Advisory Resource Group Top Holdings and 13F Report (2024) → The only AI company to buy (From Porter & Company) (Ad) About Advisory Resource GroupInvestment ActivityAdvisory Resource Group has $435.81 million in total holdings as of March 31, 2024.Advisory Resource Group owns shares of 158 different stocks, but just 47 companies or ETFs make up 80% of its holdings.Approximately 6.69% of the portfolio was purchased this quarter.About 6.27% of the portfolio was sold this quarter.This quarter, Advisory Resource Group has purchased 150 new stocks and bought additional shares in 84 stocks.Advisory Resource Group sold shares of 52 stocks and completely divested from 7 stocks this quarter.Largest Holdings Pacer Metaurus US Large Cap Dividend Multiplier 400 ETF $41,988,841Phillips 66 $37,999,805ConocoPhillips $28,640,649ALPS ETF TR $18,093,595iShares Russell 2500 ETF $15,123,696 Largest New Holdings this Quarter American International Group $4,153,876 HoldingMORGAN STANLEY ETF TRUST $2,703,166 HoldingRoyalty Pharma $823,665 HoldingFT Vest International Equity Moderate Buffer ETF - December $477,103 HoldingNextEra Energy $354,892 Holding Largest Purchases this Quarter American International Group 53,139 shares (about $4.15M)MORGAN STANLEY ETF TRUST 54,335 shares (about $2.70M)JANUS DETROIT STR TR 50,775 shares (about $2.62M)iShares Russell 2500 ETF 16,215 shares (about $1.06M)Royalty Pharma 27,121 shares (about $823.67K) Largest Sales this Quarter PGIM Total Return Bond ETF 140,719 shares (about $5.85M)Lam Research 4,435 shares (about $4.31M)Phillips 66 24,202 shares (about $3.95M)ALPS ETF TR 63,628 shares (about $1.63M)Pacer Cash Cows Fund of Funds ETF 37,248 shares (about $1.46M) Sector Allocation Over TimeMap of 500 Largest Holdings ofAdvisory Resource Group Selling Neutral Buying Latest 13F Holdings and Changes Since Previous Quarterly FilingIssuer NameHoldings ValueApproximate Purchase/SaleChange in SharesShares Held% of PortfolioSectorQDPLPacer Metaurus US Large Cap Dividend Multiplier 400 ETF$41,988,841$492,894 ▼-1.2%1,172,8739.6%ETFPSXPhillips 66$37,999,805$3,953,161 ▼-9.4%232,6428.7%Oils/EnergyCOPConocoPhillips$28,640,649$94,314 ▼-0.3%225,0216.6%Oils/EnergyALPS ETF TR$18,093,595$1,633,013 ▼-8.3%704,9914.2%SMITH CORE PLUSSMMDiShares Russell 2500 ETF$15,123,696$1,063,866 ▲7.6%230,5093.5%ETFHERDPacer Cash Cows Fund of Funds ETF$11,905,934$1,463,489 ▼-10.9%303,0242.7%ETFJEPIJPMorgan Equity Premium Income ETF$10,883,248$240,004 ▲2.3%188,0962.5%ETFJANUS DETROIT STR TR$10,824,817$2,621,493 ▲32.0%209,6632.5%HENDERSON SECURIIVViShares Core S&P 500 ETF$9,509,043$195,049 ▼-2.0%18,0872.2%ETFBKAGBNY Mellon Core Bond ETF$8,823,977$142,902 ▲1.6%210,7472.0%ETFAVIGAvantis Core Fixed Income ETF$7,243,211$693,495 ▲10.6%175,5931.7%ETFHYDBiShares High Yield Bond Factor ETF$6,335,699$753,220 ▲13.5%135,6101.5%ETFQQQInvesco QQQ$6,064,587$124,320 ▲2.1%13,6591.4%FinanceINDSPacer Industrial Real Estate ETF$5,833,631$374,962 ▲6.9%146,7581.3%ETFIWFiShares Russell 1000 Growth ETF$5,357,336$60,668 ▼-1.1%15,8951.2%ETFBKIEBNY Mellon International Equity ETF$4,969,618$57,615 ▲1.2%65,7271.1%ETFIWDiShares Russell 1000 Value ETF$4,918,719$277,800 ▲6.0%27,4621.1%ETFXOMExxon Mobil$4,717,431$417,646 ▲9.7%40,5841.1%Oils/EnergyCCitigroup$4,628,233$147,539 ▲3.3%73,1851.1%FinanceFITBFifth Third Bancorp$4,503,407$152,896 ▲3.5%121,0271.0%FinancePTRBPGIM Total Return Bond ETF$4,465,885$5,853,911 ▼-56.7%107,3531.0%ETFHALHalliburton$4,464,851$785,638 ▲21.4%113,2641.0%Oils/EnergyCIThe Cigna Group$4,429,168$149,637 ▲3.5%12,1951.0%MedicalCSLCarlisle Companies$4,427,905$213,558 ▼-4.6%11,3001.0%Multi-Sector ConglomeratesCMICummins$4,327,891$247,215 ▲6.1%14,6881.0%Auto/Tires/TrucksPULSPGIM Ultra Short Bond ETF$4,326,484$380,304 ▲9.6%87,0521.0%ETFHAWXiShares Currency Hedged MSCI ACWI ex U.S. ETF$4,315,919$506,944 ▲13.3%137,3841.0%ETFAMATApplied Materials$4,254,364$415,352 ▼-8.9%20,6291.0%Computer and TechnologyXLFFinancial Select Sector SPDR Fund$4,242,705$518,497 ▲13.9%100,7291.0%ETFAVDEAvantis International Equity ETF$4,237,180$410,167 ▲10.7%66,4761.0%ETFCSCOCisco Systems$4,218,905$712,867 ▲20.3%84,5301.0%Computer and TechnologyDOVDover$4,215,027$287,759 ▲7.3%23,7881.0%Industrial ProductsAIGAmerican International Group$4,153,876$4,153,876 ▲New Holding53,1391.0%FinanceAFLAflac$4,051,603$459,871 ▲12.8%47,1880.9%FinanceJNJJohnson & Johnson$3,960,504$516,973 ▲15.0%25,0360.9%MedicalQCONAmerican Century Quality Convertible Securities ETF$3,944,468$428,670 ▼-9.8%92,1820.9%ETFCTSHCognizant Technology Solutions$3,733,815$247,866 ▲7.1%50,9460.9%Computer and TechnologyAAPLApple$3,541,244$11,318 ▲0.3%20,6510.8%Computer and TechnologyJEPQJPMorgan Nasdaq Equity Premium Income ETF$3,264,002$52,179 ▼-1.6%60,1770.7%ETFHYFIAB High Yield ETF$3,123,358$102,800 ▲3.4%84,9200.7%ETFNFLTVirtus Newfleet Multi-Sector Bond ETF$3,116,133$132,090 ▲4.4%138,9270.7%ETFMSFTMicrosoft$3,066,209$32,395 ▲1.1%7,2880.7%Computer and TechnologyJAAAJanus Henderson AAA CLO ETF$2,875,842$207,273 ▲7.8%56,6780.7%ETFMORGAN STANLEY ETF TRUST$2,703,166$2,703,166 ▲New Holding54,3350.6%EATON VANCE TOTAIXUSiShares Core MSCI Total International Stock ETF$2,667,577$42,209 ▼-1.6%39,3100.6%ManufacturingVEMYVirtus Stone Harbor Emerging Markets High Yield Bond ETF$2,374,517$176,246 ▲8.0%89,2300.5%ETFSPEMSPDR Portfolio Emerging Markets ETF$2,168,107$262,378 ▲13.8%59,9090.5%ETFHPIJohn Hancock Preferred Income Fund$2,087,101$76,980 ▼-3.6%125,5020.5%Financial ServicesMETAMeta Platforms$1,990,906$512,780 ▼-20.5%4,1000.5%Computer and TechnologyFMHIFirst Trust Municipal High Income ETF$1,949,026$35,123 ▼-1.8%40,4530.4%ManufacturingFSMBFirst Trust Short Duration Managed Municipal ETF$1,924,531$28,424 ▼-1.5%97,0270.4%ETFMUBiShares National Muni Bond ETF$1,914,523$49,604 ▲2.7%17,7930.4%ETFAMZNAmazon.com$1,900,844$530,137 ▼-21.8%10,5380.4%Retail/WholesaleAVMUAvantis Core Municipal Fixed Income ETF$1,879,297$12,575 ▼-0.7%40,3500.4%ETFRVNUX-trackers Municipal Infrastructure Revenue Bond Fund$1,873,719$34,307 ▼-1.8%73,0210.4%ETFXLBMaterials Select Sector SPDR Fund$1,716,421$234,454 ▲15.8%18,4780.4%ETFNVDANVIDIA$1,678,822$387,629 ▼-18.8%1,8580.4%Computer and TechnologyBRK.BBerkshire Hathaway$1,606,386$62,657 ▼-3.8%3,8200.4%FinanceVLOValero Energy$1,521,7010.0%8,9150.3%Oils/EnergyXLVHealth Care Select Sector SPDR Fund$1,484,770$168,848 ▲12.8%10,0510.3%ETFGOOGAlphabet$1,475,399$661,722 ▲81.3%9,6900.3%Computer and TechnologyXLCCommunication Services Select Sector SPDR Fund$1,381,442$139,475 ▲11.2%16,9170.3%ETFPFXFVanEck Preferred Securities ex Financials ETF$1,337,930$7,766 ▼-0.6%75,6320.3%ETFLLYEli Lilly and Company$1,307,226$38,906 ▼-2.9%1,6800.3%MedicalABNBAirbnb$1,295,596$130,813 ▼-9.2%7,8540.3%Computer and TechnologyETNEaton$1,283,551$48,778 ▲4.0%4,1050.3%Industrial ProductsSCHDSchwab US Dividend Equity ETF$1,280,340$50,798 ▲4.1%15,8790.3%ETFNVSNovartis$1,169,756$464,014 ▲65.7%12,0930.3%MedicalTSMTaiwan Semiconductor Manufacturing$1,152,053$7,483 ▼-0.6%8,4680.3%Computer and TechnologyOKEONEOK$1,142,623$23,090 ▼-2.0%14,2520.3%Oils/EnergyAMDAdvanced Micro Devices$1,095,394$147,641 ▼-11.9%6,0690.3%Computer and TechnologyCPNGCoupang$1,036,997$162,761 ▲18.6%58,2910.2%Retail/WholesaleSTLAStellantis$1,009,546$126,501 ▲14.3%35,6730.2%Auto/Tires/TrucksCRH PLC$1,007,776$95,749 ▲10.5%11,6830.2%ORDTTDTrade Desk$1,002,183$55,337 ▲5.8%11,4640.2%Computer and TechnologyDOORDASH INC$998,745$104,943 ▼-9.5%7,2520.2%CL AMAMastercard$996,368$25,523 ▲2.6%2,0690.2%Business ServicesAXONAxon Enterprise$991,830$58,196 ▼-5.5%3,1700.2%Industrial ProductsXLYConsumer Discretionary Select Sector SPDR Fund$979,582$131,665 ▲15.5%5,3270.2%FinanceCOSTCostco Wholesale$954,847$8,794 ▲0.9%1,3030.2%Retail/WholesaleMFCManulife Financial$954,843$147,391 ▲18.3%38,2090.2%FinanceUBERUber Technologies$943,051$101,627 ▼-9.7%12,2490.2%Computer and TechnologyNVONovo Nordisk A/S$939,503$105,673 ▲12.7%7,3170.2%MedicalSLFSun Life Financial$937,630$184,862 ▲24.6%17,1790.2%FinanceTTTrane Technologies$927,318$52,235 ▲6.0%3,0890.2%Business ServicesCBChubb$915,506$147,963 ▲19.3%3,5330.2%FinanceASMLASML$904,478$10,675 ▼-1.2%9320.2%Computer and TechnologyCNICanadian National Railway$886,803$168,984 ▲23.5%6,7330.2%TransportationRYRoyal Bank of Canada$881,792$181,080 ▲25.8%8,7410.2%FinanceCDNSCadence Design Systems$877,187$9,338 ▲1.1%2,8180.2%Computer and TechnologyINFYInfosys$870,770$143,978 ▲19.8%48,5650.2%Computer and TechnologyNTESNetEase$862,422$246,776 ▲40.1%8,3350.2%Computer and TechnologyCRWDCrowdStrike$861,746$857,899 ▼-49.9%2,6880.2%Computer and TechnologyMELIMercadoLibre$836,114$39,311 ▲4.9%5530.2%Retail/WholesaleRPRXRoyalty Pharma$823,665$823,665 ▲New Holding27,1210.2%FinanceRIORio Tinto Group$822,628$212,127 ▲34.7%12,9060.2%Basic MaterialsNOWServiceNow$821,105$3,812 ▼-0.5%1,0770.2%Computer and TechnologyACNAccenture$807,601$107,796 ▲15.4%2,3300.2%Business ServicesSONYSony Group$792,323$174,738 ▲28.3%9,2410.2%Consumer DiscretionarySHOPShopify$764,986$36,733 ▼-4.6%9,9130.2%Computer and TechnologyShowing largest 100 holdings. 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