShares Tr MSCI USA MinVolatility 21552 377835 SH ETF 0 0 377835
19.07.2016 Constellation Brands Inc 50 300 SH COM 0 0 300
12.07.2018 Advanced Battery Technologies Inc 0 30 SH COM 0 0 30
03.02.2016 MetLife Inc 4 78 SH COM 0 0 78
03.02.2016 iPath DJ-UBS Sugar TR Sub-Idx ETN 21 600 SH ETN 0 0 600
12.07.2018 AT&T Inc 646 20126 SH COM 0 0 20126
10.01.2019 WalMart Stores Inc 35 380 SH COM 0 0 380
30.10.2018 UNDER ARMOUR INC-CLASS C 301 15444 SH COM 0 0 15444
10.07.2019 Facebook Inc 60 312 SH COM 0 0 312
07.01.2021 MannKind Corp 2 500 SH COM 0 0 500
30.10.2018 NOVARTIS AG-ADR 6 65 SH ADR 0 0 65
07.01.2021 Nu Skin Enterprises Inc Class A 0 6 SH COM 0 0 6
30.10.2018 Pure Storage Inc 30 1150 SH COM 0 0 1150
07.01.2021 MERCK & CO. INC. 40 489 SH COM 0 0 489
08.04.2019 Lumber Liquidators Holdings Inc 1 100 SH COM 0 0 100
17.07.2017 Yamana Gold Inc 19 8000 SH COM 0 0 8000
03.02.2016 ALPS Alerian MLP ETF 8 692 SH ETF 0 0 692
30.10.2018 JPMorgan Chase & Co 18 156 SH COM 0 0 156
08.10.2019 iShares MSCI KLD 400 Social ETF 187 1683 SH ETF 0 0 1683
30.10.2018 AT&T Inc 727 21658 SH COM 0 0 21658
08.04.2019 Align Technology Inc 35 125 SH COM 0 0 125
08.07.2020 ALPS Alerian MLP ETF 3 138 SH ETF 0 0 138
15.01.2020 Johnson and Johnson 99 677 SH COM 0 0 677
10.01.2019 iShares International Select Dividend 41 1425 SH ETF 0 0 1425
07.01.2021 iShares Core S&P Mid-Cap 4 17 SH ETF 0 0 17
18.01.2018 Starbucks Corp 68 1190 SH COM 0 0 1190
08.07.2020 PIMCO Enhanced Short Maturity ETF 8521 83793 SH ETF 0 0 83793
20.01.2017 Automatic Data Processing 125 1215 SH COM 0 0 1215
12.07.2018 Altria Group Inc 14 250 SH COM 0 0 250
10.01.2019 Cypress Semiconductor Corp 2 150 SH COM 0 0 150
08.04.2019 Nvent Electric Plc Shs 0 2 SH SHS 0 0 2
06.04.2018 CVS CAREMARK CORPORATION 10 167 SH COM 0 0 167
03.02.2016 Rockwell Automation Inc 29 282 SH COM 0 0 282
03.02.2016 iPath DJ-UBS Cotton TR Sub-Idx ETN 29 700 SH ETN 0 0 700
07.01.2021 Hilton Worldwide Holdings Inc 28 255 SH COM 0 0 255
07.01.2021 Comcast Corp 28 543 SH COM 0 0 543
05.04.2017 Dow Chemical Co 1 15 SH COM 0 0 15
08.10.2019 BB&T Corp 7 130 SH COM 0 0 130
15.01.2020 Starwood Property Trust Inc. 4 180 SH COM 0 0 180
10.01.2019 Teva Pharmaceutical Industries Ltd 1 68 SH ADR 0 0 68
05.04.2017 iShares Core US Aggregate Bond 125 1149 SH ETF 0 0 1149
08.10.2019 First Trust Health Care AlphaDEX 12 161 SH ETF 0 0 161
31.03.2021 iShares MSCI Glbl Agriculture Producers 4 96 SH ETF 0 0 96
11.04.2016 United Parcel Service Inc (UPS) 3 25 SH COM 0 0 25
17.07.2017 Freeport-McMoran Copper & Gold 37 3065 SH COM 0 0 3065
07.12.2015 HOME DEPOT INC. 18 155 SH COM 0 0 155
06.04.2018 UnitedHealth Group Inc 23 107 SH COM 0 0 107
06.04.2018 iPath DJ-UBS Cotton TR Sub-Idx ETN 38 700 SH ETN 0 0 700
12.07.2018 Snap Inc Cl A 1 100 SH COM 0 0 100
12.07.2018 CDK Global Inc 45 699 SH COM 0 0 699
05.10.2017 Consumer Discret Select Sector SPDRA 5 50 SH ETF 0 0 50
06.04.2018 Omega Healthcare Investors Inc 12 439 SH COM 0 0 439
12.07.2018 Splunk Inc 7 75 SH COM 0 0 75
08.04.2019 PacWest Bancorp 0 22 SH COM 0 0 22
30.10.2018 Hershey Co 9 89 SH COM 0 0 89
17.07.2017 Cameco Corp 24 2670 SH COM 0 0 2670
15.01.2020 Bausch Health Companies Inc 1 50 SH COM 0 0 50
17.07.2017 Manulife Financial Corporation 5 270 SH COM 0 0 270
05.04.2017 MERCK & CO. INC. 139 2194 SH COM 0 0 2194
30.10.2018 Mallinckrodt PLC 0 1 SH SHS 0 0 1
07.12.2015 iShares Global Timber & Forestry 3 50 SH ETF 0 0 50
10.01.2019 Arconic Inc 128 7600 SH COM 0 0 7600
08.07.2020 PNC Financial Services Group Inc 32 308 SH COM 0 0 308
08.07.2020 Real Estate Select Sector SPDR 0 2 SH ETF 0 0 2
31.03.2021 Paychex Inc 23 230 SH COM 0 0 230
05.04.2017 Domino s Pizza Inc 5 27 SH COM 0 0 27
18.01.2018 CATERPILLAR INC. 9 54 SH COM 0 0 54
12.07.2018 Brown-Forman Corp 2 45 SH COM 0 0 45
05.04.2017 Nucor Corp 15 245 SH COM 0 0 245
19.07.2016 Nokia Oyj 0 35 SH ADR 0 0 35
12.07.2018 iShares Core MSCI EAFE 6434 101531 SH ETF 0 0 101531
07.12.2015 Adecoagro SA 61 6000 SH COM 0 0 6000
08.10.2019 Nordstrom Inc 2 45 SH COM 0 0 45
04.12.2015 Travelers Companies Inc 15 150 SH COM 0 0 150
10.04.2020 PepsiCo Inc 3 28 SH COM 0 0 28
07.01.2021 iShares Russell 2000 38 193 SH ETF 0 0 193
08.04.2019 Canopy Growth Corp 2 50 SH COM 0 0 50
17.07.2017 Nu Skin Enterprises Inc Class A 0 6 SH COM 0 0 6
10.07.2019 iShares MSCI ACWI ex US ETF 89 1910 SH ETF 0 0 1910
19.07.2016 Guggenheim BulletShrs 2018 Corp Bd ETF 3013 140994 SH ETF 0 0 140994
12.07.2018 Cree Inc 1 32 SH COM 0 0 32
16.10.2020 iShares Aaa - A Rated Corporate Bond ETF 5424 93794 SH ETF 0 0 93794
14.10.2016 iShares iBoxx $ High Yield Corporate Bd 18 210 SH ETF 0 0 210
07.12.2015 SPDR DB Intl Govt Inflation-Prot Bd ETF 5 91 SH ETF 0 0 91
19.07.2016 NOVARTIS AG-ADR 2 21 SH ADR 0 0 21
15.01.2020 Realty Income Corp 29 400 SH COM 0 0 400
05.04.2017 iShares US Home Construction 6 200 SH ETF 0 0 200
08.04.2019 Texas Instruments Inc 42 400 SH COM 0 0 400
15.01.2020 Sempra Energy 2 11 SH COM 0 0 11
08.07.2020 iShares Global REIT ETF 2 112 SH ETF 0 0 112
11.04.2016 Energy Select Sector SPDRA 3 50 SH ETF 0 0 50
10.04.2020 SPDR Portfolio Developed Wld ex-US ETF 1 49 SH ETF 0 0 49
19.07.2016 Materials Select Sector SPDRA 1 18 SH ETF 0 0 18
18.01.2018 iShares S&P 500 Value ETF 6 50 SH ETF 0 0 50
30.10.2018 Cameco Corp 30 2670 SH COM 0 0 2670
14.10.2016 Wells Fargo & Co 1 33 SH COM 0 0 33
07.01.2021 PayPal Holdings Inc 60 255 SH COM 0 0 255
15.01.2020 Energy Transfer Equity LP 3 227 SH COM 0 0 227
12.07.2018 Costco Wholesale Corp 21 100 SH COM 0 0 100
08.10.2019 Westinghouse Air Brake Technologies Corp 0 1 SH COM 0 0 1
15.01.2020 iShares Core S&P Total US Stock Mkt 10 135 SH ETF 0 0 135
08.07.2020 iShares Core MSCI Total Intl Stk 3 60 SH ETF 0 0 60
12.07.2018 iPath DJ-UBS Cotton TR Sub-Idx ETN 41 700 SH ETN 0 0 700
08.04.2019 iShares MSCI KLD 400 Social ETF 152 1450 SH ETF 0 0 1450
15.01.2020 Twitter Inc 0 12 SH COM 0 0 12
17.07.2017 Kimberly-Clark Corp 1 10 SH COM 0 0 10
06.04.2018 Nucor Corp 15 245 SH COM 0 0 245
14.10.2016 iShares Core S&P Small-Cap 12 98 SH ETF 0 0 98
31.03.2021 Advanced Battery Technologies Inc 0 30 SH COM 0 0 30
14.10.2016 Market Vectors Agribusiness ETF 20 395 SH ETF 0 0 395
08.10.2019 Alphabet Inc A 10 8 SH COM 0 0 8
08.07.2020 iShares S&P 500 Growth 89 427 SH ETF 0 0 427
08.07.2020 Abbvie Inc 37 375 SH COM 0 0 375
03.02.2016 Rockwell Collins Inc 50 546 SH COM 0 0 546
31.03.2021 Exelon Corp 23 516 SH COM 0 0 516
03.02.2016 iShares Core MSCI Total Intl Stk 550 11121 SH ETF 0 0 11121
20.01.2017 UNDER ARMOUR INC. 73 2519 SH COM 0 0 2519
08.04.2019 APPLE INC. 299 1578 SH COM 0 0 1578
20.01.2017 MasterCard Inc 121 1170 SH COM 0 0 1170
07.12.2015 Facebook Inc 26 312 SH COM 0 0 312
14.10.2016 iShares US Home Construction 6 200 SH ETF 0 0 200
05.10.2017 Goldcorp Inc 976 75278 SH COM 0 0 75278
10.01.2019 Align Technology Inc 26 125 SH COM 0 0 125
04.12.2015 CATERPILLAR INC. 4 54 SH COM 0 0 54
10.01.2019 Guggenheim S&P 500A Equal Weight 3 30 SH ETF 0 0 30
10.01.2019 DISNEY WALT COMPANY 283 2581 SH COM 0 0 2581
10.04.2020 iShares Morningstar Small-Cap Growth 6 35 SH ETF 0 0 35
03.02.2016 MONDELEZ INTL INC 7 150 SH COM 0 0 150
30.10.2018 VISHAY PRECISION GROUP INC 0 1 SH COM 0 0 1
15.01.2020 Ionis Pharmaceuticals Inc Com 1 10 SH COM 0 0 10
07.01.2021 Starbucks Corp 61 568 SH COM 0 0 568
11.04.2016 iShares Core S&P Mid-Cap 1 5 SH ETF 0 0 5
19.07.2016 Starwood Property Trust Inc. 4 180 SH COM 0 0 180
19.07.2016 Prothena Corp PLC 0 1 SH SHS 0 0 1
12.07.2018 Schlumberger NV 13 189 SH COM 0 0 189
08.10.2019 Sun Life Financial Inc 58 1289 SH COM 0 0 1289
07.01.2021 Vanguard Total Stock Market ETF 261 1343 SH ETF 0 0 1343
10.07.2019 Ramco-Gershenson Properties Trust 25 500 SH PERP PFD-D CV 0 0 500
10.01.2019 Exelon Corp 23 516 SH COM 0 0 516
08.04.2019 iShares S&P Small-Cap 600 Growth 4 25 SH ETF 0 0 25
03.02.2016 AT&T Inc 1503 43666 SH COM 0 0 43666
20.01.2017 Avago Technologies Ltd 13 71 SH SHS 0 0 71
12.07.2018 iShares High Dividend 3136 36901 SH ETF 0 0 36901
17.07.2017 PPL Corp 65 1674 SH COM 0 0 1674
15.01.2020 Chesapeake Energy Corp 0 48 SH COM 0 0 48
03.02.2016 Prothena Corp PLC 0 1 SH SHS 0 0 1
05.10.2017 Unilever NV 0 0 SH SHS 0 0 0
06.04.2018 UNDER ARMOUR INC-CLASS C 252 17594 SH COM 0 0 17594
07.01.2021 Consumer Discret Select Sector SPDRA 587 3650 SH SBI CONS DISCR 0 0 3650
05.04.2017 Ishares S&P GSCI Commodity-Indexed Trust 11 775 SH ETF 0 0 775
17.07.2017 ASTRAZENECA PLC -SPONS ADR 3 100 SH ADR 0 0 100
05.10.2017 Microsoft Corp 247 3310 SH COM 0 0 3310
04.12.2015 PIMCO 1-3 Year US Treasury Index ETF 6270 122778 SH ETF 0 0 122778
03.02.2016 Boeing Co 4 25 SH COM 0 0 25
04.12.2015 MERCK & CO. INC. 127 2573 SH COM 0 0 2573
07.01.2021 New Age Beverages Corp 0 100 SH COM 0 0 100
18.01.2018 HSBC Holdings PLC 21 400 SH ADR 0 0 400
12.07.2018 Johnson and Johnson 62 509 SH COM 0 0 509
07.12.2015 Broadcom Corp 2 50 SH COM 0 0 50
20.01.2017 iShares Core MSCI EAFE 1 25 SH ETF 0 0 25
07.01.2021 Enphase Energy Inc 24 134 SH COM 0 0 134
10.07.2019 WisdomTree India Earnings ETF 1058 40595 SH ETF 0 0 40595
20.01.2017 Constellation Brands Inc 46 300 SH COM 0 0 300
08.04.2019 MERCK & CO. INC. 103 1246 SH COM 0 0 1246
11.04.2016 iShares Global Timber & Forestry 2 50 SH ETF 0 0 50
06.04.2018 MasterCard Inc 166 950 SH COM 0 0 950
08.10.2019 iShares Russell 3000 1541 8870 SH ETF 0 0 8870
07.01.2021 Zynga Inc Class A 13 1333 SH COM 0 0 1333
10.04.2020 Pentair Plc 2 77 SH COM 0 0 77
04.12.2015 Starbucks Corp 65 1148 SH COM 0 0 1148
05.04.2017 Valero Energy Partners LP 7 150 SH COM 0 0 150
10.07.2019 Goldman Sachs ActiveBeta US LgCp Eq ETF 4 76 SH ETF 0 0 76
10.07.2019 Exxon Mobil Corporation 219 2858 SH COM 0 0 2858
12.07.2018 iShares Gold Trust 7722 642451 SH ETF 0 0 642451
30.10.2018 iPath DJ-UBS Commodity Index TR ETN 24 1010 SH ETN 0 0 1010
10.01.2019 iShares Russell Mid-Cap Value 4 48 SH ETF 0 0 48
10.01.2019 Conformis Inc 0 140 SH COM 0 0 140
14.10.2016 Teva Pharmaceutical Industries Ltd 3 66 SH ADR 0 0 66
15.01.2020 PepsiCo Inc 4 28 SH COM 0 0 28
15.01.2020 Guggenheim S&P 500A Equal Weight 3 30 SH ETF 0 0 30
11.04.2016 Google Inc 18 24 SH COM 0 0 24
12.07.2018 AMGEN INC. 0 2 SH COM 0 0 2
05.04.2017 Ishares Silver Trust 104 6053 SH ETF 0 0 6053
19.07.2016 iShares Floating Rate Bond 3 55 SH ETF 0 0 55
30.10.2018 Duke Energy Corporation 19 233 SH COM 0 0 233
03.02.2016 Mallinckrodt PLC 0 1 SH SHS 0 0 1
10.01.2019 PNC Financial Services Group Inc 36 308 SH COM 0 0 308
05.04.2017 iShares MSCI Emerging Markets 11 282 SH ETF 0 0 282
17.07.2017 iShares S&P 100 Index Fund CBOE 174 1630 SH ETF 0 0 1630
10.04.2020 iShares Global Timber & Forestry 2 50 SH ETF 0 0 50
07.01.2021 iShares Core S&P 500 32 84 SH ETF 0 0 84
08.10.2019 Thor Industries Inc 19 334 SH COM 0 0 334
07.12.2015 iShares MSCI Glbl Agriculture Producers 2 96 SH ETF 0 0 96
14.10.2016 Digital Realty Trust Inc 3 29 SH COM 0 0 29
08.04.2019 American Electric Power Co Inc 42 511 SH COM 0 0 511
07.12.2015 American Electric Power Co Inc 29 511 SH COM 0 0 511
07.01.2021 Groupon Inc 0 4 SH COM 0 0 4
05.10.2017 Real Estate Select Sector SPDR 0 2 SH ETF 0 0 2
07.12.2015 Ishares S&P GSCI Commodity-Indexed Trust 15 775 SH ETF 0 0 775
10.01.2019 DUNKIN BRANDS GROUP INC 3 43 SH COM 0 0 43
17.07.2017 Microsoft Corp 228 3309 SH COM 0 0 3309
16.10.2020 CSX Corp 2 32 SH COM 0 0 32
07.12.2015 PowerShares Cleantech 0 5 SH ETF 0 0 5
18.01.2018 Amphastar Pharmaceuticals Inc Del Com 2 100 SH COM 0 0 100
30.10.2018 Invesco QQQ Trust 17529 94348 SH UNIT SER 1 0 0 94348
17.07.2017 APPLE INC. 297 2059 SH COM 0 0 2059
12.07.2018 GILEAD SCIENCES INC. 9 126 SH COM 0 0 126
19.07.2016 CATERPILLAR INC. 4 54 SH COM 0 0 54
16.10.2020 Smith & Wesson Brands Inc 6 400 SH COM 0 0 400
12.07.2018 iShares MSCI Glbl Agriculture Producers 3 96 SH ETF 0 0 96
19.07.2016 Vanguard FTSE Developed Markets ETF 24 678 SH ETF 0 0 678
17.07.2017 Vanguard FTSE Developed Markets ETF 38 928 SH ETF 0 0 928
10.04.2020 Parker Hannifin Corp 1 4 SH COM 0 0 4
16.10.2020 Vanguard Total Stock Market ETF 229 1343 SH ETF 0 0 1343
05.10.2017 Vanguard FTSE Developed Markets ETF 40 928 SH ETF 0 0 928
17.07.2017 Market Vectors Agribusiness ETF 22 395 SH ETF 0 0 395
05.04.2017 Newmont Mining Corp 106 3220 SH COM 0 0 3220
18.01.2018 Nu Skin Enterprises Inc Class A 0 6 SH COM 0 0 6
06.04.2018 Kohl s Corp 0 7 SH COM 0 0 7
19.07.2016 CHEVRON CORPORATION 109 1044 SH COM 0 0 1044
11.04.2016 Cisco Systems Inc 2 70 SH COM 0 0 70
12.07.2018 Constellation Brands Inc 66 300 SH COM 0 0 300
15.01.2020 ASTRAZENECA PLC -SPONS ADR 5 100 SH ADR 0 0 100
14.10.2016 Eastman Chemical Co 24 350 SH COM 0 0 350
16.10.2020 Westinghouse Air Brake Technologies Corp 0 1 SH COM 0 0 1
19.07.2016 Visa Inc 4 60 SH COM 0 0 60
19.07.2016 Ford Motor Company 25 2000 SH COM 0 0 2000
31.03.2021 DNP Select Income Common 52 5294 SH COM 0 0 5294
15.01.2020 iShares S&P Small-Cap 600 Growth 5 25 SH ETF 0 0 25
10.04.2020 United Technologies Corporation 18 187 SH COM 0 0 187
08.10.2019 Becton Dickinson & Co 15 60 SH COM 0 0 60
06.04.2018 iShares Gold Trust 8086 635164 SH ETF 0 0 635164
17.07.2017 American Electric Power Co Inc 35 511 SH COM 0 0 511
18.01.2018 APPLE INC. 390 2307 SH COM 0 0 2307
08.04.2019 Agnico Eagle Mines Ltd 27 640 SH COM 0 0 640
05.10.2017 CME Group Inc/IL 2 17 SH COM 0 0 17
06.04.2018 Wal-Mart Stores Inc 33 374 SH COM 0 0 374
07.01.2021 Invesco QQQ Trust 23225 74026 SH UNIT SER 1 0 0 74026
19.07.2016 Vanguard Dividend Apprec Idx ETF 28 331 SH ETF 0 0 331
05.10.2017 iShares 7-10 Year Treasury Bond 6779 63643 SH ETF 0 0 63643
04.12.2015 Biota Pharmaceuticals Inc 0 3 SH COM 0 0 3
04.12.2015 Valero Energy Partners LP 13 300 SH COM 0 0 300
08.04.2019 Berkshire Hathaway Inc 40 200 SH COM 0 0 200
04.12.2015 iShares Gold Trust 3149 292131 SH ETF 0 0 292131
05.10.2017 Automatic Data Processing 133 1215 SH COM 0 0 1215
30.10.2018 CVS CAREMARK CORPORATION 13 170 SH COM 0 0 170
08.10.2019 Hershey Co 14 91 SH COM 0 0 91
03.02.2016 Bristol-Myers Squibb Company 84 1225 SH COM 0 0 1225
17.07.2017 Rockwell Collins Inc 57 546 SH COM 0 0 546
10.01.2019 Cree Inc 1 32 SH COM 0 0 32
12.07.2018 iShares US Home Construction 8 200 SH ETF 0 0 200
17.07.2017 Procter & Gamble Co 13 150 SH COM 0 0 150
08.04.2019 SPDR S&P 500 ETF 42860 151730 SH ETF 0 0 151730
20.01.2017 Guggenheim BulletShrs 2017 Corp Bd ETF 544 24067 SH ETF 0 0 24067
05.10.2017 Fitbit Inc Cl A 0 60 SH COM 0 0 60
10.04.2020 Twitter Inc 1 27 SH COM 0 0 27
10.07.2019 Rockwell Automation Inc 41 248 SH COM 0 0 248
14.10.2016 Kimberly-Clark Corp 1 10 SH COM 0 0 10
11.04.2016 Washington REIT 15 500 SH COM 0 0 500
03.02.2016 Manulife Financial Corporation 4 270 SH COM 0 0 270
30.10.2018 Eaton Vance Corp 42 800 SH COM 0 0 800
10.04.2020 Stratasys Ltd 2 100 SH COM 0 0 100
16.10.2020 Ameriprise Financial Inc 26 167 SH COM 0 0 167
30.10.2018 Microsoft Corp 392 3423 SH COM 0 0 3423
10.01.2019 Amphastar Pharmaceuticals Inc Del Com 2 100 SH COM 0 0 100
10.04.2020 Badger Meter Inc 187 3492 SH COM 0 0 3492
05.10.2017 BP PLC 65 1702 SH ADR 0 0 1702
10.04.2020 First Trust Health Care AlphaDEX 12 161 SH ETF 0 0 161
16.10.2020 iShares S&P 100 Index Fund CBOE 105 677 SH ETF 0 0 677
16.10.2020 Facebook Inc 82 312 SH COM 0 0 312
08.10.2019 Lockheed Martin Corp 318 814 SH COM 0 0 814
31.03.2021 Ishares Silver Trust 142 6253 SH ETF 0 0 6253
11.04.2016 SolarCity Corp 5 210 SH COM 0 0 210
10.01.2019 iShares Core S&P Mid-Cap 2 15 SH ETF 0 0 15
14.10.2016 Constellation Brands Inc 50 300 SH COM 0 0 300
12.07.2018 iShares Floating Rate Bond 3 55 SH ETF 0 0 55
08.07.2020 NETFLIX INC. 8 17 SH COM 0 0 17
04.12.2015 WisdomTree Europe Hedged Equity ETF 671 12270 SH ETF 0 0 12270
08.10.2019 H&R Block Inc 10 406 SH COM 0 0 406
04.12.2015 PowerShares DB Commodity Index Tracking 5 300 SH ETF 0 0 300
04.12.2015 Schlumberger NV 11 165 SH COM 0 0 165
04.12.2015 CHEVRON CORPORATION 82 1044 SH COM 0 0 1044
18.01.2018 Domino s Pizza Inc 5 27 SH COM 0 0 27
05.04.2017 SPDR S&P MidCap 400 1621 5188 SH ETF 0 0 5188
15.01.2020 McCormick & Company Inc 464 2711 SH COM 0 0 2711
11.04.2016 Guggenheim BulletShrs 2018 Corp Bd ETF 2911 137815 SH ETF 0 0 137815
14.10.2016 Materials Select Sector SPDRA 1 18 SH ETF 0 0 18
14.10.2016 PacWest Bancorp 1 22 SH COM 0 0 22
08.07.2020 CHEVRON CORPORATION 66 738 SH COM 0 0 738
08.04.2019 Chipotle Mexican Grill Inc 7 11 SH COM 0 0 11
05.10.2017 Texas Instruments Inc 53 594 SH COM 0 0 594
08.04.2019 McCormick & Company Inc 1069 7103 SH COM 0 0 7103
08.07.2020 iShares US Home Construction 9 200 SH ETF 0 0 200
07.12.2015 Eastman Chemical Co 24 350 SH COM 0 0 350
16.10.2020 New Age Beverages Corp 0 100 SH COM 0 0 100
03.02.2016 Southwest Airlines Co 3 65 SH COM 0 0 65
10.07.2019 Frontier Communications Corp 0 32 SH COM 0 0 32
07.12.2015 Rockwell Automation Inc 50 429 SH COM 0 0 429
11.04.2016 Qualcomm Inc 77 1510 SH COM 0 0 1510
04.12.2015 Dominion Resources Inc 9 125 SH COM 0 0 125
05.10.2017 US Geothermal Inc 1 150 SH COM 0 0 150
18.01.2018 Coca-Cola Co 82 1798 SH COM 0 0 1798
07.01.2021 Marriott International Inc 6 43 SH COM 0 0 43
30.10.2018 First Trust ISE Chindia Idx 13 381 SH ETF 0 0 381
15.01.2020 WisdomTree Dividend ex-Financials 5797 62675 SH ETF 0 0 62675
10.07.2019 BB&T Corp 6 130 SH COM 0 0 130
12.07.2018 Nutrien Ltd 1011 18598 SH COM 0 0 18598
10.07.2019 Annaly Capital Management Inc 2349 257288 SH COM 0 0 257288
07.12.2015 Consumer Discret Select Sector SPDR 3 45 SH ETF 0 0 45
08.10.2019 FedEx Corp 3 20 SH COM 0 0 20
20.01.2017 HSBC Holdings PLC 212 5280 SH ADR 0 0 5280
30.10.2018 Johnson Controls Inc 0 9 SH COM 0 0 9
17.07.2017 McCormick & Company Inc 692 7098 SH COM 0 0 7098
31.03.2021 NIO INC ADS REPSTG CL A ORD SHS 4 100 SH SPON ADS 0 0 100
30.10.2018 CBS Corp 71 1242 SH COM 0 0 1242
16.10.2020 Energy Transfer Equity LP 1 227 SH COM 0 0 227
06.04.2018 Deere & Co 5 29 SH COM 0 0 29
10.07.2019 Goldman Sachs Group Inc 2 12 SH COM 0 0 12
31.03.2021 Invesco Cleantech ETF 0 5 SH ETF 0 0 5
07.01.2021 Ford Motor Company 18 2000 SH COM 0 0 2000
11.04.2016 iPath DJ-UBS Cotton TR Sub-Idx ETN 27 700 SH ETN 0 0 700
07.12.2015 iShares US Home Construction 6 200 SH ETF 0 0 200
30.10.2018 Washington REIT 15 500 SH COM 0 0 500
10.07.2019 Market Vectors Junior Gold Miners ETF 10 300 SH ETF 0 0 300
04.12.2015 Godaddy Inc 1 38 SH COM 0 0 38
30.10.2018 SunCoke Energy Inc 1 119 SH COM 0 0 119
15.01.2020 Nutrien Ltd 1 12 SH COM 0 0 12
10.04.2020 MetLife Inc 3 93 SH COM 0 0 93
10.04.2020 Ansys Inc 1 4 SH COM 0 0 4
05.10.2017 iShares Global Timber & Forestry 3 50 SH ETF 0 0 50
18.01.2018 Aetna Inc 0 1 SH COM 0 0 1
30.10.2018 The Scotts Miracle Gro Co 4 46 SH COM 0 0 46
11.04.2016 PNC Financial Services Group Inc 26 308 SH COM 0 0 308
06.04.2018 Taiwan Semiconductor Manufacturing Co Ltd 1 24 SH ADR 0 0 24
16.10.2020 SPDR Dow Jones Industrial Average 10 36 SH ETF 0 0 36
08.10.2019 Freeport-McMoran Copper & Gold 28 2909 SH COM 0 0 2909
03.02.2016 Cameco Corp 33 2670 SH COM 0 0 2670
15.01.2020 PNC Financial Services Group Inc 49 308 SH COM 0 0 308
10.04.2020 General Mills Inc 51 960 SH COM 0 0 960
06.04.2018 Conformis Inc 0 140 SH COM 0 0 140
11.04.2016 ADT Corp 0 5 SH COM 0 0 5
10.01.2019 Brown-Forman Corp 2 45 SH COM 0 0 45
17.07.2017 Dominion Resources Inc 10 125 SH COM 0 0 125
10.07.2019 Ford Motor Company 20 2000 SH COM 0 0 2000
07.12.2015 ETFS Physical Palladium Shares 7 100 SH ETF 0 0 100
08.10.2019 iShares Core Dividend Growth 11 270 SH ETF 0 0 270
15.01.2020 Vodafone Group PLC 1 40 SH ADR 0 0 40
07.12.2015 Viacom Inc 32 475 SH COM 0 0 475
05.04.2017 CATERPILLAR INC. 5 54 SH COM 0 0 54
10.07.2019 CBS Corp 62 1242 SH COM 0 0 1242
10.07.2019 GILEAD SCIENCES INC. 9 126 SH COM 0 0 126
05.04.2017 Aetna Inc 0 1 SH COM 0 0 1
03.02.2016 Procter & Gamble Co 16 202 SH COM 0 0 202
10.07.2019 iPath Bloomberg Cotton SubTR ETN 30 700 SH ETN 0 0 700
08.10.2019 Pure Storage Inc 19 1150 SH COM 0 0 1150
16.10.2020 Guggenheim S&P 500 Pure Growth ETF 42 299 SH ETF 0 0 299
11.04.2016 Prothena Corp PLC 0 1 SH SHS 0 0 1
08.10.2019 Groupon Inc 0 80 SH COM 0 0 80
10.01.2019 WisdomTree Dividend ex-Financials 5316 69058 SH ETF 0 0 69058
08.10.2019 Teradyne Inc 2 40 SH COM 0 0 40
06.04.2018 Blackhawk Network Holdings Inc A 0 1 SH COM 0 0 1
05.04.2017 Vanguard Mid-Cap Growth ETF 6 50 SH ETF 0 0 50
05.10.2017 American Express Co 2 20 SH COM 0 0 20
05.10.2017 lowes companies incorporated 2 30 SH COM 0 0 30
04.12.2015 iShares Russell Mid-Cap Value 33 488 SH ETF 0 0 488
03.02.2016 iShares Core S&P Total US Stock Mkt 3 35 SH ETF 0 0 35
11.04.2016 Stryker Corporation 21 200 SH COM 0 0 200
16.10.2020 iShares US Real Estate 13 158 SH ETF 0 0 158
10.04.2020 iShares 7-10 Year Treasury Bond 27 220 SH ETF 0 0 220
08.07.2020 Schlumberger NV 5 265 SH COM 0 0 265
08.10.2019 Ameren Corp 331 4138 SH COM 0 0 4138
30.10.2018 Rio Tinto PLC ADR 3 68 SH ADR 0 0 68
10.04.2020 Sotherly Hotels Inc 8 5291 SH COM 0 0 5291
07.01.2021 General Mills Inc 56 960 SH COM 0 0 960
04.12.2015 Kraft Heinz Co 4 50 SH COM 0 0 50
30.10.2018 SPDR Gold Shares 7 65 SH ETF 0 0 65
08.07.2020 Accenture PLC 25 117 SH SHS 0 0 117
08.10.2019 CME Group IncIL 4 17 SH COM 0 0 17
06.04.2018 Godaddy Inc 7 114 SH COM 0 0 114
16.10.2020 iShares MSCI KLD 400 Social ETF 279 2183 SH ETF 0 0 2183
04.12.2015 Cameco Corp 32 2670 SH COM 0 0 2670
30.10.2018 Express Scripts 84 882 SH COM 0 0 882
07.12.2015 Financial Select Sector SPDR 0 18 SH ETF 0 0 18
10.01.2019 Thor Industries Inc 17 334 SH COM 0 0 334
16.10.2020 Procter & Gamble Co 3 25 SH COM 0 0 25
03.02.2016 Alcatel-Lucent Sponsored Adr Exchanged From Cusip 0 65 SH ADR 0 0 65
12.07.2018 Micro Focus International PLC 0 4 SH ADR 0 0 4
10.07.2019 Arconic Inc 196 7600 SH COM 0 0 7600
08.07.2020 Facebook Inc 71 312 SH COM 0 0 312
10.01.2019 SPDR S&P MidCap 400 1514 5001 SH ETF 0 0 5001
16.10.2020 McDonald s Corp 23 104 SH COM 0 0 104
31.03.2021 Magellan Midstream Partners L.P. 13 300 SH COM 0 0 300
31.03.2021 Brown-Forman Corp 3 45 SH COM 0 0 45
05.04.2017 Chipotle Mexican Grill Inc 11 24 SH COM 0 0 24
10.04.2020 Consumer Discret Select Sector SPDRA 6 60 SH SBI CONS DISCR 0 0 60
16.10.2020 lowes companies incorporated 34 205 SH COM 0 0 205
11.04.2016 Goldcorp Inc 1080 66520 SH COM 0 0 66520
14.10.2016 Shake Shack Inc 2 50 SH COM 0 0 50
17.07.2017 Health Care Select Sector SPDR 2155 27192 SH ETF 0 0 27192
12.07.2018 Citigroup Inc 0 1 SH COM 0 0 1
07.12.2015 Industrial Select Sector SPDR 6 100 SH ETF 0 0 100
18.01.2018 iShares Core S&P Small-Cap 16 207 SH ETF 0 0 207
15.01.2020 Vanguard Short-Term Corporate Bond ETF 9754 120376 SH ETF 0 0 120376
08.07.2020 First Trust ISE Chindia Idx 15 381 SH ETF 0 0 381
18.01.2018 GlaxoSmithKline PLC 2 60 SH ADR 0 0 60
10.04.2020 GW Pharmaceuticals PLC 2 25 SH ADS 0 0 25
05.10.2017 UNITED TECHNOLOGIES CORPORATION 28 244 SH COM 0 0 244
08.04.2019 Builders FirstSource Inc 18 1400 SH COM 0 0 1400
14.10.2016 Guggenheim BulletShrs 2019 Corp Bd ETF 1954 91301 SH ETF 0 0 91301
10.07.2019 Avago Technologies Ltd 9 33 SH COM 0 0 33
07.01.2021 Costco Wholesale Corp 64 169 SH COM 0 0 169
18.01.2018 Advanced Battery Technologies Inc 0 30 SH COM 0 0 30
06.04.2018 Micro Focus International PLC 0 4 SH ADR 0 0 4
30.10.2018 Iqvia Hldgs Inc 3 25 SH COM 0 0 25
08.04.2019 NOVARTIS AG-ADR 2 21 SH ADR 0 0 21
16.10.2020 SPDR S&P MidCap 400 1416 4180 SH ETF 0 0 4180
14.10.2016 Cognizant Technology Solutions Corp 10 200 SH COM 0 0 200
12.07.2018 Guggenheim S&P 500 Eq Wt Technology ETF 12 73 SH ETF 0 0 73
31.03.2021 iShares MSCI Singapore ETF 28 1200 SH ETF 0 0 1200
03.02.2016 PowerShares Insured National Muni Bond 1 50 SH ETF 0 0 50
03.02.2016 iShares MSCI Emerging Markets 9 282 SH ETF 0 0 282
05.04.2017 MPLX LP 3 87 SH COM 0 0 87
14.10.2016 Altria Group Inc 16 250 SH COM 0 0 250
15.01.2020 iShares Core MSCI EAFE 6865 105227 SH ETF 0 0 105227
12.07.2018 American Express Co 2 20 SH COM 0 0 20
17.07.2017 Chesapeake Energy Corp 0 48 SH COM 0 0 48
14.10.2016 Vanguard Dividend Apprec Idx ETF 28 331 SH ETF 0 0 331
17.07.2017 Boeing Co 5 25 SH COM 0 0 25
11.04.2016 Thor Industries Inc 21 334 SH COM 0 0 334
20.01.2017 Chipotle Mexican Grill Inc 9 24 SH COM 0 0 24
31.03.2021 Hilton Worldwide Holdings Inc 31 255 SH COM 0 0 255
31.03.2021 Garmin Ltd 53 400 SH SHS 0 0 400
06.04.2018 iShares Core MSCI Emerging Markets 1084 18566 SH ETF 0 0 18566
08.10.2019 Automatic Data Processing 196 1215 SH COM 0 0 1215
04.12.2015 Morgan Stanley 3 100 SH COM 0 0 100
17.07.2017 Mallinckrodt PLC 0 1 SH SHS 0 0 1
08.04.2019 PowerShares DB Commodity Index Tracking 4 300 SH ETF 0 0 300
07.12.2015 Avago Technologies Ltd 6 50 SH SHS 0 0 50
14.10.2016 iShares S&P 100 Index Fund CBOE 298 3105 SH ETF 0 0 3105
08.07.2020 Washington REIT 9 400 SH COM 0 0 400
08.07.2020 Schwab Fundamental US Small Company ETF 1 26 SH ETF 0 0 26
16.10.2020 Nuveen MD Premium Income Muni Common 17 1310 SH COM 0 0 1310
20.01.2017 iShares S&P 500 Value ETF 4 35 SH ETF 0 0 35
08.10.2019 American Electric Power Co Inc 57 611 SH COM 0 0 611
06.04.2018 Realty Income Corp 21 400 SH COM 0 0 400
07.01.2021 iShares MSCI Singapore ETF 26 1200 SH ETF 0 0 1200
19.07.2016 Market Vectors Gold Miners ETF 36 1300 SH ETF 0 0 1300
10.07.2019 iShares 7-10 Year Treasury Bond 54 495 SH ETF 0 0 495
14.10.2016 Enterprise Products Partners LP 15 528 SH COM 0 0 528
06.04.2018 CDK Global Inc 44 699 SH COM 0 0 699
04.12.2015 Industrial Select Sector SPDR 5 100 SH ETF 0 0 100
17.07.2017 Kohl s Corp 0 7 SH COM 0 0 7
12.07.2018 iShares Global Timber & Forestry 4 50 SH ETF 0 0 50
30.10.2018 PowerShares Cleantech 0 5 SH ETF 0 0 5
05.04.2017 STMicroelectronics NV 1 80 SH COM 0 0 80
10.04.2020 Eastman Chemical Co 16 350 SH COM 0 0 350
30.10.2018 Align Technology Inc 49 125 SH COM 0 0 125
03.02.2016 Pfizer Inc 12 374 SH COM 0 0 374
12.07.2018 CATERPILLAR INC. 7 54 SH COM 0 0 54
10.07.2019 Altria Group Inc 12 250 SH COM 0 0 250
05.04.2017 PNC Financial Services Group Inc 37 308 SH COM 0 0 308
05.10.2017 ConocoPhillips 6 117 SH COM 0 0 117
16.10.2020 iShares MBS 95 865 SH ETF 0 0 865
20.01.2017 Market Vectors Russia ETF 1 68 SH ETF 0 0 68
03.02.2016 iShares Select Dividend 44 588 SH ETF 0 0 588
15.01.2020 iShares Select Dividend 79 748 SH ETF 0 0 748
06.04.2018 DISNEY WALT COMPANY 252 2510 SH COM 0 0 2510
04.12.2015 Broadcom Corp 3 50 SH COM 0 0 50
10.01.2019 iShares Core US Aggregate Bond 153 1434 SH ETF 0 0 1434
05.10.2017 Domino s Pizza Inc 5 27 SH COM 0 0 27
12.07.2018 Stericycle Inc 13 200 SH COM 0 0 200
10.01.2019 Arotech Corp 1 300 SH COM 0 0 300
17.07.2017 Cisco Systems Inc 2 55 SH COM 0 0 55
05.04.2017 Aviragen Therapeutics Inc 0 3 SH COM 0 0 3
10.07.2019 Automatic Data Processing 201 1215 SH COM 0 0 1215
15.01.2020 Guggenheim S&P 500 Pure Growth ETF 38 299 SH ETF 0 0 299
08.10.2019 Arconic Inc 198 7600 SH COM 0 0 7600
30.10.2018 Realty Income Corp 23 400 SH COM 0 0 400
12.07.2018 Cognizant Technology Solutions Corp 16 200 SH COM 0 0 200
08.04.2019 iShares MSCI ACWI ex US ETF 88 1910 SH ETF 0 0 1910
16.10.2020 Alpha Pro Tech Ltd 1 100 SH COM 0 0 100
31.03.2021 Vanguard Value ETF 54 412 SH ETF 0 0 412
05.10.2017 XPO Logistics Inc 7 100 SH COM 0 0 100
19.07.2016 GENERAL ELECTRIC COMPANY 20 631 SH COM 0 0 631
08.10.2019 CVS CAREMARK CORPORATION 13 213 SH COM 0 0 213
14.10.2016 Ishares Silver Trust 110 6053 SH ETF 0 0 6053
10.04.2020 iShares Tr MSCI USA MinVolatility 19423 359622 SH ETF 0 0 359622
19.07.2016 First Trust Health Care AlphaDEX 14 231 SH ETF 0 0 231
18.01.2018 Ishares S&P GSCI Commodity-Indexed Trust 13 775 SH ETF 0 0 775
08.07.2020 TE Connectivity Ltd 1 10 SH SHS 0 0 10
19.07.2016 JPMorgan Alerian MLP ETN 17 535 SH ETN 0 0 535
06.04.2018 Kimberly-Clark Corp 1 10 SH COM 0 0 10
19.07.2016 iShares MSCI Eurozone 3 92 SH ETF 0 0 92
30.10.2018 Ford Motor Company 22 2385 SH COM 0 0 2385
19.07.2016 Smith & Wesson Holding Corporation 11 408 SH COM 0 0 408
11.04.2016 Bristol-Myers Squibb Company 40 625 SH COM 0 0 625
06.04.2018 PowerShares Insured National Muni Bond 1 50 SH ETF 0 0 50
03.02.2016 H&R Block Inc 14 406 SH COM 0 0 406
08.10.2019 Amazon.com Inc 35 20 SH COM 0 0 20
07.12.2015 Prudential Financial Inc 1 11 SH COM 0 0 11
08.07.2020 Guggenheim S&P 500 Top 50 ETF 24 100 SH ETF 0 0 100
15.01.2020 Analog Devices Inc 5 45 SH COM 0 0 45
20.01.2017 Vanguard European Stock Index ETF 8 165 SH ETF 0 0 165
12.07.2018 iShares S&P 500 Value ETF 6 50 SH ETF 0 0 50
19.07.2016 Cognizant Technology Solutions Corp 11 200 SH COM 0 0 200
14.10.2016 iShares DJ US Total Market Index 5952 54844 SH ETF 0 0 54844
18.01.2018 PowerShares S&P Intl Dev Low Volatil ETF 3 99 SH ETF 0 0 99
08.07.2020 Johnson Controls Inc 0 9 SH COM 0 0 9
10.07.2019 Aflac Inc 22 400 SH COM 0 0 400
19.07.2016 Exxon Mobil Corporation 310 3309 SH COM 0 0 3309
19.07.2016 Diamond Offshore Drilling Inc 16 660 SH COM 0 0 660
10.07.2019 Ishares Silver Trust 87 6053 SH ETF 0 0 6053
08.07.2020 SPDR S&P 500 Growth 44 971 SH ETF 0 0 971
17.07.2017 Berkshire Hathaway Inc 34 200 SH COM 0 0 200
11.04.2016 Valero Energy Corp 2 25 SH COM 0 0 25
12.07.2018 PowerShares Insured National Muni Bond 1 50 SH ETF 0 0 50
16.10.2020 Consumer Staples Select Sector SPDRA 71 1100 SH SBI CONS STPLS 0 0 1100
16.10.2020 Bed Bath & Beyond Inc 10 667 SH COM 0 0 667
18.01.2018 Builders FirstSource Inc 31 1400 SH COM 0 0 1400
08.07.2020 Stericycle Inc 11 200 SH COM 0 0 200
19.07.2016 Conformis Inc 2 240 SH COM 0 0 240
10.07.2019 Eastman Chemical Co 27 350 SH COM 0 0 350
15.01.2020 ALPS Alerian MLP ETF 9 1099 SH ETF 0 0 1099
06.04.2018 SunCoke Energy Inc 1 119 SH COM 0 0 119
18.01.2018 Express Scripts 66 882 SH COM 0 0 882
17.07.2017 Vodafone Group PLC 1 40 SH ADR 0 0 40
30.10.2018 Market Vectors Agribusiness ETF 26 395 SH ETF 0 0 395
08.07.2020 Prothena Corp PLC 0 1 SH SHS 0 0 1
11.04.2016 Ishares S&P GSCI Commodity-Indexed Trust 11 775 SH ETF 0 0 775
08.10.2019 PIMCO Enhanced Short Maturity ETF 7611 74819 SH ETF 0 0 74819
15.01.2020 Prothena Corp PLC 0 1 SH SHS 0 0 1
08.10.2019 iPath DJ-UBS Commodity Index TR ETN 22 1010 SH ETN 0 0 1010
05.10.2017 Valero Energy Partners LP 7 150 SH COM 0 0 150
18.01.2018 PacWest Bancorp 1 22 SH COM 0 0 22
07.01.2021 Prudential Financial Inc 6 76 SH COM 0 0 76
31.03.2021 Amazon.com Inc 158 51 SH COM 0 0 51
11.04.2016 First Trust Health Care AlphaDEX 13 231 SH ETF 0 0 231
07.12.2015 Prothena Corp PLC 0 1 SH SHS 0 0 1
08.07.2020 Vanguard Value ETF 8 79 SH ETF 0 0 79
07.01.2021 iShares MSCI ACWI ex US ETF 128 2410 SH ETF 0 0 2410
11.04.2016 Market Vectors Gold Miners ETF 26 1300 SH ETF 0 0 1300
14.10.2016 Guggenheim BulletShrs 2018 Corp Bd ETF 2982 139852 SH ETF 0 0 139852
19.07.2016 Ishares S&P GSCI Commodity-Indexed Trust 12 775 SH ETF 0 0 775
18.01.2018 Sun Life Financial Inc 57 1377 SH COM 0 0 1377
10.07.2019 Resideo Technologies Inc 0 2 SH COM 0 0 2
30.10.2018 Exelon Corp 23 516 SH COM 0 0 516
10.01.2019 PPL Corp 26 929 SH COM 0 0 929
07.12.2015 CBS Corp 75 1242 SH COM 0 0 1242
16.10.2020 iShares Core MSCI Total Intl Stk 4 60 SH ETF 0 0 60
04.12.2015 Avago Technologies Ltd 6 50 SH SHS 0 0 50
07.01.2021 TE Connectivity Ltd 1 10 SH SHS 0 0 10
07.01.2021 NIKE INC 7 51 SH COM 0 0 51
05.04.2017 CELGENE CORP 22 180 SH COM 0 0 180
10.04.2020 NETFLIX INC. 6 17 SH COM 0 0 17
07.01.2021 Vanguard European Stock Index ETF 10 165 SH ETF 0 0 165
07.12.2015 H&R Block Inc 13 406 SH COM 0 0 406
31.03.2021 iShares Aaa - A Rated Corporate Bond ETF 4896 88335 SH ETF 0 0 88335
17.07.2017 Powershares QQQ Trust 16575 120422 SH ETF 0 0 120422
10.04.2020 Industrial Select Sector SPDRA 4 60 SH SBI INT-INDS 0 0 60
08.04.2019 Vanguard Short-Term Corporate Bond ETF 8790 110206 SH ETF 0 0 110206
04.12.2015 SAP SE ADR 6 100 SH ADR 0 0 100
08.04.2019 Alphabet Inc A 9 8 SH COM 0 0 8
04.12.2015 Nuveen MD Premium Income Muni Common 16 1310 SH COM 0 0 1310
10.01.2019 Pentair Plc 3 77 SH COM 0 0 77
20.01.2017 Ameriprise Financial Inc 19 167 SH COM 0 0 167
20.01.2017 Abbvie Inc 13 200 SH COM 0 0 200
30.10.2018 Raytheon Co 11 51 SH COM 0 0 51
31.03.2021 Badger Meter Inc 194 2082 SH COM 0 0 2082
20.01.2017 Domino s Pizza Inc 4 27 SH COM 0 0 27
16.10.2020 Market Vectors Agribusiness ETF 27 395 SH ETF 0 0 395
10.07.2019 Advanced Battery Technologies Inc 0 30 SH COM 0 0 30
08.10.2019 MERCK & CO. INC. 118 1396 SH COM 0 0 1396
19.07.2016 iShares Gold Trust 4379 343151 SH ETF 0 0 343151
15.01.2020 iShares Core MSCI Emerging Markets 1583 29448 SH ETF 0 0 29448
31.03.2021 Microsoft Corp 665 2820 SH COM 0 0 2820
31.03.2021 MFAM Small-Cap Growth ETF 25 667 SH ETF 0 0 667
10.04.2020 Stryker Corporation 33 200 SH COM 0 0 200
19.07.2016 Lyondellbasell Industries NV 2 27 SH COM 0 0 27
10.07.2019 Dollar General Corp 14 100 SH COM 0 0 100
07.01.2021 Real Estate Select Sector SPDR 0 2 SH ETF 0 0 2
15.01.2020 Invesco Financial Preferred ETF 16 850 SH ETF 0 0 850
10.04.2020 Amphastar Pharmaceuticals Inc Del Com 1 100 SH COM 0 0 100
15.01.2020 Cree Inc 1 32 SH COM 0 0 32
31.03.2021 Deere & Co 11 29 SH COM 0 0 29
04.12.2015 ASTRAZENECA PLC -SPONS ADR 3 100 SH ADR 0 0 100
05.04.2017 iShares Core MSCI Emerging Markets 703 14715 SH ETF 0 0 14715
05.10.2017 Godaddy Inc 5 114 SH COM 0 0 114
17.07.2017 iShares Select Dividend 54 588 SH ETF 0 0 588
06.04.2018 AMGEN INC. 0 2 SH COM 0 0 2
08.04.2019 Medifast Inc 1 15 SH COM 0 0 15
08.04.2019 Rockwell Automation Inc 43 248 SH COM 0 0 248
14.10.2016 Schlumberger NV 13 165 SH COM 0 0 165
05.10.2017 CBS Corp 72 1242 SH COM 0 0 1242
20.01.2017 Johnson and Johnson 47 407 SH COM 0 0 407
18.01.2018 JPMorgan Chase & Co 9 82 SH COM 0 0 82
08.07.2020 Hershey Co 116 893 SH COM 0 0 893
06.04.2018 Nordstrom Inc 2 45 SH COM 0 0 45
11.04.2016 iShares DJ US Total Market Index 5643 55046 SH ETF 0 0 55046
08.04.2019 Frontier Communications Corp 0 32 SH COM 0 0 32
19.07.2016 iShares Russell 2000 1671 14530 SH ETF 0 0 14530
18.01.2018 Visa Inc 15 135 SH COM 0 0 135
16.10.2020 iShares S&P Small-Cap 600 Growth 4 25 SH ETF 0 0 25
16.10.2020 Ishares S&P GSCI Commodity-Indexed Trust 8 775 SH ETF 0 0 775
18.01.2018 Vanguard Emerging Markets Stock Idx ETF 1 30 SH ETF 0 0 30
18.01.2018 Schwab US Large-Cap Growth ETF 21 302 SH ETF 0 0 302
11.04.2016 iShares S&P 100 Index Fund CBOE 284 3105 SH ETF 0 0 3105
15.01.2020 Synopsys Inc 0 3 SH COM 0 0 3
10.04.2020 Vanguard European Stock Index ETF 7 165 SH ETF 0 0 165
18.01.2018 Guggenheim BulletShrs 2020 Corp Bd ETF 50 2361 SH ETF 0 0 2361
11.04.2016 iShares Select Dividend 48 588 SH ETF 0 0 588
17.07.2017 Groupon Inc 0 80 SH COM 0 0 80
10.07.2019 DUNKIN BRANDS GROUP INC 3 43 SH COM 0 0 43
08.07.2020 NextEra Energy Inc 1 6 SH COM 0 0 6
08.04.2019 CATERPILLAR INC. 7 54 SH COM 0 0 54
05.10.2017 iShares High Dividend 3299 38388 SH ETF 0 0 38388
11.04.2016 iShares US Preferred Stock 3 80 SH ETF 0 0 80
07.01.2021 Stryker Corporation 49 200 SH COM 0 0 200
10.07.2019 MERCK & CO. INC. 117 1396 SH COM 0 0 1396
19.07.2016 HCP Inc 1 31 SH COM 0 0 31
05.10.2017 Mallinckrodt PLC 0 1 SH SHS 0 0 1
05.10.2017 GILEAD SCIENCES INC. 10 126 SH COM 0 0 126
08.07.2020 Costco Wholesale Corp 20 65 SH COM 0 0 65
07.01.2021 SPDR S&P 500 ETF 55348 148037 SH ETF 0 0 148037
07.01.2021 Market Vectors Agribusiness ETF 31 395 SH ETF 0 0 395
08.10.2019 Global Net Lease Inc 16 821 SH COM 0 0 821
07.01.2021 iShares S&P 500 Growth 109 1708 SH ETF 0 0 1708
20.01.2017 Ishares Silver Trust 91 6053 SH ETF 0 0 6053
31.03.2021 iShares S&P MidCap 400 Growth 6 72 SH ETF 0 0 72
14.10.2016 Ford Motor Company 24 2000 SH COM 0 0 2000
16.10.2020 iShares DJ US Total Market Index 3889 23336 SH ETF 0 0 23336
19.07.2016 Medtronic Inc 1 9 SH SHS 0 0 9
07.01.2021 Virgin Galactic Holdings Inc 10 401 SH COM 0 0 401
18.01.2018 iShares S&P 500 Growth 191 1252 SH ETF 0 0 1252
18.01.2018 Wells Fargo & Co 22 363 SH COM 0 0 363
10.07.2019 Omega Healthcare Investors Inc 14 384 SH COM 0 0 384
15.01.2020 Cronos Group Inc 2 200 SH COM 0 0 200
15.01.2020 Vanguard Value ETF 9 79 SH ETF 0 0 79
07.12.2015 WisdomTree Europe Hedged Equity ETF 795 12020 SH ETF 0 0 12020
19.07.2016 SPDR S&P MidCap 400 1529 5617 SH ETF 0 0 5617
05.04.2017 iShares DJ US Total Market Index 6045 51118 SH ETF 0 0 51118
08.10.2019 Real Estate Select Sector SPDR 0 2 SH ETF 0 0 2
19.07.2016 iShares S&P 100 Index Fund CBOE 288 3105 SH ETF 0 0 3105
16.10.2020 Xcel Energy Inc 45 658 SH COM 0 0 658
10.01.2019 McCormick & Company Inc 449 3236 SH COM 0 0 3236
31.03.2021 Johnson and Johnson 102 621 SH COM 0 0 621
31.03.2021 Cree Inc 3 32 SH COM 0 0 32
11.04.2016 CVS CAREMARK CORPORATION 17 160 SH COM 0 0 160
10.01.2019 Vodafone Group PLC 1 40 SH ADR 0 0 40
04.12.2015 Market Vectors Junior Gold Miners ETF 6 300 SH ETF 0 0 300
17.07.2017 Coca-Cola Co 81 1798 SH COM 0 0 1798
08.10.2019 Guggenheim S&P 500 Top 50 ETF 29 138 SH ETF 0 0 138
15.01.2020 Washington REIT 12 400 SH COM 0 0 400
07.01.2021 iShares ESG MSCI USA ETF 116 1350 SH ETF 0 0 1350
10.07.2019 WisdomTree US High Dividend ETF 7 99 SH ETF 0 0 99
06.04.2018 Newmont Mining Corp 126 3220 SH COM 0 0 3220
08.04.2019 Citigroup Inc 0 1 SH COM 0 0 1
10.07.2019 FireEye Inc 2 125 SH COM 0 0 125
07.12.2015 MERCK & CO. INC. 151 2623 SH COM 0 0 2623
07.01.2021 iShares Select Dividend 72 748 SH ETF 0 0 748
30.10.2018 PPL Corp 39 1332 SH COM 0 0 1332
16.10.2020 First Trust ISE Chindia Idx 18 381 SH ETF 0 0 381
16.10.2020 Archer-Daniels Midland Co 1 30 SH COM 0 0 30
10.07.2019 United Technologies Corporation 24 187 SH COM 0 0 187
10.07.2019 Goldman Sachs ActiveBeta EMkts Eq ETF 0 13 SH ETF 0 0 13
20.01.2017 iShares Core S&P 500 13 57 SH ETF 0 0 57
20.01.2017 Honda Motor Co Ltd 6 200 SH SHS 0 0 200
10.04.2020 Nokia Oyj 0 1 SH ADR 0 0 1
07.12.2015 Kraft Foods Group Inc 7 86 SH COM 0 0 86
19.07.2016 Lockheed Martin Corp 29 118 SH COM 0 0 118
04.12.2015 ="Technology Select Sector SPDR 3 76 SH ETF 0 0 76
05.10.2017 Ishares S&P GSCI Commodity-Indexed Trust 12 775 SH ETF 0 0 775
06.04.2018 Ameriprise Financial Inc 25 167 SH COM 0 0 167
20.01.2017 Bristol-Myers Squibb Company 37 625 SH COM 0 0 625
08.04.2019 iShares High Dividend 3275 35111 SH ETF 0 0 35111
31.03.2021 Nuveen MD Premium Income Muni Common 19 1310 SH COM 0 0 1310
30.10.2018 PepsiCo Inc 3 28 SH COM 0 0 28
05.10.2017 American Electric Power Co Inc 36 511 SH COM 0 0 511
08.04.2019 iShares Core S&P Mid-Cap 2 15 SH ETF 0 0 15
10.07.2019 TE Connectivity Ltd 1 10 SH SHS 0 0 10
03.02.2016 Materials Select Sector SPDRA 1 18 SH ETF 0 0 18
31.03.2021 Industrial Select Sector SPDRA 2759 28026 SH SBI INT-INDS 0 0 28026
19.07.2016 JM Smucker Co 3 18 SH COM 0 0 18
06.04.2018 Guggenheim BulletShrs 2020 Corp Bd ETF 50 2361 SH ETF 0 0 2361
05.04.2017 Comcast Corp 98 2614 SH COM 0 0 2614
17.07.2017 MasterCard Inc 128 1055 SH COM 0 0 1055
08.10.2019 iShares 0-5 Year High Yield Corp Bd ETF 59 1275 SH ETF 0 0 1275
08.07.2020 American Express Co 23 246 SH COM 0 0 246
31.03.2021 BP PLC 51 2093 SH ADR 0 0 2093
07.12.2015 iShares MSCI Japan 65 5185 SH ETF 0 0 5185
14.10.2016 iShares MSCI Russia Capped Index 44 3000 SH ETF 0 0 3000
18.01.2018 WisdomTree US SmallCap Earnings ETF 1 15 SH ETF 0 0 15
08.07.2020 iShares Tr MSCI USA MinVolatility 21469 354101 SH ETF 0 0 354101
31.03.2021 iShares Global Timber & Forestry 4 50 SH ETF 0 0 50
08.04.2019 Churchill Downs Inc 12 135 SH COM 0 0 135
08.10.2019 Accenture PLC 23 117 SH SHS 0 0 117
04.12.2015 SolarCity Corp 9 210 SH COM 0 0 210
06.04.2018 iShares Tr MSCI USA MinVolatility 19377 373142 SH ETF 0 0 373142
05.04.2017 Mobileye Nv 2 40 SH SHS 0 0 40
19.07.2016 iShares Core MSCI EAFE 1 25 SH ETF 0 0 25
12.07.2018 Realty Income Corp 22 400 SH COM 0 0 400
12.07.2018 Microsoft Corp 338 3423 SH COM 0 0 3423
20.01.2017 PIMCO 1-3 Year US Treasury Index ETF 5932 117100 SH ETF 0 0 117100
06.04.2018 APPLE INC. 316 1883 SH COM 0 0 1883
19.07.2016 iShares iBoxx $ High Yield Corporate Bd 17 200 SH ETF 0 0 200
10.04.2020 DARDEN RESTAURANTS INC. 20 360 SH COM 0 0 360
08.04.2019 iShares Core MSCI EAFE 6285 103432 SH ETF 0 0 103432
08.07.2020 Xcel Energy Inc 41 658 SH COM 0 0 658
07.12.2015 Marathon Petroleum Corp 1 13 SH COM 0 0 13
20.01.2017 NOVARTIS AG-ADR 2 21 SH ADR 0 0 21
10.07.2019 Exact Sciences Corp 9 75 SH COM 0 0 75
11.04.2016 iShares Core MSCI EAFE 1 25 SH ETF 0 0 25
07.01.2021 iShares Core S&P Small-Cap 33 359 SH ETF 0 0 359
14.10.2016 iShares Europe 13 322 SH ETF 0 0 322
19.07.2016 Manulife Financial Corporation 4 270 SH COM 0 0 270
14.10.2016 Cisco Systems Inc 24 771 SH COM 0 0 771
31.03.2021 Quadratic Intrst Rt Vol & Infl H ETF 208 7285 SH QUADRTC INT RT 0 0 7285
10.04.2020 MERCK & CO. INC. 103 1345 SH COM 0 0 1345
10.04.2020 CIGNA Corp 38 214 SH COM 0 0 214
19.07.2016 Domino s Pizza Inc 4 27 SH COM 0 0 27
11.04.2016 Aetna Inc 0 1 SH COM 0 0 1
05.10.2017 Cree Inc 1 32 SH COM 0 0 32
18.01.2018 SPDR S&P MidCap 400 1802 5216 SH ETF 0 0 5216
10.01.2019 iShares MSCI KLD 400 Social ETF 135 1450 SH ETF 0 0 1450
05.04.2017 McCormick & Company Inc 389 3990 SH COM 0 0 3990
03.02.2016 JC Penney Co Inc 1 150 SH COM 0 0 150
08.07.2020 Consumer Staples Select Sector SPDRA 65 1100 SH SBI CONS STPLS 0 0 1100
10.04.2020 SPDR Dow Jones Industrial Average 8 36 SH ETF 0 0 36
12.07.2018 Ameren Corp 252 4138 SH COM 0 0 4138
08.07.2020 Pure Storage Inc 10 575 SH COM 0 0 575
15.01.2020 Sun Life Financial Inc 59 1290 SH COM 0 0 1290
16.10.2020 Align Technology Inc 21 65 SH COM 0 0 65
07.01.2021 Prothena Corp PLC 0 1 SH SHS 0 0 1
06.04.2018 Avago Technologies Ltd 13 57 SH SHS 0 0 57
10.07.2019 iShares Russell 3000 1605 9312 SH ETF 0 0 9312
10.04.2020 Energy Transfer Equity LP 1 227 SH COM 0 0 227
10.07.2019 iShares Core S&P 500 32 108 SH ETF 0 0 108
15.01.2020 BRISTOL MYERS SQUIBB CONTINGENT RTS 0 15 SH RIGHT 0 0 15
05.04.2017 Morgan Stanley 4 100 SH COM 0 0 100
06.04.2018 Vanguard Short-Term Corporate Bond ETF 8205 104621 SH ETF 0 0 104621
07.01.2021 Bausch Health Companies Inc 1 50 SH COM 0 0 50
18.01.2018 WisdomTree Europe Hedged Equity ETF 804 12620 SH ETF 0 0 12620
08.07.2020 Inovio Pharmaceuticals Inc 3 100 SH COM 0 0 100
20.01.2017 Exxon Mobil Corporation 293 3247 SH COM 0 0 3247
18.01.2018 iShares Core MSCI Emerging Markets 996 17510 SH ETF 0 0 17510
18.01.2018 AT&T Inc 791 20350 SH COM 0 0 20350
11.04.2016 Vanguard Total Bond Market ETF 41 493 SH ETF 0 0 493
05.10.2017 PIMCO 1-3 Year US Treasury Index ETF 3445 68041 SH ETF 0 0 68041
06.04.2018 HOME DEPOT INC. 52 292 SH COM 0 0 292
08.10.2019 Facebook Inc 56 312 SH COM 0 0 312
10.01.2019 iShares Core US REIT ETF 27 610 SH ETF 0 0 610
31.03.2021 VanEck Vectors Fallen Angel HiYld Bd ETF 1600 50100 SH ETF 0 0 50100
10.07.2019 Guggenheim S&P 500A Equal Weight 3 30 SH ETF 0 0 30
06.04.2018 Cree Inc 1 32 SH COM 0 0 32
08.04.2019 Invesco QQQ Trust 15465 86083 SH UNIT SER 1 0 0 86083
04.12.2015 Fitbit Inc Cl A 8 210 SH COM 0 0 210
08.04.2019 Procter & Gamble Co 2 25 SH COM 0 0 25
10.07.2019 FedEx Corp 3 20 SH COM 0 0 20
18.01.2018 PPL Corp 41 1332 SH COM 0 0 1332
06.04.2018 Bank of America Corporation 43 1423 SH COM 0 0 1423
30.10.2018 Qorvo Inc 8 100 SH COM 0 0 100
05.04.2017 Wal-Mart Stores Inc 26 366 SH COM 0 0 366
04.12.2015 iShares High Dividend 2522 36249 SH ETF 0 0 36249
05.04.2017 iShares Gold Trust 7035 585759 SH ETF 0 0 585759
05.10.2017 Baozun Inc 2 65 SH ADR 0 0 65
10.01.2019 SPDR S&P Dividend ETF 5788 64653 SH ETF 0 0 64653
08.10.2019 iShares US Aerospace & Defense 28 126 SH ETF 0 0 126
19.07.2016 iShares US Real Estate 2890 35080 SH ETF 0 0 35080
11.04.2016 iShares MSCI Glbl Agriculture Producers 2 96 SH ETF 0 0 96
08.07.2020 STURM RUGER AND CO INC 4 50 SH COM 0 0 50
16.10.2020 iShares ESG MSCI USA ETF 23 300 SH ETF 0 0 300
15.01.2020 Nuveen MD Premium Income Muni Common 18 1310 SH COM 0 0 1310
08.04.2019 PPL Corp 29 929 SH COM 0 0 929
15.01.2020 UnitedHealth Group Inc 24 81 SH COM 0 0 81
14.10.2016 iShares Select Dividend 50 588 SH ETF 0 0 588
17.07.2017 Host Hotels & Resorts Inc 1 41 SH COM 0 0 41
05.10.2017 iShares iBoxx High Yield Corporate Bd 11 120 SH ETF 0 0 120
08.04.2019 Energy Select Sector SPDRA 11 174 SH ETF 0 0 174
31.03.2021 Domino s Pizza Inc 10 27 SH COM 0 0 27
31.03.2021 Nu Skin Enterprises Inc Class A 0 6 SH COM 0 0 6
07.12.2015 Boeing Co 4 25 SH COM 0 0 25
17.07.2017 Brown-Forman Corp 2 36 SH COM 0 0 36
19.07.2016 Vanguard Short-Term Corporate Bond ETF 7151 88459 SH ETF 0 0 88459
03.02.2016 Health Care Select Sector SPDR 1724 23937 SH ETF 0 0 23937
11.04.2016 iShares High Dividend 2968 38049 SH ETF 0 0 38049
05.04.2017 Host Hotels & Resorts Inc 1 41 SH COM 0 0 41
10.04.2020 iShares US Real Estate 11 158 SH ETF 0 0 158
12.07.2018 Goldcorp Inc 1060 77309 SH COM 0 0 77309
20.01.2017 Thor Industries Inc 33 334 SH COM 0 0 334
07.01.2021 TESLA MTRS INC 31 44 SH COM 0 0 44
16.10.2020 Starwood Property Trust Inc. 3 180 SH COM 0 0 180
18.01.2018 McDonald s Corp 21 124 SH COM 0 0 124
10.07.2019 Nuveen MD Premium Income Muni Common 17 1310 SH COM 0 0 1310
31.03.2021 Market Vectors Agribusiness ETF 35 395 SH ETF 0 0 395
05.04.2017 iShares MSCI Global Gold Miners 29 1543 SH ETF 0 0 1543
11.04.2016 SPDR S&P MidCap 400 1461 5562 SH ETF 0 0 5562
08.07.2020 iShares Morningstar Mid-Cap ETF 18 100 SH ETF 0 0 100
08.10.2019 HOME DEPOT INC. 68 292 SH COM 0 0 292
03.02.2016 Lockheed Martin Corp 25 114 SH COM 0 0 114
12.07.2018 Applied Materials Inc 3 67 SH COM 0 0 67
07.01.2021 Bank of America Corporation 26 870 SH COM 0 0 870
07.01.2021 Newmont Mining Corp 193 3220 SH COM 0 0 3220
11.04.2016 Morgan Stanley 3 100 SH COM 0 0 100
08.07.2020 iShares Global Timber & Forestry 3 50 SH ETF 0 0 50
16.10.2020 iPath DJ-UBS Commodity Index TR ETN 6 310 SH ETN 0 0 310
05.10.2017 Ford Motor Company 29 2385 SH COM 0 0 2385
10.04.2020 Inovio Pharmaceuticals Inc 3 400 SH COM 0 0 400
04.12.2015 Nucor Corp 9 245 SH COM 0 0 245
30.10.2018 Stericycle Inc 12 200 SH COM 0 0 200
06.04.2018 Financial Select Sector SPDR 4785 173547 SH ETF 0 0 173547
10.01.2019 Citigroup Inc 0 1 SH COM 0 0 1
31.03.2021 PPL Corp 233 8069 SH COM 0 0 8069
05.04.2017 Microsoft Corp 218 3309 SH COM 0 0 3309
18.01.2018 American Electric Power Co Inc 38 511 SH COM 0 0 511
08.10.2019 Vanguard European Stock Index ETF 9 165 SH ETF 0 0 165
15.01.2020 MERCK & CO. INC. 123 1352 SH COM 0 0 1352
31.03.2021 iShares 0-5 Year High Yield Corp Bd ETF 64 1400 SH ETF 0 0 1400
08.07.2020 Marathon Petroleum Corp 4 120 SH COM 0 0 120
19.07.2016 Chesapeake Energy Corp 0 48 SH COM 0 0 48
17.07.2017 iShares iBoxx High Yield Corporate Bd 11 120 SH ETF 0 0 120
08.07.2020 Automatic Data Processing 181 1215 SH COM 0 0 1215
20.01.2017 PPL Corp 57 1674 SH COM 0 0 1674
06.04.2018 Real Estate Select Sector SPDR 0 2 SH ETF 0 0 2
08.10.2019 VISHAY INTERTECHNOLOGY INC 0 15 SH COM 0 0 15
20.01.2017 GENERAL ELECTRIC COMPANY 27 867 SH COM 0 0 867
10.07.2019 Alphabet Inc C 9 8 SH COM 0 0 8
15.01.2020 iShares 1-3 Year Treasury Bond 53 625 SH ETF 0 0 625
10.04.2020 Workday Inc Com Usd0.001 Cl A 1 5 SH COM 0 0 5
08.07.2020 GW Pharmaceuticals PLC 3 25 SH ADS 0 0 25
10.04.2020 Virgin Galactic Holdings Inc 6 400 SH COM 0 0 400
10.07.2019 Viacom Inc 14 475 SH COM 0 0 475
11.04.2016 iShares Floating Rate Bond 3 55 SH ETF 0 0 55
06.04.2018 Stericycle Inc 12 200 SH COM 0 0 200
07.12.2015 iShares Tr MSCI USA MinVolatility 17928 434502 SH ETF 0 0 434502
14.10.2016 iShares Morningstar Small-Cap Growth 5 35 SH ETF 0 0 35
10.01.2019 TE Connectivity Ltd 1 10 SH SHS 0 0 10
19.07.2016 Altria Group Inc 17 250 SH COM 0 0 250
04.12.2015 Costco Wholesale Corp 14 100 SH COM 0 0 100
12.07.2018 Churchill Downs Inc 13 45 SH COM 0 0 45
08.07.2020 Exxon Mobil Corporation 265 5934 SH COM 0 0 5934
31.03.2021 UNDER ARMOUR INC. 23 1048 SH COM 0 0 1048
31.03.2021 H&R Block Inc 9 406 SH COM 0 0 406
14.10.2016 Conformis Inc 2 240 SH COM 0 0 240
10.07.2019 BIOLIFE SOLUTIONS 0 2 SH COM 0 0 2
14.10.2016 iShares MSCI Emerging Markets 11 282 SH ETF 0 0 282
08.04.2019 Technology Select Sector SPDRA 10 146 SH ETF 0 0 146
08.04.2019 Starbucks Corp 51 693 SH COM 0 0 693
10.04.2020 Ishares Nasdaq Biotechnology 3 25 SH ETF 0 0 25
03.02.2016 Teva Pharmaceutical Industries Ltd 4 65 SH ADR 0 0 65
31.03.2021 Rockwell Automation Inc 66 248 SH COM 0 0 248
17.07.2017 Conformis Inc 1 240 SH COM 0 0 240
15.01.2020 Rockwell Automation Inc 51 253 SH COM 0 0 253
19.07.2016 Brown-Forman Corp 2 18 SH COM 0 0 18
20.01.2017 Schlumberger NV 14 165 SH COM 0 0 165
08.10.2019 PPL Corp 36 1129 SH COM 0 0 1129
07.01.2021 iShares US Home Construction 14 250 SH ETF 0 0 250
03.02.2016 Texas Instruments Inc 33 594 SH COM 0 0 594
18.01.2018 First Trust ISE Chindia Idx 15 381 SH ETF 0 0 381
18.01.2018 Qorvo Inc 7 100 SH COM 0 0 100
12.07.2018 Lockheed Martin Corp 359 1214 SH COM 0 0 1214
10.07.2019 Fidelity MSCI Health Care ETF 2 50 SH ETF 0 0 50
15.01.2020 Ishares S&P GSCI Commodity-Indexed Trust 13 775 SH ETF 0 0 775
04.12.2015 iShares Core S&P Mid-Cap 1 5 SH ETF 0 0 5
08.07.2020 Alphabet Inc A 11 8 SH COM 0 0 8
06.04.2018 Amphastar Pharmaceuticals Inc Del Com 2 100 SH COM 0 0 100
16.10.2020 Synopsys Inc 21 100 SH COM 0 0 100
30.10.2018 Deere & Co 4 29 SH COM 0 0 29
07.01.2021 Kimberly-Clark Corp 1 10 SH COM 0 0 10
10.04.2020 HealthEquity Inc 15 300 SH COM 0 0 300
11.04.2016 Abbvie Inc 9 150 SH COM 0 0 150
06.04.2018 Costco Wholesale Corp 19 100 SH COM 0 0 100
04.12.2015 Vanguard Small-Cap Value ETF 9 94 SH ETF 0 0 94
30.10.2018 Brown-Forman Corp 2 45 SH COM 0 0 45
30.10.2018 BB&T Corp 6 130 SH COM 0 0 130
12.07.2018 NETFLIX INC. 16 41 SH COM 0 0 41
06.04.2018 Iqvia Hldgs Inc 2 25 SH COM 0 0 25
10.01.2019 Advanced Micro Devices Inc 1 75 SH COM 0 0 75
10.04.2020 iShares Global REIT ETF 2 112 SH ETF 0 0 112
08.10.2019 Broadridge Financial Solutions Inc 61 491 SH COM 0 0 491
18.01.2018 SunCoke Energy Inc 1 119 SH COM 0 0 119
07.01.2021 Westinghouse Air Brake Technologies Corp 0 1 SH COM 0 0 1
07.12.2015 Guggenheim BulletShrs 2018 Corp Bd ETF 1450 67995 SH ETF 0 0 67995
19.07.2016 GILEAD SCIENCES INC. 11 126 SH COM 0 0 126
10.01.2019 iPath Bloomberg Sugar SubTR ETN 21 950 SH ETN 0 0 950
31.03.2021 Yamana Gold Inc 35 8000 SH COM 0 0 8000
14.10.2016 Toronto Dominion Bk Ont Com New 2 41 SH COM 0 0 41
14.10.2016 iPath DJ-UBS Sugar TR Sub-Idx ETN 31 600 SH ETN 0 0 600
10.01.2019 Myriad Genetics Inc 1 37 SH COM 0 0 37
10.04.2020 Guggenheim S&P 500 Pure Growth ETF 61 614 SH ETF 0 0 614
05.04.2017 iShares Morningstar Small-Cap Growth 5 35 SH ETF 0 0 35
10.07.2019 iShares DJ US Total Market Index 5959 40777 SH ETF 0 0 40777
06.04.2018 Guggenheim S&P 500 Top 50 ETF 32 169 SH ETF 0 0 169
15.01.2020 Bank of America Corporation 42 1197 SH COM 0 0 1197
05.10.2017 Arotech Corp 1 300 SH COM 0 0 300
08.10.2019 Canopy Growth Corp 1 50 SH COM 0 0 50
08.10.2019 Wal-Mart Stores Inc 58 488 SH COM 0 0 488
08.07.2020 CME Group Inc/IL 2 12 SH COM 0 0 12
08.04.2019 Schwab Fundamental US Small Company ETF 0 26 SH ETF 0 0 26
10.04.2020 iShares S&P MidCap 400 Growth 3 19 SH ETF 0 0 19
31.03.2021 Conformis Inc 0 140 SH COM 0 0 140
15.01.2020 United Parcel Service Inc (UPS) 3 25 SH COM 0 0 25
18.01.2018 Olin Corp 2 50 SH COM 0 0 50
04.12.2015 Constellation Brands Inc 38 300 SH COM 0 0 300
30.10.2018 Paychex Inc 6 80 SH COM 0 0 80
08.10.2019 WisdomTree US MidCap Dividend ETF 14 398 SH ETF 0 0 398
30.10.2018 Diamond Offshore Drilling Inc 13 660 SH COM 0 0 660
12.07.2018 Rockwell Collins Inc 67 499 SH COM 0 0 499
19.07.2016 Wells Fargo & Co 2 33 SH COM 0 0 33
11.04.2016 Market Vectors Junior Gold Miners ETF 8 300 SH ETF 0 0 300
03.02.2016 PPL Corp 73 2138 SH COM 0 0 2138
10.04.2020 CDK Global Inc 23 699 SH COM 0 0 699
10.07.2019 Schwab International Equity ETF 6 200 SH ETF 0 0 200
10.01.2019 Energy Transfer Equity LP 3 227 SH COM 0 0 227
07.12.2015 Wal-Mart Stores Inc 25 308 SH COM 0 0 308
05.04.2017 SunCoke Energy Inc 1 119 SH COM 0 0 119
10.07.2019 Vanguard Total Stock Market ETF 109 726 SH ETF 0 0 726
20.01.2017 Brown-Forman Corp 2 36 SH COM 0 0 36
16.10.2020 Advanced Battery Technologies Inc 0 30 SH COM 0 0 30
15.01.2020 Badger Meter Inc 272 4192 SH COM 0 0 4192
14.10.2016 iShares Gold Trust 5169 407329 SH ETF 0 0 407329
08.10.2019 Reality Shs Etf Tr Nsd Nxgn Eco Etf 1 42 SH ETF 0 0 42
20.01.2017 Coca-Cola Co 75 1798 SH COM 0 0 1798
08.07.2020 iShares Morningstar Small-Cap Growth 8 35 SH ETF 0 0 35
07.01.2021 Vanguard Short-Term Corporate Bond ETF 12002 144171 SH ETF 0 0 144171
12.07.2018 Schwab US Large-Cap Growth ETF 23 302 SH ETF 0 0 302
10.07.2019 iShares Core MSCI Emerging Markets 1375 26721 SH ETF 0 0 26721
07.01.2021 Splunk Inc 7 40 SH COM 0 0 40
19.07.2016 iShares Core S&P Total US Stock Mkt 3 35 SH ETF 0 0 35
06.04.2018 SPDR S&P 500 ETF 40476 153813 SH ETF 0 0 153813
17.07.2017 Lumber Liquidators Holdings Inc 3 100 SH COM 0 0 100
15.01.2020 MasterCard Inc 15 50 SH COM 0 0 50
15.01.2020 Automatic Data Processing 207 1215 SH COM 0 0 1215
15.01.2020 Hershey Co 14 92 SH COM 0 0 92
05.10.2017 Wal-Mart Stores Inc 29 373 SH COM 0 0 373
08.04.2019 Energy Transfer Equity LP 3 227 SH COM 0 0 227
31.03.2021 Ameriprise Financial Inc 39 167 SH COM 0 0 167
03.02.2016 Eaton Vance Corp 26 800 SH COM 0 0 800
14.10.2016 ProShares Short QQQ 33 700 SH ETF 0 0 700
08.10.2019 Goldman Sachs ActiveBeta US LgCp Eq ETF 5 76 SH ETF 0 0 76
30.10.2018 Box Inc 4 151 SH COM 0 0 151
08.07.2020 McCormick & Company Inc 437 2461 SH COM 0 0 2461
05.10.2017 Aetna Inc 0 1 SH COM 0 0 1
15.01.2020 Broadridge Financial Solutions Inc 61 491 SH COM 0 0 491
20.01.2017 iShares 7-10 Year Treasury Bond 6436 61398 SH ETF 0 0 61398
08.10.2019 iShares High Dividend 3208 34072 SH ETF 0 0 34072
08.10.2019 iShares 1-3 Year Treasury Bond 53 625 SH ETF 0 0 625
08.04.2019 iShares 0-5 Year High Yield Corp Bd ETF 44 950 SH ETF 0 0 950
07.01.2021 CDK Global Inc 36 699 SH COM 0 0 699
30.10.2018 Ishares S&P GSCI Commodity-Indexed Trust 14 775 SH ETF 0 0 775
10.07.2019 SPDR S&P 500 ETF 44355 151383 SH ETF 0 0 151383
05.10.2017 Vanguard Short-Term Corporate Bond ETF 7945 99151 SH ETF 0 0 99151
10.04.2020 McDonald s Corp 12 70 SH COM 0 0 70
10.04.2020 HOME DEPOT INC. 55 292 SH COM 0 0 292
10.01.2019 iShares Core S&P Total US Stock Mkt 8 135 SH ETF 0 0 135
31.03.2021 Align Technology Inc 35 65 SH COM 0 0 65
05.10.2017 Vanguard Total Stock Market ETF 34 260 SH ETF 0 0 260
15.01.2020 Canopy Growth Corp 3 150 SH COM 0 0 150
12.07.2018 Thor Industries Inc 33 334 SH COM 0 0 334
05.10.2017 Bristol-Myers Squibb Company 58 913 SH COM 0 0 913
06.04.2018 STURM RUGER AND CO INC 3 50 SH COM 0 0 50
10.01.2019 Chipotle Mexican Grill Inc 5 11 SH COM 0 0 11
04.12.2015 Market Vectors Gold Miners ETF 23 1670 SH ETF 0 0 1670
18.01.2018 iShares MSCI Glbl Agriculture Producers 3 96 SH ETF 0 0 96
18.01.2018 US Geothermal Inc 1 150 SH COM 0 0 150
08.10.2019 Schwab International Equity ETF 6 200 SH ETF 0 0 200
04.12.2015 Starwood Property Trust Inc. 4 180 SH COM 0 0 180
04.12.2015 First Trust Health Care AlphaDEX 13 231 SH ETF 0 0 231
16.10.2020 Booz Allen Hamilton Holding Corp 4 51 SH COM 0 0 51
08.07.2020 AT&T Inc 105 3473 SH COM 0 0 3473
30.10.2018 T. Rowe Price Group Inc 100 917 SH COM 0 0 917
03.02.2016 Nuveen MD Premium Income Muni Common 17 1310 SH COM 0 0 1310
16.10.2020 UNDER ARMOUR INC-CLASS C 13 1271 SH COM 0 0 1271
04.12.2015 AT&T Inc 1433 43971 SH COM 0 0 43971
15.01.2020 Utilities SPDR ETF 11 167 SH ETF 0 0 167
07.01.2021 Technology Select Sector SPDRA 6 46 SH ETF 0 0 46
17.07.2017 Dow Chemical Co 1 15 SH COM 0 0 15
15.01.2020 Micron Technology Inc 9 160 SH COM 0 0 160
07.12.2015 PIMCO 1-3 Year US Treasury Index ETF 6365 124802 SH ETF 0 0 124802
06.04.2018 iShares Morningstar Small-Cap Growth 6 35 SH ETF 0 0 35
16.10.2020 Hilton Worldwide Holdings Inc 22 255 SH COM 0 0 255
10.04.2020 Northrop Grumman Corp 5 15 SH COM 0 0 15
08.07.2020 Wheeler Real Estate Investment Trust Inc 6 900 SH CV PFD SER 0 0 900
07.12.2015 Powershares QQQ Trust 13764 130339 SH ETF 0 0 130339
07.12.2015 Costco Wholesale Corp 15 100 SH COM 0 0 100
17.07.2017 BP PLC 60 1746 SH ADR 0 0 1746
08.07.2020 Utilities SPDR ETF 56 1000 SH ETF 0 0 1000
03.02.2016 Omega Healthcare Investors Inc 13 384 SH COM 0 0 384
31.03.2021 SPDR S&P Aerospace & Defense ETF 112 890 SH ETF 0 0 890
31.03.2021 Marriott International Inc 3 18 SH COM 0 0 18
07.12.2015 PepsiCo Inc 2 20 SH COM 0 0 20
05.10.2017 iShares Russell 3000 1691 11330 SH ETF 0 0 11330
03.02.2016 DUNKIN BRANDS GROUP INC 1 35 SH COM 0 0 35
11.04.2016 T. Rowe Price Group Inc 63 860 SH COM 0 0 860
08.10.2019 CBS Corp 50 1242 SH COM 0 0 1242
03.02.2016 WisdomTree Dividend ex-Financials 5289 75250 SH ETF 0 0 75250
14.10.2016 NOVARTIS AG-ADR 2 21 SH ADR 0 0 21
06.04.2018 Pure Storage Inc 23 1150 SH COM 0 0 1150
31.03.2021 iShares ESG Aware MSCI EAFE ETF 91 1200 SH ETF 0 0 1200
20.01.2017 CME Group Inc/IL 2 17 SH COM 0 0 17
15.01.2020 Real Estate Select Sector SPDR 0 2 SH ETF 0 0 2
08.07.2020 iShares Aaa - A Rated Corporate Bond ETF 4840 83682 SH ETF 0 0 83682
15.01.2020 Ishares Silver Trust 101 6053 SH ETF 0 0 6053
31.03.2021 lowes companies incorporated 39 205 SH COM 0 0 205
08.04.2019 iShares Core US Aggregate Bond 154 1414 SH ETF 0 0 1414
10.01.2019 Ramco-Gershenson Properties Trust 25 500 SH PERP PFD-D CV 0 0 500
16.10.2020 BP PLC 44 2492 SH ADR 0 0 2492
07.01.2021 CHEVRON CORPORATION 62 738 SH COM 0 0 738
07.12.2015 iShares Europe 18 398 SH ETF 0 0 398
17.07.2017 Aetna Inc 0 1 SH COM 0 0 1
10.07.2019 Lumber Liquidators Holdings Inc 1 100 SH COM 0 0 100
05.10.2017 Schlumberger NV 13 189 SH COM 0 0 189
10.07.2019 Berkshire Hathaway Inc 43 200 SH COM 0 0 200
30.10.2018 Energy Select Sector SPDRA 4 50 SH ETF 0 0 50
05.10.2017 Vanguard European Stock Index ETF 10 165 SH ETF 0 0 165
30.10.2018 ServiceNow Inc 3 13 SH COM 0 0 13
31.03.2021 SPDR S&P 500 ETF 58349 147223 SH ETF 0 0 147223
06.04.2018 Paychex Inc 5 80 SH COM 0 0 80
18.01.2018 Brown-Forman Corp 2 36 SH COM 0 0 36
08.07.2020 iShares MSCI KLD 400 Social ETF 258 2183 SH ETF 0 0 2183
08.07.2020 Archer-Daniels Midland Co 1 30 SH COM 0 0 30
14.10.2016 Vodafone Group PLC 1 40 SH ADR 0 0 40
10.07.2019 iShares US Aerospace & Defense 12 56 SH ETF 0 0 56
15.01.2020 SPDR Gold Shares 9 65 SH ETF 0 0 65
10.07.2019 New Age Beverages Corp 0 100 SH COM 0 0 100
08.04.2019 Medtronic Inc 0 9 SH COM 0 0 9
15.01.2020 Ormat Technologies Inc 1 10 SH COM 0 0 10
20.01.2017 T. Rowe Price Group Inc 65 860 SH COM 0 0 860
12.07.2018 Taiwan Semiconductor Manufacturing Co Ltd 1 24 SH ADR 0 0 24
12.07.2018 American Electric Power Co Inc 35 511 SH COM 0 0 511
10.04.2020 Ameriprise Financial Inc 17 167 SH COM 0 0 167
16.10.2020 iShares Core MSCI EAFE 6439 106810 SH ETF 0 0 106810
08.04.2019 Morgan Stanley 4 100 SH COM 0 0 100
19.07.2016 iShares Core US Aggregate Bond 723 6419 SH ETF 0 0 6419
10.04.2020 PowerShares DB Commodity Index Tracking 3 300 SH ETF 0 0 300
31.03.2021 Accenture PLC 32 117 SH SHS 0 0 117
15.01.2020 iPath Bloomberg Cotton SubTR ETN 31 700 SH ETN 0 0 700
30.10.2018 iShares MSCI ACWI ex US ETF 31 660 SH ETF 0 0 660
30.10.2018 Goldman Sachs ActiveBeta EMkts Eq ETF 0 13 SH ETF 0 0 13
03.02.2016 Valero Energy Corp 2 25 SH COM 0 0 25
06.04.2018 Abbvie Inc 14 150 SH COM 0 0 150
07.12.2015 iShares S&P 100 Index Fund CBOE 305 3381 SH ETF 0 0 3381
31.03.2021 iShares US Home Construction 17 250 SH ETF 0 0 250
03.02.2016 ETFS Physical Palladium Shares 5 100 SH ETF 0 0 100
15.01.2020 iShares Core S&P 500 35 108 SH ETF 0 0 108
17.07.2017 AT&T Inc 813 21554 SH COM 0 0 21554
10.07.2019 Welltower Inc Com 14 177 SH COM 0 0 177
08.04.2019 Goldman Sachs ActiveBeta US LgCp Eq ETF 4 76 SH ETF 0 0 76
10.04.2020 H&R Block Inc 6 406 SH COM 0 0 406
30.10.2018 WisdomTree Dividend ex-Financials 6292 69579 SH ETF 0 0 69579
30.10.2018 iShares DJ US Total Market Index 7242 49765 SH ETF 0 0 49765
11.04.2016 iPath DJ-UBS Sugar TR Sub-Idx ETN 21 600 SH ETN 0 0 600
10.04.2020 SunCoke Energy Inc 0 119 SH COM 0 0 119
08.10.2019 Bank of America Corporation 38 1287 SH COM 0 0 1287
19.07.2016 Kimberly-Clark Corp 1 10 SH COM 0 0 10
06.04.2018 Constellation Brands Inc 68 300 SH COM 0 0 300
08.07.2020 Prudential Financial Inc 5 76 SH COM 0 0 76
07.12.2015 Vanguard Information Technology ETF 6 61 SH ETF 0 0 61
07.12.2015 iPath DJ-UBS Sugar TR Sub-Idx ETN 18 600 SH ETN 0 0 600
20.01.2017 Ishares S&P GSCI Commodity-Indexed Trust 12 775 SH ETF 0 0 775
16.10.2020 Southern Copper Corp 7 150 SH COM 0 0 150
16.10.2020 Invesco QQQ Trust 20812 74906 SH UNIT SER 1 0 0 74906
10.04.2020 First Trust Rising Dividend Achiev ETF 28 1100 SH ETF 0 0 1100
19.07.2016 Denbury Resources Inc 5 1260 SH COM 0 0 1260
10.01.2019 Ameren Corp 270 4138 SH COM 0 0 4138
15.01.2020 PTC Inc 0 6 SH COM 0 0 6
18.01.2018 Market Vectors Agribusiness ETF 24 395 SH ETF 0 0 395
17.07.2017 iShares S&P 500 Growth 171 1252 SH ETF 0 0 1252
17.07.2017 Colgate-Palmolive Co 15 200 SH COM 0 0 200
12.07.2018 PNC Financial Services Group Inc 42 308 SH COM 0 0 308
04.12.2015 Chipotle Mexican Grill Inc 1 2 SH COM 0 0 2
08.04.2019 WisdomTree US Quality Sharehld Yld ETF 4 56 SH ETF 0 0 56
10.04.2020 CHEVRON CORPORATION 53 738 SH COM 0 0 738
06.04.2018 Microsoft Corp 312 3422 SH COM 0 0 3422
11.04.2016 ASTRAZENECA PLC -SPONS ADR 3 100 SH ADR 0 0 100
03.02.2016 Realty Income Corp 23 455 SH COM 0 0 455
11.04.2016 GOOGLE INC. CLASS C 19 26 SH COM 0 0 26
08.04.2019 STMicroelectronics NV 1 80 SH COM 0 0 80
15.01.2020 NIKE INC 5 50 SH COM 0 0 50
10.04.2020 Advanced Micro Devices Inc 9 200 SH COM 0 0 200
03.02.2016 PNC Financial Services Group Inc 29 308 SH COM 0 0 308
10.01.2019 Sun Life Financial Inc 46 1384 SH COM 0 0 1384
06.04.2018 Valero Energy Corp 2 25 SH COM 0 0 25
20.01.2017 Shake Shack Inc 2 50 SH COM 0 0 50
18.01.2018 Automatic Data Processing 142 1215 SH COM 0 0 1215
19.07.2016 PowerShares Insured National Muni Bond 1 50 SH ETF 0 0 50
05.04.2017 Guggenheim BulletShrs 2019 Corp Bd ETF 1986 93554 SH ETF 0 0 93554
16.10.2020 MannKind Corp 1 500 SH COM 0 0 500
11.04.2016 Rockwell Automation Inc 32 282 SH COM 0 0 282
30.10.2018 Prothena Corp PLC 0 1 SH SHS 0 0 1
08.04.2019 Southwest Airlines Co 6 120 SH COM 0 0 120
16.10.2020 Yamana Gold Inc 45 8000 SH COM 0 0 8000
10.04.2020 iShares S&P 500 Growth 70 427 SH ETF 0 0 427
05.04.2017 GENERAL ELECTRIC COMPANY 21 717 SH COM 0 0 717
20.01.2017 Stericycle Inc 15 200 SH COM 0 0 200
17.07.2017 Cognizant Technology Solutions Corp 13 200 SH COM 0 0 200
14.10.2016 Vanguard Short-Term Corporate Bond ETF 7100 88143 SH ETF 0 0 88143
10.01.2019 JPMorgan Chase & Co 8 82 SH COM 0 0 82
07.12.2015 Buckeye Partners LP 68 900 SH UNIT LTD PARTN 0 0 900
11.04.2016 Ishares Silver Trust 89 6053 SH ETF 0 0 6053
30.10.2018 Kimberly-Clark Corp 1 10 SH COM 0 0 10
12.07.2018 CVS CAREMARK CORPORATION 11 168 SH COM 0 0 168
10.01.2019 Nvent Electric Plc Shs 0 2 SH SHS 0 0 2
05.04.2017 Valero Energy Corp 2 25 SH COM 0 0 25
18.01.2018 Erie Indemnity Co 3 25 SH COM 0 0 25
04.12.2015 Stryker Corporation 9 100 SH COM 0 0 100
08.07.2020 ABBOTT LABORATORIES 33 365 SH COM 0 0 365
05.10.2017 Bank of America Corporation 32 1252 SH COM 0 0 1252
17.07.2017 Starbucks Corp 69 1189 SH COM 0 0 1189
10.07.2019 3M COMPANY 9 54 SH COM 0 0 54
17.07.2017 Amazon.com Inc 22 23 SH COM 0 0 23
07.12.2015 iShares Floating Rate Bond 3 55 SH ETF 0 0 55
04.12.2015 Smith & Wesson Holding Corporation 6 358 SH COM 0 0 358
07.01.2021 Microsoft Corp 620 2786 SH COM 0 0 2786
07.12.2015 NextEra Energy Inc 5 45 SH COM 0 0 45
10.07.2019 iShares High Dividend 3285 34762 SH ETF 0 0 34762
07.01.2021 NIO INC ADS REPSTG CL A ORD SHS 4 75 SH SPON ADS 0 0 75
15.01.2020 Starbucks Corp 61 695 SH COM 0 0 695
10.01.2019 iShares Core MSCI Total Intl Stk 3 52 SH ETF 0 0 52
31.03.2021 UNDER ARMOUR INC-CLASS C 23 1271 SH COM 0 0 1271
08.10.2019 iShares MSCI EmrgMkts MinVolatility 14 245 SH ETF 0 0 245
03.02.2016 SPDR S&P MidCap 400 1458 5739 SH ETF 0 0 5739
14.10.2016 Olin Corp 1 50 SH COM 0 0 50
15.01.2020 PowerShares DB Commodity Index Tracking 5 300 SH ETF 0 0 300
07.12.2015 PNC Financial Services Group Inc 35 378 SH COM 0 0 378
10.07.2019 iShares S&P Small-Cap 600 Growth 5 25 SH ETF 0 0 25
10.04.2020 Ionis Pharmaceuticals Inc Com 1 20 SH COM 0 0 20
10.07.2019 Yamana Gold Inc 20 8000 SH COM 0 0 8000
07.12.2015 Manulife Financial Corporation 5 270 SH COM 0 0 270
05.10.2017 Cognizant Technology Solutions Corp 15 200 SH COM 0 0 200
18.01.2018 Raytheon Co 28 150 SH COM 0 0 150
07.12.2015 iShares DJ US Total Market Index 9464 90260 SH ETF 0 0 90260
20.01.2017 Broadridge Financial Solutions Inc 33 491 SH COM 0 0 491
10.07.2019 SPDR Blmbg Barclays Convert Secs ETF 36 676 SH ETF 0 0 676
03.02.2016 ASTRAZENECA PLC -SPONS ADR 3 100 SH ADR 0 0 100
30.10.2018 PIMCO 1-3 Year US Treasury Index ETF 56 1120 SH ETF 0 0 1120
10.01.2019 iShares Core MSCI EAFE 5689 103435 SH ETF 0 0 103435
10.07.2019 DNP Select Income Common 63 5294 SH COM 0 0 5294
18.01.2018 INTEL CORP 19 406 SH COM 0 0 406
30.10.2018 American Electric Power Co Inc 36 511 SH COM 0 0 511
05.04.2017 Deere & Co 3 29 SH COM 0 0 29
06.04.2018 Amazon.com Inc 33 23 SH COM 0 0 23
16.10.2020 Dell Inc 13 185 SH COM 0 0 185
16.10.2020 Ishares Silver Trust 131 6053 SH ETF 0 0 6053
14.10.2016 Financial Select Sector SPDRA 20 1060 SH ETF 0 0 1060
30.10.2018 RPM International Inc 4 58 SH COM 0 0 58
08.10.2019 NOVARTIS AG-ADR 11 121 SH ADR 0 0 121
17.07.2017 Align Technology Inc 19 125 SH COM 0 0 125
18.01.2018 VISHAY PRECISION GROUP INC 0 1 SH COM 0 0 1
14.10.2016 Paychex Inc 9 160 SH COM 0 0 160
12.07.2018 Ameriprise Financial Inc 23 167 SH COM 0 0 167
15.01.2020 Illumina Inc 1 2 SH COM 0 0 2
12.07.2018 WisdomTree US SmallCap Earnings ETF 1 15 SH ETF 0 0 15
08.04.2019 Garrett Motion Inc 0 1 SH COM 0 0 1
15.01.2020 Comcast Corp 24 543 SH COM 0 0 543
06.04.2018 ASTRAZENECA PLC -SPONS ADR 3 100 SH ADR 0 0 100
30.10.2018 Nucor Corp 20 317 SH COM 0 0 317
15.01.2020 Bristol-Myers Squibb Company 1 15 SH COM 0 0 15
07.12.2015 Dow Chemical Co 1 15 SH COM 0 0 15
05.10.2017 Pfizer Inc 11 300 SH COM 0 0 300
08.04.2019 TESLA MTRS INC 2 10 SH COM 0 0 10
15.01.2020 CVS CAREMARK CORPORATION 16 214 SH COM 0 0 214
03.02.2016 iShares Core US Aggregate Bond 616 5703 SH ETF 0 0 5703
20.01.2017 iPath DJ-UBS Cotton TR Sub-Idx ETN 33 700 SH ETN 0 0 700
07.01.2021 Fidelity MSCI Energy ETF 1 110 SH ETF 0 0 110
05.04.2017 Schlumberger NV 13 165 SH COM 0 0 165
08.10.2019 iShares 7-10 Year Treasury Bond 47 420 SH ETF 0 0 420
15.01.2020 Eastman Chemical Co 28 350 SH COM 0 0 350
20.01.2017 Whole Foods Market Inc 4 130 SH COM 0 0 130
30.10.2018 PayPal Holdings Inc 6 69 SH COM 0 0 69
10.04.2020 Crispr Therapeutics Agnamen Akt 0 4 SH NAMEN AKT 0 0 4
19.07.2016 iShares Core S&P Small-Cap 26 223 SH ETF 0 0 223
03.02.2016 Amazon.com Inc 16 23 SH COM 0 0 23
03.02.2016 Thor Industries Inc 19 334 SH COM 0 0 334
03.02.2016 iShares Floating Rate Bond 3 55 SH ETF 0 0 55
07.01.2021 iShares DJ US Total Market Index 4292 45504 SH ETF 0 0 45504
07.01.2021 APPLE INC. 833 6279 SH COM 0 0 6279
19.07.2016 Advanced Battery Technologies Inc 0 30 SH COM 0 0 30
19.07.2016 Teva Pharmaceutical Industries Ltd 3 65 SH ADR 0 0 65
10.04.2020 Ormat Technologies Inc 2 25 SH COM 0 0 25
04.12.2015 Realty Income Corp 22 455 SH COM 0 0 455
17.07.2017 Northrop Grumman Corp 4 15 SH COM 0 0 15
10.07.2019 Texas Instruments Inc 46 400 SH COM 0 0 400
03.02.2016 Yamana Gold Inc 15 8000 SH COM 0 0 8000
19.07.2016 Abbvie Inc 12 200 SH COM 0 0 200
31.03.2021 Teva Pharmaceutical Industries Ltd 1 68 SH ADR 0 0 68
07.12.2015 Coca-Cola Co 203 5016 SH COM 0 0 5016
06.04.2018 Schwab Emerging Markets Equity ETF 11 371 SH ETF 0 0 371
19.07.2016 Twitter Inc 1 70 SH COM 0 0 70
12.07.2018 Guggenheim S&P 500 Pure Growth ETF 34 299 SH ETF 0 0 299
16.10.2020 Teva Pharmaceutical Industries Ltd 1 68 SH ADR 0 0 68
17.07.2017 HCP Inc 1 31 SH COM 0 0 31
10.01.2019 iShares US Home Construction 6 200 SH ETF 0 0 200
18.01.2018 iShares MSCI Global Gold Miners 30 1618 SH ETF 0 0 1618
06.04.2018 Nu Skin Enterprises Inc Class A 0 6 SH COM 0 0 6
10.07.2019 ETFMG Alternative Harvest ETF 3 103 SH ETF 0 0 103
05.10.2017 Kinder Morgan Inc. 4 213 SH COM 0 0 213
11.04.2016 Marathon Oil Corp 2 188 SH COM 0 0 188
14.10.2016 Washington REIT 16 500 SH COM 0 0 500
07.12.2015 PowerShares Buyback Achievers 2799 56773 SH ETF 0 0 56773
10.04.2020 ABBOTT LABORATORIES 22 277 SH COM 0 0 277
18.01.2018 Tableau Software Inc 1 20 SH COM 0 0 20
16.10.2020 Deere & Co 6 29 SH COM 0 0 29
12.07.2018 Freeport-McMoran Copper & Gold 53 3065 SH COM 0 0 3065
19.07.2016 AT&T Inc 1881 43530 SH COM 0 0 43530
05.04.2017 Facebook Inc 44 312 SH COM 0 0 312
10.01.2019 iShares MSCI Global Gold Miners 30 1863 SH ETF 0 0 1863
07.01.2021 Magellan Midstream Partners L.P. 13 300 SH COM 0 0 300
08.10.2019 iShares Core US REIT ETF 34 610 SH ETF 0 0 610
05.04.2017 Guggenheim BulletShrs 2018 Corp Bd ETF 2860 134704 SH ETF 0 0 134704
03.02.2016 Freeport-McMoran Copper & Gold 22 3298 SH COM 0 0 3298
14.10.2016 McDonald s Corp 14 124 SH COM 0 0 124
08.07.2020 iShares Russell 2000 30 208 SH ETF 0 0 208
19.07.2016 MasterCard Inc 90 1020 SH COM 0 0 1020
04.12.2015 iPath DJ-UBS Cotton TR Sub-Idx ETN 28 700 SH ETN 0 0 700
18.01.2018 BB&T Corp 6 130 SH COM 0 0 130
08.07.2020 Vanguard Growth ETF 5 23 SH ETF 0 0 23
03.02.2016 Altria Group Inc 15 250 SH COM 0 0 250
10.01.2019 Amazon.com Inc 38 25 SH COM 0 0 25
20.01.2017 Potash Corp of Saskatchewan Inc 131 7250 SH COM 0 0 7250
12.07.2018 iShares Morningstar Small-Cap Growth 7 35 SH ETF 0 0 35
04.12.2015 WisdomTree Dividend ex-Financials 5685 84579 SH ETF 0 0 84579
10.04.2020 iShares International Select Dividend 361 15955 SH ETF 0 0 15955
20.01.2017 Pfizer Inc 12 382 SH COM 0 0 382
06.04.2018 Lumentum Holdings Inc 0 1 SH COM 0 0 1
10.01.2019 iShares S&P 100 Index Fund CBOE 128 1148 SH ETF 0 0 1148
31.03.2021 Ramco-Gershenson Properties Trust 27 500 SH PERP PFD-D CV 0 0 500
31.03.2021 Churchill Downs Inc 19 85 SH COM 0 0 85
30.10.2018 ALPS Alerian MLP ETF 12 1099 SH ETF 0 0 1099
08.07.2020 Kohl s Corp 0 7 SH COM 0 0 7
14.10.2016 Johnson Controls Inc 2 42 SH COM 0 0 42
15.01.2020 iShares US Home Construction 9 200 SH ETF 0 0 200
10.04.2020 iShares MSCI Global Gold Miners 38 1963 SH ETF 0 0 1963
10.01.2019 Agnico Eagle Mines Ltd 26 640 SH COM 0 0 640
14.10.2016 iShares Core MSCI Total Intl Stk 1 12 SH ETF 0 0 12
11.04.2016 Vanguard Emerging Markets Stock Idx ETF 29 831 SH ETF 0 0 831
20.01.2017 iShares MSCI Glbl Agriculture Producers 2 96 SH ETF 0 0 96
20.01.2017 CBS Corp 79 1242 SH COM 0 0 1242
30.10.2018 Whirlpool Corp 6 54 SH COM 0 0 54
19.07.2016 Costco Wholesale Corp 16 100 SH COM 0 0 100
15.01.2020 iShares MSCI EAFE 3 44 SH ETF 0 0 44
10.01.2019 Domino s Pizza Inc 7 27 SH COM 0 0 27
05.10.2017 GENERAL ELECTRIC COMPANY 17 717 SH COM 0 0 717
16.10.2020 Wheeler Real Estate Investment Trust Inc 9 900 SH CV PFD SER 0 0 900
17.07.2017 ALPS Alerian MLP ETF 8 692 SH ETF 0 0 692
08.10.2019 ABBOTT LABORATORIES 23 277 SH COM 0 0 277
15.01.2020 TESLA MTRS INC 2 5 SH COM 0 0 5
08.04.2019 NETFLIX INC. 14 41 SH COM 0 0 41
31.03.2021 ProShares Short S&P500 210 12552 SH ETF 0 0 12552
06.04.2018 Berkshire Hathaway Inc 40 200 SH COM 0 0 200
08.07.2020 Ford Motor Company 12 2000 SH COM 0 0 2000
18.01.2018 NETFLIX INC. 8 41 SH COM 0 0 41
10.07.2019 ABBOTT LABORATORIES 23 277 SH COM 0 0 277
31.03.2021 Cisco Systems Inc 11 208 SH COM 0 0 208
07.01.2021 Materials Select Sector SPDRA 66 918 SH ETF 0 0 918
03.02.2016 Market Vectors Junior Gold Miners ETF 6 300 SH ETF 0 0 300
30.10.2018 AMGEN INC. 10 47 SH COM 0 0 47
07.12.2015 Domino s Pizza Inc 3 27 SH COM 0 0 27
12.07.2018 DXC Technology Co 0 2 SH COM 0 0 2
07.01.2021 Market Vectors Gold Miners ETF 3827 106253 SH ETF 0 0 106253
04.12.2015 SPDR S&P Dividend ETF 4420 61254 SH ETF 0 0 61254
20.01.2017 iShares Core S&P Small-Cap 10 73 SH ETF 0 0 73
08.04.2019 New Age Beverages Corp 0 100 SH COM 0 0 100
14.10.2016 Godaddy Inc 4 114 SH COM 0 0 114
05.10.2017 Amazon.com Inc 22 23 SH COM 0 0 23
12.07.2018 CBS Corp 70 1242 SH COM 0 0 1242
05.04.2017 Bank of America Corporation 7 280 SH COM 0 0 280
19.07.2016 Wal-Mart Stores Inc 26 362 SH COM 0 0 362
14.10.2016 Lockheed Martin Corp 52 218 SH COM 0 0 218
06.04.2018 INTEL CORP 11 208 SH COM 0 0 208
18.01.2018 XPO Logistics Inc 9 100 SH COM 0 0 100
07.01.2021 UNDER ARMOUR INC. 19 1083 SH COM 0 0 1083
08.10.2019 UNDER ARMOUR INC. 32 1608 SH COM 0 0 1608
04.12.2015 Global X Copper Miners ETF 0 100 SH ETF 0 0 100
04.12.2015 Comcast Corp 111 1952 SH COM 0 0 1952
14.10.2016 SPDR S&P Emerging Asia Pacific ETF 1 14 SH ETF 0 0 14
11.04.2016 Facebook Inc 36 312 SH COM 0 0 312
10.01.2019 Exxon Mobil Corporation 204 2987 SH COM 0 0 2987
12.07.2018 iShares MSCI EmrgMkts MinVolatility 14 245 SH ETF 0 0 245
20.01.2017 Valero Energy Corp 2 25 SH COM 0 0 25
10.07.2019 Digital Realty Trust Inc 3 29 SH COM 0 0 29
30.10.2018 Churchill Downs Inc 12 45 SH COM 0 0 45
10.01.2019 Altria Group Inc 12 250 SH COM 0 0 250
10.01.2019 CBS Corp 54 1242 SH COM 0 0 1242
08.07.2020 Visa Inc 147 761 SH COM 0 0 761
08.07.2020 iShares Core S&P Small-Cap 25 359 SH ETF 0 0 359
10.04.2020 ASTRAZENECA PLC -SPONS ADR 4 100 SH ADR 0 0 100
07.01.2021 Frontier Communications Corp Class B 0 17 SH COM 0 0 17
14.10.2016 Boeing Co 3 25 SH COM 0 0 25
18.01.2018 iShares Gold Trust 7508 600199 SH ETF 0 0 600199
30.10.2018 Viacom Inc 16 475 SH COM 0 0 475
05.04.2017 United Parcel Service Inc (UPS) 3 25 SH COM 0 0 25
19.07.2016 Boeing Co 3 25 SH COM 0 0 25
10.01.2019 McCormick & Company Inc 989 7102 SH COM 0 0 7102
11.04.2016 HOME DEPOT INC. 21 155 SH COM 0 0 155
12.07.2018 Valeant Pharmaceuticals Intl I Com 1 50 SH COM 0 0 50
12.07.2018 GOLDFIELD CORP 0 100 SH COM 0 0 100
30.10.2018 Domino s Pizza Inc 8 27 SH COM 0 0 27
04.12.2015 McCormick & Company Inc 359 4380 SH COM 0 0 4380
18.01.2018 GOLDFIELD CORP 0 100 SH COM 0 0 100
10.01.2019 DNP Select Income Common 55 5294 SH COM 0 0 5294
20.01.2017 Nuveen MD Premium Income Muni Common 16 1310 SH COM 0 0 1310
03.02.2016 BP PLC 55 1744 SH ADR 0 0 1744
31.03.2021 CLENE ORD 1 100 SH COM 0 0 100
31.03.2021 American Express Co 3 20 SH COM 0 0 20
18.01.2018 CBS Corp 73 1242 SH COM 0 0 1242
08.07.2020 Berkshire Hathaway Inc 36 200 SH COM 0 0 200
30.10.2018 Lumber Liquidators Holdings Inc 2 100 SH COM 0 0 100
10.04.2020 Autodesk Inc 1 5 SH COM 0 0 5
17.07.2017 DNP Select Income Common 58 5294 SH COM 0 0 5294
30.10.2018 Occidental Petroleum Corp 4 50 SH COM 0 0 50
15.01.2020 SPDR S&P 500 ETF 48741 151437 SH ETF 0 0 151437
14.10.2016 Diamond Offshore Drilling Inc 12 660 SH COM 0 0 660
05.10.2017 Viacom Inc 13 475 SH COM 0 0 475
04.12.2015 Xcel Energy Inc 23 658 SH COM 0 0 658
16.10.2020 American Electric Power Co Inc 50 611 SH COM 0 0 611
05.10.2017 Brown-Forman Corp 2 36 SH COM 0 0 36
10.01.2019 Pure Storage Inc 18 1150 SH COM 0 0 1150
04.12.2015 American Express Co 1 20 SH COM 0 0 20
07.12.2015 Ford Motor Company 16 1000 SH COM 0 0 1000
17.07.2017 Cree Inc 1 32 SH COM 0 0 32
17.07.2017 Chipotle Mexican Grill Inc 10 24 SH COM 0 0 24
10.04.2020 Docusign INC 1 15 SH COM 0 0 15
08.07.2020 Exelon Corp 19 516 SH COM 0 0 516
16.10.2020 AMGEN INC. 13 52 SH COM 0 0 52
05.04.2017 AT&T Inc 897 21583 SH COM 0 0 21583
18.01.2018 iShares Russell 3000 1745 11030 SH ETF 0 0 11030
08.10.2019 Xcel Energy Inc 43 658 SH COM 0 0 658
12.07.2018 Paychex Inc 5 80 SH COM 0 0 80
11.04.2016 Yamana Gold Inc 24 8000 SH COM 0 0 8000
10.07.2019 Vanguard Small-Cap Value ETF 5 40 SH ETF 0 0 40
05.04.2017 Duke Energy Corporation 19 233 SH COM 0 0 233
12.07.2018 WisdomTree Dividend ex-Financials 6077 69934 SH ETF 0 0 69934
10.01.2019 Builders FirstSource Inc 15 1400 SH COM 0 0 1400
07.01.2021 McCormick & Company Inc 1359 14214 SH COM 0 0 14214
17.07.2017 Valero Energy Partners LP 7 150 SH COM 0 0 150
03.02.2016 iShares Morningstar Small-Cap Growth 5 35 SH ETF 0 0 35
19.07.2016 Fitbit Inc Cl A 3 260 SH COM 0 0 260
12.07.2018 iShares MSCI Emerging Markets 43 1002 SH ETF 0 0 1002
15.01.2020 HOME DEPOT INC. 64 292 SH COM 0 0 292
10.01.2019 CME Group Inc/IL 3 17 SH COM 0 0 17
10.04.2020 Vanguard Total Stock Market ETF 126 976 SH ETF 0 0 976
18.01.2018 Dominion Resources Inc 10 125 SH COM 0 0 125
08.10.2019 DNP Select Income Common 68 5294 SH COM 0 0 5294
17.07.2017 Builders FirstSource Inc 21 1400 SH COM 0 0 1400
17.07.2017 Archer-Daniels Midland Co 1 30 SH COM 0 0 30
12.07.2018 Magellan Midstream Partners L.P. 21 300 SH COM 0 0 300
08.10.2019 WisdomTree India Earnings ETF 974 40845 SH ETF 0 0 40845
07.01.2021 iShares Core MSCI Europe ETF 13 250 SH ETF 0 0 250
31.03.2021 UnitedHealth Group Inc 80 215 SH COM 0 0 215
07.01.2021 SunCoke Energy Inc 1 119 SH COM 0 0 119
08.07.2020 iShares MSCI Global Gold Miners 59 1963 SH ETF 0 0 1963
03.02.2016 Godaddy Inc 1 38 SH COM 0 0 38
04.12.2015 Microsoft Corp 140 3160 SH COM 0 0 3160
14.10.2016 WisdomTree Dividend ex-Financials 5828 74173 SH ETF 0 0 74173
10.04.2020 Abbvie Inc 31 410 SH COM 0 0 410
31.03.2021 General Mills Inc 59 960 SH COM 0 0 960
10.07.2019 Comcast Corp 23 543 SH COM 0 0 543
05.10.2017 M&T Bank Corp 16 101 SH COM 0 0 101
12.07.2018 Hewlett Packard Enterprise Co 0 33 SH COM 0 0 33
16.10.2020 Automatic Data Processing 169 1215 SH COM 0 0 1215
30.10.2018 Nordstrom Inc 3 45 SH COM 0 0 45
08.04.2019 SPDR S&P Dividend ETF 6335 63729 SH ETF 0 0 63729
05.04.2017 Health Care Select Sector SPDR 1981 26636 SH ETF 0 0 26636
20.01.2017 Goldcorp Inc 928 68264 SH COM 0 0 68264
07.12.2015 Pioneer Natural Resources Co 80 489 SH COM 0 0 489
03.02.2016 Newmont Mining Corp 58 3220 SH COM 0 0 3220
08.04.2019 Eaton Vance Corp 32 800 SH COM 0 0 800
11.04.2016 iShares Morningstar Small-Cap Growth 5 35 SH ETF 0 0 35
07.12.2015 Health Care Select Sector SPDR 4 59 SH ETF 0 0 59
03.02.2016 lowes companies incorporated 0 1 SH COM 0 0 1
11.04.2016 Wal-Mart Stores Inc 24 357 SH COM 0 0 357
31.03.2021 iShares S&P Small-Cap 600 Growth 6 50 SH ETF 0 0 50
15.01.2020 PIMCO Enhanced Short Maturity ETF 7892 77683 SH ETF 0 0 77683
10.04.2020 Wayfair Inc Cl A 1 10 SH COM 0 0 10
03.02.2016 Guggenheim BulletShrs2017 Corp Bd ETF 615 27327 SH ETF 0 0 27327
16.10.2020 iShares S&P MidCap 400 Growth 4 18 SH ETF 0 0 18
08.04.2019 United Technologies Corporation 25 200 SH COM 0 0 200
10.01.2019 iShares Core S&P 500 27 108 SH ETF 0 0 108
06.04.2018 Hewlett Packard Enterprise Co 1 33 SH COM 0 0 33
03.02.2016 Ford Motor Company 28 2000 SH COM 0 0 2000
06.04.2018 Advanced Battery Technologies Inc 0 30 SH COM 0 0 30
31.03.2021 Lexington Realty Trust 23 400 SH PFD CONV SER C 0 0 400
10.01.2019 Vanguard Value ETF 8 79 SH ETF 0 0 79
16.10.2020 Splunk Inc 8 40 SH COM 0 0 40
11.04.2016 Nucor Corp 12 245 SH COM 0 0 245
05.04.2017 iShares Tr MSCI USA MinVolatility 20714 434071 SH ETF 0 0 434071
10.07.2019 Domino s Pizza Inc 8 27 SH COM 0 0 27
10.07.2019 Adobe Systems Inc 2 6 SH COM 0 0 6
07.12.2015 McCormick & Company Inc 340 4380 SH COM 0 0 4380
10.01.2019 AT&T Inc 73 2543 SH COM 0 0 2543
20.01.2017 PNC Financial Services Group Inc 36 308 SH COM 0 0 308
14.10.2016 Chesapeake Energy Corp 0 48 SH COM 0 0 48
17.07.2017 PNC Financial Services Group Inc 337 2702 SH COM 0 0 2702
15.01.2020 iShares Core MSCI Total Intl Stk 16 252 SH ETF 0 0 252
16.10.2020 Morgan Stanley 5 100 SH COM 0 0 100
14.10.2016 First Trust NASDAQ Global Auto Index 3 100 SH ETF 0 0 100
17.07.2017 Duke Energy Corporation 19 233 SH COM 0 0 233
10.07.2019 iShares MSCI EmrgMkts MinVolatility 14 245 SH ETF 0 0 245
14.10.2016 BP PLC 61 1746 SH ADR 0 0 1746
30.10.2018 iShares S&P Small-Cap 600 Growth 5 25 SH ETF 0 0 25
10.01.2019 Lumber Liquidators Holdings Inc 1 100 SH COM 0 0 100
04.12.2015 Whole Foods Market Inc 5 146 SH COM 0 0 146
11.04.2016 Rockwell Medical Inc 118 15735 SH COM 0 0 15735
17.07.2017 Broadridge Financial Solutions Inc 37 491 SH COM 0 0 491
08.07.2020 iShares Core S&P Mid-Cap 3 17 SH ETF 0 0 17
12.07.2018 Guggenheim S&P 500 Top 50 ETF 33 169 SH ETF 0 0 169
05.10.2017 WisdomTree India Earnings ETF 1012 40215 SH ETF 0 0 40215
03.02.2016 First Trust Health Care AlphaDEX 14 231 SH ETF 0 0 231
14.10.2016 Market Vectors Gold Miners ETF 16 600 SH ETF 0 0 600
14.10.2016 ASTRAZENECA PLC -SPONS ADR 3 100 SH ADR 0 0 100
31.03.2021 AT&T Inc 201 6628 SH COM 0 0 6628
19.07.2016 Tyco International Ltd 1 17 SH SHS 0 0 17
30.10.2018 Citigroup Inc 0 1 SH COM 0 0 1
08.04.2019 Verizon Communications Inc 149 2526 SH COM 0 0 2526
08.04.2019 Omega Healthcare Investors Inc 14 384 SH COM 0 0 384
08.10.2019 Cronos Group Inc 2 200 SH COM 0 0 200
10.01.2019 GOLDFIELD CORP 0 100 SH COM 0 0 100
10.07.2019 Groupon Inc 0 80 SH COM 0 0 80
05.04.2017 SPDR S&P 500 ETF 35985 152645 SH ETF 0 0 152645
31.03.2021 Bausch Health Companies Inc 2 50 SH COM 0 0 50
17.07.2017 Verizon Communications Inc 108 2426 SH COM 0 0 2426
08.10.2019 McCormick & Company Inc 422 2711 SH COM 0 0 2711
16.10.2020 JPMorgan Ultra-Short Income ETF 8558 168478 SH ETF 0 0 168478
11.04.2016 Diamond Offshore Drilling Inc 14 660 SH COM 0 0 660
31.03.2021 SPDR Dow Jones Industrial Average 12 36 SH ETF 0 0 36
17.07.2017 Texas Instruments Inc 46 594 SH COM 0 0 594
06.04.2018 Market Vectors Agribusiness ETF 24 395 SH ETF 0 0 395
05.04.2017 MetLife Inc 4 78 SH COM 0 0 78
17.07.2017 PowerShares Cleantech 0 5 SH ETF 0 0 5
08.10.2019 Vodafone Group PLC 1 40 SH ADR 0 0 40
18.01.2018 iShares 7-10 Year Treasury Bond 6535 61898 SH ETF 0 0 61898
11.04.2016 McCormick & Company Inc 435 4380 SH COM 0 0 4380
07.01.2021 United Parcel Service Inc (UPS) 4 25 SH COM 0 0 25
17.07.2017 UNDER ARMOUR INC-CLASS C 324 16067 SH COM 0 0 16067
18.01.2018 T. Rowe Price Group Inc 104 986 SH COM 0 0 986
10.07.2019 Medtronic Inc 1 9 SH COM 0 0 9
15.01.2020 iShares US Basic Materials 11 112 SH ETF 0 0 112
06.04.2018 Market Vectors Gold Miners ETF 13 600 SH ETF 0 0 600
03.02.2016 iShares Core S&P Mid-Cap 1 5 SH ETF 0 0 5
08.04.2019 iShares 1-3 Year Treasury Bond 10 125 SH ETF 0 0 125
30.10.2018 Nuveen MD Premium Income Muni Common 15 1310 SH COM 0 0 1310
07.12.2015 Enterprise Products Partners LP 154 4670 SH COM 0 0 4670
31.03.2021 VanEck Vectors Oil Services ETF 19 100 SH ETF 0 0 100
05.04.2017 DNP Select Income Common 57 5294 SH COM 0 0 5294
18.01.2018 Guggenheim S&P 500 Eq Wt Technology ETF 10 73 SH ETF 0 0 73
10.07.2019 iShares Russell 1000 Growth 2 13 SH ETF 0 0 13
10.04.2020 Nutrien Ltd 0 12 SH COM 0 0 12
16.10.2020 iShares Core US REIT ETF 27 610 SH ETF 0 0 610
31.03.2021 Medifast Inc 6 30 SH COM 0 0 30
05.04.2017 Eastman Chemical Co 28 350 SH COM 0 0 350
05.10.2017 INTEL CORP 15 403 SH COM 0 0 403
10.07.2019 Stryker Corporation 41 200 SH COM 0 0 200
18.01.2018 Ormat Technologies Inc 5 75 SH COM 0 0 75
10.01.2019 Reality Shs Etf Tr Nsd Nxgn Eco Etf 1 42 SH ETF 0 0 42
31.03.2021 Costco Wholesale Corp 60 169 SH COM 0 0 169
12.07.2018 Tableau Software Inc 2 20 SH COM 0 0 20
04.12.2015 iShares MSCI Russia Capped Index 36 3000 SH ETF 0 0 3000
08.04.2019 Altria Group Inc 14 250 SH COM 0 0 250
05.04.2017 Godaddy Inc 4 114 SH COM 0 0 114
15.01.2020 STURM RUGER AND CO INC 2 50 SH COM 0 0 50
20.01.2017 iShares MSCI Eurozone 3 92 SH ETF 0 0 92
18.01.2018 Alphabet Inc A 25 24 SH COM 0 0 24
07.12.2015 Energy Select Sector SPDR 7 84 SH ETF 0 0 84
06.04.2018 Schlumberger NV 12 189 SH COM 0 0 189
30.10.2018 iShares MSCI Emerging Markets 43 1002 SH ETF 0 0 1002
20.01.2017 iShares High Dividend 3092 37592 SH ETF 0 0 37592
06.04.2018 Nutanix Inc 10 200 SH COM 0 0 200
10.04.2020 Hershey Co 118 892 SH COM 0 0 892
08.10.2019 Qorvo Inc 7 100 SH COM 0 0 100
20.01.2017 ALPS Alerian MLP ETF 24 1892 SH ETF 0 0 1892
31.03.2021 Oracle Corporation 14 200 SH COM 0 0 200
14.10.2016 Smith & Wesson Holding Corporation 11 408 SH COM 0 0 408
18.01.2018 PowerShares Cleantech 0 5 SH ETF 0 0 5
16.10.2020 Stericycle Inc 13 200 SH COM 0 0 200
07.01.2021 comScore Inc 0 200 SH COM 0 0 200
06.04.2018 Stryker Corporation 32 200 SH COM 0 0 200
19.07.2016 ASTRAZENECA PLC -SPONS ADR 3 100 SH ADR 0 0 100
08.10.2019 Exxon Mobil Corporation 185 2620 SH COM 0 0 2620
08.04.2019 Viacom Inc 13 475 SH COM 0 0 475
15.01.2020 Iqvia Hldgs Inc 4 25 SH COM 0 0 25
08.07.2020 Beyond Meat Inc 134 1000 SH COM 0 0 1000
20.01.2017 Groupon Inc 0 80 SH COM 0 0 80
06.04.2018 WisdomTree Europe Hedged Equity ETF 789 12580 SH ETF 0 0 12580
20.01.2017 Wal-Mart Stores Inc 32 464 SH COM 0 0 464
06.04.2018 ConocoPhillips 7 117 SH COM 0 0 117
11.04.2016 Avago Technologies Ltd 11 71 SH SHS 0 0 71
05.04.2017 CBS Corp 86 1242 SH COM 0 0 1242
08.07.2020 Sun Life Financial Inc 48 1294 SH COM 0 0 1294
05.04.2017 UNDER ARMOUR INC-CLASS C 297 16237 SH COM 0 0 16237
05.04.2017 Stericycle Inc 17 200 SH COM 0 0 200
07.12.2015 Realty Income Corp 23 455 SH COM 0 0 455
04.12.2015 Valley National Bancorp 6 631 SH COM 0 0 631
03.02.2016 SPDR S&P Emerging Asia Pacific ETF 1 14 SH ETF 0 0 14
15.01.2020 Nordstrom Inc 2 45 SH COM 0 0 45
08.07.2020 Ameren Corp 291 4138 SH COM 0 0 4138
17.07.2017 iShares S&P 500 Value ETF 4 35 SH ETF 0 0 35
15.01.2020 NOVARTIS AG-ADR 2 21 SH ADR 0 0 21
14.10.2016 iShares Core S&P 500 3 12 SH ETF 0 0 12
05.10.2017 iShares MSCI Emerging Markets 45 1002 SH ETF 0 0 1002
10.04.2020 iShares S&P 100 Index Fund CBOE 80 677 SH ETF 0 0 677
16.10.2020 VanEck Vectors Semiconductor ETF 782 4490 SH ETF 0 0 4490
04.12.2015 PPL Corp 70 2138 SH COM 0 0 2138
17.07.2017 TESLA MTRS INC 26 71 SH COM 0 0 71
20.01.2017 Materials Select Sector SPDRA 1 18 SH ETF 0 0 18
15.01.2020 iShares Core US REIT ETF 33 610 SH ETF 0 0 610
10.04.2020 Texas Instruments Inc 40 400 SH COM 0 0 400
31.03.2021 TE Connectivity Ltd 1 10 SH SHS 0 0 10
14.10.2016 iPath DJ-UBS Cotton TR Sub-Idx ETN 32 700 SH ETN 0 0 700
20.01.2017 Johnson Controls Inc 0 9 SH COM 0 0 9
14.10.2016 iShares US Real Estate 2806 34791 SH ETF 0 0 34791
08.10.2019 Microsoft Corp 459 3303 SH COM 0 0 3303
17.07.2017 Pentair Plc 5 77 SH COM 0 0 77
31.03.2021 iShares Morningstar Small-Cap Growth ETF 11 35 SH ETF 0 0 35
11.04.2016 WisdomTree Dividend ex-Financials 5661 75045 SH ETF 0 0 75045
05.04.2017 Cree Inc 1 32 SH COM 0 0 32
10.04.2020 iShares Core S&P 500 28 108 SH ETF 0 0 108
12.07.2018 Iqvia Hldgs Inc 2 25 SH COM 0 0 25
12.07.2018 Amazon.com Inc 39 23 SH COM 0 0 23
03.02.2016 Fitbit Inc Cl A 6 210 SH COM 0 0 210
10.04.2020 PTC Inc 1 15 SH COM 0 0 15
05.10.2017 Freeport-McMoran Copper & Gold 43 3065 SH COM 0 0 3065
30.10.2018 Thor Industries Inc 28 334 SH COM 0 0 334
06.04.2018 Olin Corp 2 50 SH COM 0 0 50
05.10.2017 Pentair Plc 5 77 SH COM 0 0 77
05.04.2017 iShares Russell 2000 118 860 SH ETF 0 0 860
11.04.2016 Valeant Pharmaceuticals Intl I Com 1 50 SH COM 0 0 50
18.01.2018 MetLife Inc 4 78 SH COM 0 0 78
19.07.2016 iShares MSCI Global Gold Miners 35 2946 SH ETF 0 0 2946
05.10.2017 Archer-Daniels Midland Co 1 30 SH COM 0 0 30
08.10.2019 WisdomTree International SmallCp Div ETF 11 170 SH ETF 0 0 170
08.07.2020 SPDR S&P 500 ETF 45747 148357 SH ETF 0 0 148357
05.10.2017 iShares MSCI Glbl Agriculture Producers 3 96 SH ETF 0 0 96
04.12.2015 iShares DJ US Total Market Index 8551 88633 SH ETF 0 0 88633
18.01.2018 Stryker Corporation 31 200 SH COM 0 0 200
04.12.2015 Stericycle Inc 12 89 SH COM 0 0 89
05.10.2017 CATERPILLAR INC. 7 54 SH COM 0 0 54
10.04.2020 Johnson Controls Inc 0 9 SH COM 0 0 9
08.07.2020 iShares Russell 1000 Growth 2 13 SH ETF 0 0 13
14.10.2016 Manulife Financial Corporation 4 270 SH COM 0 0 270
07.12.2015 iShares MBS 4 38 SH ETF 0 0 38
08.04.2019 GENERAL ELECTRIC COMPANY 2 245 SH COM 0 0 245
08.04.2019 Valero Energy Corp 2 25 SH COM 0 0 25
10.07.2019 NETFLIX INC. 12 33 SH COM 0 0 33
07.12.2015 Denbury Resources Inc 9 1260 SH COM 0 0 1260
15.01.2020 Coca-Cola Co 105 1898 SH COM 0 0 1898
15.01.2020 Lumber Liquidators Holdings Inc 1 100 SH COM 0 0 100
15.01.2020 iShares International Preferred Stk ETF 8 500 SH ETF 0 0 500
07.01.2021 Deere & Co 8 29 SH COM 0 0 29
05.04.2017 APPLE INC. 296 2059 SH COM 0 0 2059
05.10.2017 iShares Core MSCI Total Intl Stk 1 12 SH ETF 0 0 12
30.10.2018 Pentair Plc 3 77 SH COM 0 0 77
08.10.2019 iShares Core S&P Small-Cap 25 324 SH ETF 0 0 324
19.07.2016 Market Vectors Russia ETF 6 318 SH ETF 0 0 318
19.07.2016 Godaddy Inc 4 114 SH COM 0 0 114
20.01.2017 TE Connectivity Ltd 1 10 SH SHS 0 0 10
30.10.2018 iShares Floating Rate Bond 3 55 SH ETF 0 0 55
10.07.2019 Morgan Stanley 4 100 SH COM 0 0 100
16.10.2020 Marathon Petroleum Corp 3 100 SH COM 0 0 100
31.03.2021 iShares International Select Dividend 270 8570 SH ETF 0 0 8570
14.10.2016 Newmont Mining Corp 127 3220 SH COM 0 0 3220
07.01.2021 Wheeler Real Estate Investment Trust Inc 12 900 SH CV PFD SER 0 0 900
15.01.2020 iShares S&P MidCap 400 Growth 5 19 SH ETF 0 0 19
15.01.2020 Ameriprise Financial Inc 28 167 SH COM 0 0 167
17.07.2017 iShares Core Dividend Growth 4 135 SH ETF 0 0 135
08.04.2019 GlaxoSmithKline PLC 2 60 SH ADR 0 0 60
16.10.2020 Prologis Inc 43 423 SH COM 0 0 423
08.04.2019 Advanced Battery Technologies Inc 0 30 SH COM 0 0 30
08.10.2019 Texas Instruments Inc 52 400 SH COM 0 0 400
08.07.2020 Newmont Mining Corp 199 3220 SH COM 0 0 3220
05.04.2017 DUNKIN BRANDS GROUP INC 2 35 SH COM 0 0 35
05.04.2017 Technology Select Sector SPDRA 4 76 SH ETF 0 0 76
08.07.2020 Paychex Inc 17 230 SH COM 0 0 230
10.04.2020 T. Rowe Price Group Inc 84 860 SH COM 0 0 860
08.10.2019 iShares International Select Dividend 318 10360 SH ETF 0 0 10360
16.10.2020 ASTRAZENECA PLC -SPONS ADR 5 100 SH ADR 0 0 100
12.07.2018 TE Connectivity Ltd 1 10 SH SHS 0 0 10
08.07.2020 Sotherly Hotels Inc 13 5291 SH COM 0 0 5291
31.03.2021 Masimo Corp 11 50 SH COM 0 0 50
30.10.2018 Technology Select Sector SPDRA 6 76 SH ETF 0 0 76
08.07.2020 Alphabet Inc C 11 8 SH COM 0 0 8
08.04.2019 Brown-Forman Corp 2 45 SH COM 0 0 45
05.04.2017 Realty Income Corp 27 455 SH COM 0 0 455
18.01.2018 ASTRAZENECA PLC -SPONS ADR 3 100 SH ADR 0 0 100
07.01.2021 BRISTOL MYERS SQUIBB CONTINGENT RTS 0 15 SH RIGHT 0 0 15
30.10.2018 Altria Group Inc 15 250 SH COM 0 0 250
06.04.2018 Exxon Mobil Corporation 240 3214 SH COM 0 0 3214
16.10.2020 Northrop Grumman Corp 5 15 SH COM 0 0 15
31.03.2021 MasterCard Inc 18 50 SH COM 0 0 50
10.07.2019 Dell Inc 9 185 SH COM 0 0 185
10.04.2020 FedEx Corp 5 45 SH COM 0 0 45
06.04.2018 Northrop Grumman Corp 18 50 SH COM 0 0 50
10.07.2019 Garrett Motion Inc 0 1 SH COM 0 0 1
06.04.2018 DXC Technology Co 0 2 SH COM 0 0 2
05.04.2017 Rockwell Automation Inc 44 282 SH COM 0 0 282
12.07.2018 Arconic Inc 129 7600 SH COM 0 0 7600
31.03.2021 Altria Group Inc 10 200 SH COM 0 0 200
31.03.2021 Fidelity MSCI Energy ETF 1 110 SH ETF 0 0 110
04.12.2015 Priceline Group Inc 1 1 SH COM 0 0 1
08.04.2019 WisdomTree US High Dividend ETF 7 99 SH ETF 0 0 99
18.01.2018 MERCK & CO. INC. 104 1846 SH COM 0 0 1846
08.07.2020 Medifast Inc 4 30 SH COM 0 0 30
30.10.2018 FedEx Corp 5 19 SH COM 0 0 19
06.04.2018 Chipotle Mexican Grill Inc 6 19 SH COM 0 0 19
31.03.2021 Procter & Gamble Co 3 25 SH COM 0 0 25
10.07.2019 Wheeler Real Estate Investment Trust Inc 22 1600 SH CV PFD SER 0 0 1600
10.04.2020 PPL Corp 168 6800 SH COM 0 0 6800
05.04.2017 Alphabet Inc C 20 24 SH COM 0 0 24
08.04.2019 iShares Core US REIT ETF 31 610 SH ETF 0 0 610
08.04.2019 Costco Wholesale Corp 24 100 SH COM 0 0 100
11.04.2016 Conformis Inc 2 140 SH COM 0 0 140
18.01.2018 Magellan Midstream Partners L.P. 21 300 SH COM 0 0 300
04.12.2015 Michael Kors Holdings Ltd 3 65 SH SHS 0 0 65
12.07.2018 Broadridge Financial Solutions Inc 57 491 SH COM 0 0 491
05.04.2017 Cisco Systems Inc 2 55 SH COM 0 0 55
14.10.2016 Deere & Co 2 29 SH COM 0 0 29
12.07.2018 MannKind Corp 1 500 SH COM 0 0 500
05.04.2017 Shake Shack Inc 2 50 SH COM 0 0 50
07.12.2015 BlackRock Inc 4 10 SH COM 0 0 10
11.04.2016 Biota Pharmaceuticals Inc 0 3 SH COM 0 0 3
08.10.2019 Bausch Health Companies Inc 1 50 SH COM 0 0 50
12.07.2018 Amphastar Pharmaceuticals Inc Del Com 2 100 SH COM 0 0 100
06.04.2018 Diamond Offshore Drilling Inc 10 660 SH COM 0 0 660
19.07.2016 ABBOTT LABORATORIES 6 150 SH COM 0 0 150
18.01.2018 Broadridge Financial Solutions Inc 44 491 SH COM 0 0 491
31.03.2021 Prologis Inc 45 423 SH COM 0 0 423
10.07.2019 Schlumberger NV 7 165 SH COM 0 0 165
15.01.2020 Exelon Corp 24 516 SH COM 0 0 516
03.02.2016 Technology Select Sector SPDRA 3 76 SH ETF 0 0 76
08.04.2019 iShares Select Dividend 57 588 SH ETF 0 0 588
08.04.2019 iShares Global REIT ETF 3 124 SH ETF 0 0 124
20.01.2017 Comcast Corp 90 1307 SH COM 0 0 1307
10.07.2019 Invesco QQQ Trust 16003 85698 SH UNIT SER 1 0 0 85698
05.04.2017 BB&T Corp 6 130 SH COM 0 0 130
14.10.2016 Goldcorp Inc 1126 68177 SH COM 0 0 68177
10.04.2020 iShares Core US Aggregate Bond 18 155 SH ETF 0 0 155
04.12.2015 Southwest Airlines Co 4 100 SH COM 0 0 100
14.10.2016 Amazon.com Inc 19 23 SH COM 0 0 23
08.04.2019 Archer-Daniels Midland Co 1 30 SH COM 0 0 30
08.04.2019 Ishares Silver Trust 85 6053 SH ETF 0 0 6053
15.01.2020 Morgan Stanley 5 100 SH COM 0 0 100
07.12.2015 Thomson Reuters Corp 4 100 SH COM 0 0 100
14.10.2016 Mallinckrodt PLC 0 1 SH SHS 0 0 1
12.07.2018 iShares Core US REIT ETF 30 610 SH ETF 0 0 610
30.10.2018 GlaxoSmithKline PLC 2 60 SH ADR 0 0 60
14.10.2016 Market Vectors Junior Gold Miners ETF 13 300 SH ETF 0 0 300
15.01.2020 Pinterest Inc Cl A 2 130 SH ETF 0 0 130
16.10.2020 Prudential Financial Inc 5 76 SH COM 0 0 76
06.04.2018 iShares MSCI Glbl Agriculture Producers 3 96 SH ETF 0 0 96
12.07.2018 Ishares Silver Trust 92 6053 SH ETF 0 0 6053
11.04.2016 JPMorgan Alerian MLP ETN 14 535 SH ETN 0 0 535
10.04.2020 Invesco Financial Preferred ETF 11 650 SH ETF 0 0 650
08.07.2020 Becton Dickinson & Co 14 60 SH COM 0 0 60
11.04.2016 ALPS Alerian MLP ETF 8 692 SH ETF 0 0 692
15.01.2020 Aqua Metals Inc 1 755 SH COM 0 0 755
18.01.2018 Teradyne Inc 2 40 SH COM 0 0 40
10.07.2019 lowes companies incorporated 23 230 SH COM 0 0 230
11.04.2016 Cameco Corp 34 2670 SH COM 0 0 2670
08.07.2020 iShares US Real Estate 12 158 SH ETF 0 0 158
15.01.2020 Ansys Inc 1 4 SH COM 0 0 4
17.07.2017 Visa Inc 6 60 SH COM 0 0 60
10.04.2020 Rambus Inc 2 200 SH COM 0 0 200
31.03.2021 First Trust Health Care AlphaDEX 17 161 SH ETF 0 0 161
16.10.2020 Nordstrom Inc 1 45 SH COM 0 0 45
04.12.2015 Cisco Systems Inc 15 570 SH COM 0 0 570
06.04.2018 PowerShares S&P Intl Dev Low Volatil ETF 3 99 SH ETF 0 0 99
07.01.2021 Energy Transfer Equity LP 1 227 SH COM 0 0 227
31.03.2021 Sensata Technologies Holding PLC 39 665 SH SHS 0 0 665
04.12.2015 iShares US Home Construction 5 200 SH ETF 0 0 200
05.04.2017 Cameco Corp 30 2670 SH COM 0 0 2670
14.10.2016 Ishares S&P GSCI Commodity-Indexed Trust 11 775 SH ETF 0 0 775
05.10.2017 STURM RUGER AND CO INC 4 70 SH COM 0 0 70
07.12.2015 Altria Group Inc 145 2900 SH COM 0 0 2900
06.04.2018 iShares Core S&P Small-Cap 17 226 SH ETF 0 0 226
12.07.2018 STMicroelectronics NV 2 80 SH COM 0 0 80
14.10.2016 Vanguard FTSE Developed Markets ETF 25 678 SH ETF 0 0 678
16.10.2020 Churchill Downs Inc 14 85 SH COM 0 0 85
16.10.2020 MFAM Small-Cap Growth ETF 20 667 SH ETF 0 0 667
17.07.2017 Johnson Controls Inc 0 9 SH COM 0 0 9
10.07.2019 WisdomTree International MidCap Div ETF 8 132 SH ETF 0 0 132
08.07.2020 CATERPILLAR INC. 7 54 SH COM 0 0 54
12.07.2018 Viacom Inc 14 475 SH COM 0 0 475
31.03.2021 iShares Russell 1000 Growth 3 13 SH ETF 0 0 13
04.12.2015 T. Rowe Price Group Inc 60 860 SH COM 0 0 860
05.10.2017 Quintiles IMS Holdings Inc 2 25 SH COM 0 0 25
19.07.2016 Coach Inc 2 60 SH COM 0 0 60
18.01.2018 PowerShares DB Commodity Index Tracking 5 300 SH ETF 0 0 300
12.07.2018 Archer-Daniels Midland Co 1 30 SH COM 0 0 30
30.10.2018 DNP Select Income Common 59 5294 SH COM 0 0 5294
15.01.2020 Codexis Inc 1 50 SH COM 0 0 50
08.07.2020 Badger Meter Inc 195 3092 SH COM 0 0 3092
07.01.2021 UnitedHealth Group Inc 75 215 SH COM 0 0 215
08.10.2019 Garrett Motion Inc 0 1 SH COM 0 0 1
04.12.2015 BP PLC 53 1742 SH ADR 0 0 1742
04.12.2015 Ishares S&P GSCI Commodity-Indexed Trust 13 775 SH ETF 0 0 775
03.02.2016 Agnico Eagle Mines Ltd 12 440 SH COM 0 0 440
07.01.2021 FedEx Corp 31 120 SH COM 0 0 120
15.01.2020 Invesco China Technology ETF 3 50 SH ETF 0 0 50
14.10.2016 Kohl s Corp 0 7 SH COM 0 0 7
18.01.2018 Chesapeake Energy Corp 0 48 SH COM 0 0 48
16.10.2020 Paychex Inc 18 230 SH COM 0 0 230
18.01.2018 Cisco Systems Inc 21 555 SH COM 0 0 555
05.10.2017 HSBC Holdings PLC