Q3 2023
AFFIRM HLDGS INC
0 shares
Exited
Q3 2023
AFFIRM HLDGS INC
20,000 shares
Reduced
Est. filing basis$12.87
Q3 2023
AIRBNB INCABNB
5,000 shares
New
Est. filing basis$137.21
Q3 2023
ALLEGO N V
0 shares
Exited
Q3 2023
ARES ACQUISITION CORPORATION
12,742 shares
Unchanged
Est. filing basis$10.07
Q3 2023
BEYOND MEAT INC
0 shares
Exited
Q3 2023
BLOCK INCXYZ
0 shares
Exited
Q3 2023
CARVANA COCVNA
10,000 shares
Reduced
Est. filing basis$24.72
Q3 2023
COINBASE GLOBAL INCCOIN
5,000 shares
Reduced
Est. filing basis$35.39
Q3 2023
DIGITAL RLTY TR INCDLR
40,000 shares
Unchanged
Est. filing basis$104.96
Q3 2023
DIGITAL RLTY TR INCDLR
1,493,700 shares
Reduced
Est. filing basis$103.73
Q3 2023
DIGITALBRIDGE GROUP INCDBRG
326,100 shares
Reduced
Est. filing basis$10.96
Q3 2023
DOORDASH INCDASH
0 shares
Exited
Q3 2023
DUTCH BROS INCBROS
10,000 shares
Unchanged
Est. filing basis$28.19
Q3 2023
ENOVIX CORPORATIONENVX
97,700 shares
Reduced
Est. filing basis$13.08
Q3 2023
ENVIVA INC
0 shares
Exited
Q3 2023
ENVIVA INC
0 shares
Exited
Q3 2023
EQUINIX INCEQIX
2,000 shares
Unchanged
Est. filing basis$721.04
Q3 2023
EQUINIX INCEQIX
124,900 shares
Increased
Est. filing basis$668.60
Q3 2023
FRESHPET INCFRPT
0 shares
Exited
Q3 2023
FUTU HLDGS LTD
0 shares
Exited
Q3 2023
GDS HLDGS LTDGDS
0 shares
Exited
Q3 2023
GENERAL ELECTRIC COGE
0 shares
Exited
Q3 2023
HASBRO INCHAS
0 shares
Exited
Q3 2023
INFLECTION PT ACQUISITN CRPUSAR
15,000 shares
New
Est. filing basis$10.22
Q3 2023
INFLECTION PT ACQUISITN CRP
0 shares
Exited
Q3 2023
INTERNATIONAL BUSINESS MACHSIBM
0 shares
Exited
Q3 2023
INTERNATIONAL BUSINESS MACHSIBM
0 shares
Exited
Q3 2023
INVESCO QQQ TRQQQ
2,134 shares
New
Est. filing basis$358.27
Q3 2023
INVESCO QQQ TRQQQ
5,400 shares
Reduced
Est. filing basis$266.28
Q3 2023
ISHARES TRSHV
2,725 shares
Unchanged
Est. filing basis$110.50
Q3 2023
JOBY AVIATION INCJOBY
87,800 shares
Increased
Est. filing basis$8.49
Q3 2023
LEMONADE INCLMND
0 shares
Exited
Q3 2023
LEMONADE INCLMND
94,000 shares
Reduced
Est. filing basis$15.68
Q3 2023
LIFE TIME GROUP HOLDINGS INCLTH
0 shares
Exited
Q3 2023
LIFE TIME GROUP HOLDINGS INCLTH
0 shares
Exited
Q3 2023
LIVE NATION ENTERTAINMENT INLYV
0 shares
Exited
Q3 2023
MARATHON DIGITAL HOLDINGS IN
0 shares
Exited
Q3 2023
MICROSTRATEGY INCMSTR
2,000 shares
Reduced
Est. filing basis$141.57
Q3 2023
MONGODB INCMDB
1,500 shares
Reduced
Est. filing basis$322.06
Q3 2023
NIKE INCNKE
0 shares
Exited
Q3 2023
NVIDIA CORPORATIONNVDA
1,500 shares
Reduced
Est. filing basis$277.77
Q3 2023
ORMAT TECHNOLOGIES INCORA
0 shares
Exited
Q3 2023
PIEDMONT LITHIUM INC
0 shares
Exited
Q3 2023
POOL CORPPOOL
0 shares
Exited
Q3 2023
ROYAL CARIBBEAN GROUPRCL
10,000 shares
Reduced
Est. filing basis$103.74
Q3 2023
SALESFORCE INCCRM
0 shares
Exited
Q3 2023
SL GREEN RLTY CORP
10,000 shares
Reduced
Est. filing basis$33.72
Q3 2023
SNOWFLAKE INCSNOW
0 shares
Exited
Q3 2023
SPDR SER TRKRE
49,786 shares
Reduced
Est. filing basis$40.83
Q3 2023
SPDR SER TRBIL
3,275 shares
Unchanged
Est. filing basis$91.82
Q3 2023
SUNNOVA ENERGY INTL INC.
158,600 shares
Reduced
Est. filing basis$18.31
Q3 2023
SUNRUN INCRUN
0 shares
Exited
Q3 2023
SUNRUN INCRUN
0 shares
Exited
Q3 2023
SUNRUN INCRUN
107,300 shares
Reduced
Est. filing basis$21.74
Q3 2023
TESLA INCTSLA
4,000 shares
Reduced
Est. filing basis$123.18
Q3 2023
TRAILBLAZER MERGER CORP I
12,549 shares
Unchanged
Est. filing basis$10.19
Q3 2023
UPSTART HLDGS INC
0 shares
Exited
Q3 2023
UTA ACQUISITION CORPORATION
0 shares
Exited
Q3 2023
VERTIV HOLDINGS COVRT
392,600 shares
Reduced
Est. filing basis$13.70
Q3 2023
WAYFAIR INCW
0 shares
Exited
Q3 2023
WAYFAIR INCW
5,000 shares
Reduced
Est. filing basis$32.89
Q3 2023
WD 40 CO
0 shares
Exited
Q3 2023
WINGSTOP INCWING
10,000 shares
Reduced
Est. filing basis$158.58
Q3 2023
WYNN RESORTS LTDWYNN
0 shares
Exited
Q3 2023
XPONENTIAL FITNESS INC
0 shares
Exited
Q2 2023
AFFIRM HLDGS INC
101,200 shares
New
Est. filing basis$15.33
Q2 2023
AFFIRM HLDGS INC
196,900 shares
Increased
Est. filing basis$12.87
Q2 2023
AIRBNB INCABNB
0 shares
Exited
Q2 2023
ALLEGO N V
20,000 shares
Unchanged
Est. filing basis$0.10
Q2 2023
ARES ACQUISITION CORPORATION
12,742 shares
Unchanged
Est. filing basis$10.07
Q2 2023
BEYOND MEAT INC
48,400 shares
Reduced
Est. filing basis$12.31
Q2 2023
BLOCK INCXYZ
0 shares
Exited
Q2 2023
BLOCK INCXYZ
35,100 shares
Increased
Est. filing basis$62.97
Q2 2023
CARVANA COCVNA
816,600 shares
Increased
Est. filing basis$24.72
Q2 2023
CATERPILLAR INCCAT
0 shares
Exited
Q2 2023
COINBASE GLOBAL INCCOIN
0 shares
Exited
Q2 2023
COINBASE GLOBAL INCCOIN
117,700 shares
Reduced
Est. filing basis$35.39
Q2 2023
DIGITAL RLTY TR INCDLR
40,000 shares
Increased
Est. filing basis$104.96
Q2 2023
DIGITAL RLTY TR INCDLR
2,040,700 shares
Increased
Est. filing basis$103.73
Q2 2023
DIGITALBRIDGE GROUP INCDBRG
746,600 shares
Reduced
Est. filing basis$10.96
Q2 2023
DOORDASH INCDASH
0 shares
Exited
Q2 2023
DOORDASH INCDASH
46,700 shares
Reduced
Est. filing basis$48.82
Q2 2023
DUTCH BROS INCBROS
10,000 shares
Reduced
Est. filing basis$28.19
Q2 2023
ENOVIX CORPORATIONENVX
0 shares
Exited
Q2 2023
ENOVIX CORPORATIONENVX
218,700 shares
Reduced
Est. filing basis$13.08
Q2 2023
ENVIVA INC
61,774 shares
New
Est. filing basis$10.85
Q2 2023
ENVIVA INC
61,700 shares
Reduced
Est. filing basis$35.94
Q2 2023
EQUINIX INCEQIX
2,000 shares
Reduced
Est. filing basis$721.04
Q2 2023
EQUINIX INCEQIX
101,900 shares
Reduced
Est. filing basis$655.58
Q2 2023
FIRST REP BK SAN FRANCISCO C
0 shares
Exited
Q2 2023
FRESHPET INCFRPT
0 shares
Exited
Q2 2023
FRESHPET INCFRPT
18,600 shares
Increased
Est. filing basis$55.15
Q2 2023
FUTU HLDGS LTD
0 shares
Exited
Q2 2023
FUTU HLDGS LTD
46,500 shares
Reduced
Est. filing basis$40.65
Q2 2023
GDS HLDGS LTDGDS
130,600 shares
Reduced
Est. filing basis$18.66
Q2 2023
GENERAL ELECTRIC COGE
0 shares
Exited
Q2 2023
GENERAL ELECTRIC COGE
138,300 shares
Reduced
Est. filing basis$84.00
Q2 2023
HARLEY DAVIDSON INCHOG
0 shares
Exited
Q2 2023
HASBRO INCHAS
19,300 shares
Reduced
Est. filing basis$61.01
Q2 2023
INFLECTION PT ACQUISITN CRP
15,000 shares
New
Est. filing basis$10.12
Q2 2023
INTERNATIONAL BUSINESS MACHSIBM
11,300 shares
Reduced
Est. filing basis$140.89
Q2 2023
INTERNATIONAL BUSINESS MACHSIBM
32,700 shares
Reduced
Est. filing basis$140.89
Q2 2023
INVESCO QQQ TRQQQ
12,100 shares
Reduced
Est. filing basis$266.28
Q2 2023
INVESCO QQQ TRQQQ
0 shares
Exited
Q2 2023
ISHARES TRSHV
2,725 shares
Reduced
Est. filing basis$110.50
Q2 2023
JOBY AVIATION INCJOBY
46,900 shares
New
Est. filing basis$10.26
Q2 2023
LEMONADE INCLMND
71,700 shares
Increased
Est. filing basis$15.36
Q2 2023
LEMONADE INCLMND
385,000 shares
Increased
Est. filing basis$15.68
Q2 2023
LIFE TIME GROUP HOLDINGS INCLTH
127,700 shares
New
Est. filing basis$19.67
Q2 2023
LIFE TIME GROUP HOLDINGS INCLTH
82,400 shares
Reduced
Est. filing basis$12.91
Q2 2023
LIVE NATION ENTERTAINMENT INLYV
0 shares
Exited
Q2 2023
LIVE NATION ENTERTAINMENT INLYV
18,700 shares
Reduced
Est. filing basis$69.74
Q2 2023
MARATHON DIGITAL HOLDINGS IN
162,800 shares
New
Est. filing basis$13.86
Q2 2023
MICROSTRATEGY INCMSTR
0 shares
Exited
Q2 2023
MICROSTRATEGY INCMSTR
18,300 shares
Reduced
Est. filing basis$141.57
Q2 2023
MONGODB INCMDB
5,000 shares
Increased
Est. filing basis$322.06
Q2 2023
NIKE INCNKE
0 shares
Exited
Q2 2023
NIKE INCNKE
15,600 shares
Reduced
Est. filing basis$117.01
Q2 2023
NVIDIA CORPORATIONNVDA
5,000 shares
Reduced
Est. filing basis$277.77
Q2 2023
OAK STR HEALTH INC
0 shares
Exited
Q2 2023
ORMAT TECHNOLOGIES INCORA
7,000 shares
Reduced
Est. filing basis$86.48
Q2 2023
PIEDMONT LITHIUM INC
61,400 shares
Increased
Est. filing basis$58.83
Q2 2023
PLANET FITNESS INCPLNT
0 shares
Exited
Q2 2023
POOL CORPPOOL
3,600 shares
Reduced
Est. filing basis$302.33
Q2 2023
ROBINHOOD MKTS INCHOOD
0 shares
Exited
Q2 2023
ROYAL CARIBBEAN GROUPRCL
49,500 shares
New
Est. filing basis$103.74
Q2 2023
SALESFORCE INCCRM
0 shares
Exited
Q2 2023
SALESFORCE INCCRM
33,800 shares
Reduced
Est. filing basis$199.78
Q2 2023
SL GREEN RLTY CORP
183,900 shares
Reduced
Est. filing basis$33.72
Q2 2023
SNOWFLAKE INCSNOW
5,000 shares
Increased
Est. filing basis$156.52
Q2 2023
SPDR SER TRKRE
100,505 shares
New
Est. filing basis$40.83
Q2 2023
SPDR SER TRBIL
3,275 shares
Reduced
Est. filing basis$91.82
Q2 2023
SUNNOVA ENERGY INTL INC.
204,600 shares
New
Est. filing basis$18.31
Q2 2023
SUNRUN INCRUN
8 shares
New
Est. filing basis$17.88
Q2 2023
SUNRUN INCRUN
41,100 shares
New
Est. filing basis$17.86
Q2 2023
SUNRUN INCRUN
576,200 shares
Increased
Est. filing basis$21.74
Q2 2023
TAIWAN SEMICONDUCTOR MFG LTDTSM
0 shares
Exited
Q2 2023
TESLA INCTSLA
0 shares
Exited
Q2 2023
TESLA INCTSLA
34,800 shares
Reduced
Est. filing basis$123.18
Q2 2023
TRAILBLAZER MERGER CORP I
12,549 shares
New
Est. filing basis$10.19
Q2 2023
UBER TECHNOLOGIES INCUBER
0 shares
Exited
Q2 2023
UPSTART HLDGS INC
37,500 shares
New
Est. filing basis$35.81
Q2 2023
UTA ACQUISITION CORPORATION
15,000 shares
Unchanged
Est. filing basis$10.21
Q2 2023
VERIS RESIDENTIAL INC
0 shares
Exited
Q2 2023
VERTIV HOLDINGS COVRT
596,300 shares
Reduced
Est. filing basis$13.70
Q2 2023
WAYFAIR INCW
49,400 shares
New
Est. filing basis$65.01
Q2 2023
WAYFAIR INCW
94,200 shares
Reduced
Est. filing basis$32.89
Q2 2023
WD 40 CO
0 shares
Exited
Q2 2023
WD 40 CO
17,200 shares
Increased
Est. filing basis$175.57
Q2 2023
WINGSTOP INCWING
0 shares
Exited
Q2 2023
WINGSTOP INCWING
19,100 shares
Increased
Est. filing basis$158.58
Q2 2023
WYNN RESORTS LTDWYNN
22,500 shares
Increased
Est. filing basis$107.91
Q2 2023
WYNN RESORTS LTDWYNN
0 shares
Exited
Q2 2023
XPONENTIAL FITNESS INC
125,200 shares
New
Est. filing basis$17.25
Q1 2023
AFFIRM HLDGS INC
85,600 shares
Reduced
Est. filing basis$9.67
Q1 2023
AIRBNB INCABNB
3,800 shares
New
Est. filing basis$124.40
Q1 2023
ALLEGO N V
20,000 shares
Unchanged
Est. filing basis$0.10
Q1 2023
AMC ENTMT HLDGS INC
0 shares
Exited
Q1 2023
ARES ACQUISITION CORPORATION
12,742 shares
Unchanged
Est. filing basis$10.07
Q1 2023
BEYOND MEAT INC
122,600 shares
Reduced
Est. filing basis$12.31
Q1 2023
BLOCK INCXYZ
28,200 shares
New
Est. filing basis$68.65
Q1 2023
BLOCK INCXYZ
33,900 shares
Reduced
Est. filing basis$62.84
Q1 2023
CARVANA COCVNA
60,700 shares
New
Est. filing basis$9.79
Q1 2023
CATERPILLAR INCCAT
3,600 shares
New
Est. filing basis$228.84
Q1 2023
COINBASE GLOBAL INCCOIN
33,200 shares
New
Est. filing basis$67.57
Q1 2023
COINBASE GLOBAL INCCOIN
136,300 shares
Reduced
Est. filing basis$35.39
Q1 2023
COLONNADE ACQUISITION CORP I
0 shares
Exited
Q1 2023
DIGITAL RLTY TR INCDLR
22,900 shares
New
Est. filing basis$98.31
Q1 2023
DIGITAL RLTY TR INCDLR
1,500,200 shares
Increased
Est. filing basis$100.08
Q1 2023
DIGITAL WORLD ACQUISITION CO
0 shares
Exited
Q1 2023
DIGITALBRIDGE GROUP INCDBRG
1,200,100 shares
Increased
Est. filing basis$10.96
Q1 2023
DOORDASH INCDASH
7,800 shares
New
Est. filing basis$63.56
Q1 2023
DOORDASH INCDASH
78,200 shares
Reduced
Est. filing basis$48.82
Q1 2023
DUTCH BROS INCBROS
152,900 shares
Reduced
Est. filing basis$28.19
Q1 2023
ENOVIX CORPORATIONENVX
61,300 shares
New
Est. filing basis$14.91
Q1 2023
ENOVIX CORPORATIONENVX
462,000 shares
Increased
Est. filing basis$13.08
Q1 2023
ENVIVA INC
136,400 shares
Increased
Est. filing basis$35.94
Q1 2023
EQUINIX INCEQIX
7,100 shares
New
Est. filing basis$721.04
Q1 2023
EQUINIX INCEQIX
131,700 shares
Increased
Est. filing basis$655.58
Q1 2023
FEDEX CORPFDX
0 shares
Exited
Q1 2023
FIRST REP BK SAN FRANCISCO C
867,000 shares
New
Est. filing basis$13.99
Q1 2023
FRESHPET INCFRPT
7,600 shares
Increased
Est. filing basis$57.36
Q1 2023
FRESHPET INCFRPT
15,200 shares
Reduced
Est. filing basis$52.77
Q1 2023
FUTU HLDGS LTD
57,900 shares
Increased
Est. filing basis$51.37
Q1 2023
FUTU HLDGS LTD
134,600 shares
Reduced
Est. filing basis$40.65
Q1 2023
GDS HLDGS LTDGDS
253,300 shares
New
Est. filing basis$18.66
Q1 2023
GENERAL ELECTRIC COGE
92,600 shares
New
Est. filing basis$95.60
Q1 2023
GENERAL ELECTRIC COGE
219,600 shares
Increased
Est. filing basis$84.00
Q1 2023
GITLAB INCGTLB
0 shares
Exited
Q1 2023
HARLEY DAVIDSON INCHOG
16,200 shares
New
Est. filing basis$37.97
Q1 2023
HASBRO INCHAS
29,200 shares
Reduced
Est. filing basis$61.01
Q1 2023
INTERNATIONAL BUSINESS MACHSIBM
29,900 shares
Reduced
Est. filing basis$140.89
Q1 2023
INTERNATIONAL BUSINESS MACHSIBM
88,300 shares
Reduced
Est. filing basis$140.89
Q1 2023
INVESCO QQQ TRQQQ
0 shares
Exited
Q1 2023
INVESCO QQQ TRQQQ
49,600 shares
Reduced
Est. filing basis$266.28
Q1 2023
INVESCO QQQ TRQQQ
35,500 shares
Increased
Est. filing basis$319.24
Q1 2023
ISHARES TR
0 shares
Exited
Q1 2023
ISHARES TRSHV
4,535 shares
New
Est. filing basis$110.50
Q1 2023
LEMONADE INCLMND
41,300 shares
New
Est. filing basis$14.26
Q1 2023
LEMONADE INCLMND
141,600 shares
Reduced
Est. filing basis$13.68
Q1 2023
LI AUTO INC
0 shares
Exited
Q1 2023
LIFE TIME GROUP HOLDINGS INCLTH
283,500 shares
Increased
Est. filing basis$12.91
Q1 2023
LIVE NATION ENTERTAINMENT INLYV
9,500 shares
New
Est. filing basis$70.00
Q1 2023
LIVE NATION ENTERTAINMENT INLYV
52,800 shares
Reduced
Est. filing basis$69.74
Q1 2023
LIVEWIRE GROUP INC
0 shares
Exited
Q1 2023
MICROSTRATEGY INCMSTR
7,400 shares
New
Est. filing basis$292.32
Q1 2023
MICROSTRATEGY INCMSTR
19,700 shares
Reduced
Est. filing basis$141.57
Q1 2023
MONGODB INCMDB
2,500 shares
New
Est. filing basis$233.12
Q1 2023
NATERA INCNTRA
0 shares
Exited
Q1 2023
NIKE INCNKE
23,100 shares
New
Est. filing basis$122.64
Q1 2023
NIKE INCNKE
43,900 shares
Reduced
Est. filing basis$117.01
Q1 2023
NORTHERN STAR INVSTMNT CORP
0 shares
Exited
Q1 2023
NVIDIA CORPORATIONNVDA
5,100 shares
New
Est. filing basis$277.77
Q1 2023
OAK STR HEALTH INC
56,800 shares
Reduced
Est. filing basis$21.51
Q1 2023
ORMAT TECHNOLOGIES INCORA
63,900 shares
Reduced
Est. filing basis$86.48
Q1 2023
PIEDMONT LITHIUM INC
29,300 shares
New
Est. filing basis$60.05
Q1 2023
PLANET FITNESS INCPLNT
70,900 shares
Reduced
Est. filing basis$78.80
Q1 2023
POOL CORPPOOL
8,200 shares
Reduced
Est. filing basis$302.33
Q1 2023
ROBINHOOD MKTS INCHOOD
30,300 shares
New
Est. filing basis$9.71
Q1 2023
SALESFORCE INCCRM
19,700 shares
New
Est. filing basis$199.78
Q1 2023
SALESFORCE INCCRM
35,500 shares
New
Est. filing basis$199.78
Q1 2023
SILVER SPIKE ACQUISITN CORP
0 shares
Exited
Q1 2023
SILVERGATE CAP CORP
0 shares
Exited
Q1 2023
SILVERGATE CAP CORP
0 shares
Exited
Q1 2023
SL GREEN RLTY CORP
244,800 shares
Reduced
Est. filing basis$33.72
Q1 2023
SNOWFLAKE INCSNOW
3,000 shares
Reduced
Est. filing basis$143.54
Q1 2023
SPDR S&P 500 ETF TRSPY
0 shares
Exited
Q1 2023
SPDR SER TRBIL
5,450 shares
New
Est. filing basis$91.82
Q1 2023
SUNRUN INCRUN
365,600 shares
Increased
Est. filing basis$23.98
Q1 2023
SWEETGREEN INC
0 shares
Exited
Q1 2023
TAIWAN SEMICONDUCTOR MFG LTDTSM
10,600 shares
New
Est. filing basis$93.02
Q1 2023
TESLA INCTSLA
19,300 shares
New
Est. filing basis$207.46
Q1 2023
TESLA INCTSLA
46,100 shares
Reduced
Est. filing basis$123.18
Q1 2023
TRANSDIGM GROUP INCTDG
0 shares
Exited
Q1 2023
UBER TECHNOLOGIES INCUBER
11,100 shares
New
Est. filing basis$31.70
Q1 2023
UTA ACQUISITION CORPORATION
15,000 shares
Unchanged
Est. filing basis$10.21
Q1 2023
VANGUARD INDEX FDSVNQ
0 shares
Exited
Q1 2023
VERIS RESIDENTIAL INC
90,600 shares
New
Est. filing basis$14.64
Q1 2023
VERTIV HOLDINGS COVRT
616,300 shares
Increased
Est. filing basis$13.70
Q1 2023
WAYFAIR INCW
120,000 shares
Reduced
Est. filing basis$32.89
Q1 2023
WD 40 CO
20,600 shares
New
Est. filing basis$178.05
Q1 2023
WD 40 CO
8,200 shares
Reduced
Est. filing basis$161.21
Q1 2023
WINGSTOP INCWING
25,900 shares
New
Est. filing basis$183.58
Q1 2023
WINGSTOP INCWING
12,700 shares
Reduced
Est. filing basis$137.62
Q1 2023
WYNN RESORTS LTDWYNN
8,200 shares
New
Est. filing basis$111.91
Q1 2023
WYNN RESORTS LTDWYNN
16,300 shares
New
Est. filing basis$111.91
Q1 2023
ZOOM VIDEO COMMUNICATIONS INZM
0 shares
Exited
Q3 2020
BEYOND MEAT INC
39,300 shares
New
Est. filing basis$166.06
Q3 2020
GSX TECHEDU INC
111,500 shares
New
Est. filing basis$90.10
Q3 2020
IROBOT CORP
62,400 shares
New
Est. filing basis$75.90
Q3 2020
ISHARES TRFXI
21,139 shares
Increased
Est. filing basis$40.91
Q3 2020
ISHARES TRIVV
4,358 shares
Reduced
Est. filing basis$309.60
Q3 2020
ISHARES TREEM
24,805 shares
Increased
Est. filing basis$41.87
Q3 2020
SELECT SECTOR SPDR TRXLB
3,255 shares
New
Est. filing basis$63.59
Q3 2020
SELECT SECTOR SPDR TRXLV
10,431 shares
Reduced
Est. filing basis$93.93
Q3 2020
SELECT SECTOR SPDR TRXLP
8,427 shares
Reduced
Est. filing basis$59.15
Q3 2020
SELECT SECTOR SPDR TRXLY
5,716 shares
Reduced
Est. filing basis$120.38
Q3 2020
SELECT SECTOR SPDR TRXLE
0 shares
Exited
Q3 2020
SELECT SECTOR SPDR TRXLF
32,624 shares
Reduced
Est. filing basis$28.15
Q3 2020
SELECT SECTOR SPDR TRXLI
8,189 shares
Reduced
Est. filing basis$78.08
Q3 2020
SELECT SECTOR SPDR TRXLK
18,700 shares
Reduced
Est. filing basis$80.51
Q3 2020
SELECT SECTOR SPDR TRXLC
14,191 shares
Reduced
Est. filing basis$49.97
Q3 2020
SELECT SECTOR SPDR TRXLU
3,709 shares
Reduced
Est. filing basis$60.94
Q3 2020
SPDR S&P 500 ETF TRSPY
33,679 shares
Increased
Est. filing basis$293.80
Q3 2020
TESLA INCTSLA
5,900 shares
New
Est. filing basis$428.98
Q3 2020
VANGUARD INDEX FDSVOO
1,283 shares
Reduced
Est. filing basis$283.49
Q3 2020
WISDOMTREE TR
15,738 shares
Increased
Est. filing basis$63.83
Q2 2020
ISHARES TRFXI
9,883 shares
New
Est. filing basis$39.66
Q2 2020
ISHARES TRIVV
4,551 shares
New
Est. filing basis$309.60
Q2 2020
ISHARES TREEM
11,661 shares
Reduced
Est. filing basis$39.34
Q2 2020
ISHARES TRIVW
0 shares
Exited
Q2 2020
ISHARES TRMTUM
0 shares
Exited
Q2 2020
SELECT SECTOR SPDR TRXLV
10,892 shares
Unchanged
Est. filing basis$93.93
Q2 2020
SELECT SECTOR SPDR TRXLP
8,799 shares
Unchanged
Est. filing basis$59.15
Q2 2020
SELECT SECTOR SPDR TRXLY
5,969 shares
Unchanged
Est. filing basis$120.38
Q2 2020
SELECT SECTOR SPDR TRXLE
5,469 shares
New
Est. filing basis$37.85
Q2 2020
SELECT SECTOR SPDR TRXLF
34,066 shares
Unchanged
Est. filing basis$28.15
Q2 2020
SELECT SECTOR SPDR TRXLI
8,551 shares
Unchanged
Est. filing basis$78.08
Q2 2020
SELECT SECTOR SPDR TRXLK
19,526 shares
Unchanged
Est. filing basis$80.51
Q2 2020
SELECT SECTOR SPDR TRXLC
14,818 shares
Unchanged
Est. filing basis$49.97
Q2 2020
SELECT SECTOR SPDR TRXLU
3,873 shares
Unchanged
Est. filing basis$60.94
Q2 2020
SPDR S&P 500 ETF TRSPY
21,819 shares
Reduced
Est. filing basis$271.46
Q2 2020
VANGUARD INDEX FDSVOO
3,658 shares
New
Est. filing basis$283.49
Q2 2020
VANGUARD INTL EQUITY INDEX FVGK
0 shares
Exited
Q2 2020
WISDOMTREE TR
7,402 shares
Reduced
Est. filing basis$66.16
Q1 2020
DISNEY WALT CODIS
0 shares
Exited
Q1 2020
FACEBOOK INCMETA
0 shares
Exited
Q1 2020
INVESCO QQQ TRQQQ
0 shares
Exited
Q1 2020
ISHARES TRFXI
0 shares
Exited
Q1 2020
ISHARES TREEM
55,140 shares
Increased
Est. filing basis$39.34
Q1 2020
ISHARES TRIVW
58,548 shares
Increased
Est. filing basis$192.66
Q1 2020
ISHARES TRIJH
0 shares
Exited
Q1 2020
ISHARES TRIJR
0 shares
Exited
Q1 2020
ISHARES TRACWI
0 shares
Exited
Q1 2020
ISHARES TRMTUM
127,705 shares
Increased
Est. filing basis$111.75
Q1 2020
ISHARES TRIEFA
0 shares
Exited
Q1 2020
SELECT SECTOR SPDR TRXLB
0 shares
Exited
Q1 2020
SELECT SECTOR SPDR TRXLV
10,892 shares
Reduced
Est. filing basis$93.93
Q1 2020
SELECT SECTOR SPDR TRXLP
8,799 shares
Reduced
Est. filing basis$59.15
Q1 2020
SELECT SECTOR SPDR TRXLY
5,969 shares
Reduced
Est. filing basis$120.38
Q1 2020
SELECT SECTOR SPDR TRXLE
0 shares
Exited
Q1 2020
SELECT SECTOR SPDR TRXLF
34,066 shares
Reduced
Est. filing basis$28.15
Q1 2020
SELECT SECTOR SPDR TRXLI
8,551 shares
Reduced
Est. filing basis$78.08
Q1 2020
SELECT SECTOR SPDR TRXLK
19,526 shares
Reduced
Est. filing basis$80.51
Q1 2020
SELECT SECTOR SPDR TRXLC
14,818 shares
Reduced
Est. filing basis$49.97
Q1 2020
SELECT SECTOR SPDR TRXLRE
0 shares
Exited
Q1 2020
SELECT SECTOR SPDR TRXLU
3,873 shares
Reduced
Est. filing basis$60.94
Q1 2020
SPDR S&P 500 ETF TRSPY
43,423 shares
Increased
Est. filing basis$271.46
Q1 2020
UNITED STATES OIL FUND LP
0 shares
Exited
Q1 2020
VANGUARD INTL EQUITY INDEX FVGK
22,623 shares
Unchanged
Est. filing basis$54.89
Q1 2020
WISDOMTREE TR
27,273 shares
Unchanged
Est. filing basis$66.16
Q4 2019
AMERICAN AXLE & MFG HLDGS INDCH
0 shares
Exited
Q4 2019
CISCO SYS INCCSCO
0 shares
Exited
Q4 2019
DISNEY WALT CODIS
8,792 shares
New
Est. filing basis$144.68
Q4 2019
FACEBOOK INCMETA
6,756 shares
Reduced
Est. filing basis$185.66
Q4 2019
INVESCO QQQ TRQQQ
2,204 shares
Reduced
Est. filing basis$187.11
Q4 2019
ISHARES TRFXI
43,393 shares
New
Est. filing basis$43.62
Q4 2019
ISHARES TRIVV
0 shares
Exited
Q4 2019
ISHARES TREEM
26,799 shares
New
Est. filing basis$44.85
Q4 2019
ISHARES TRIVW
56,532 shares
New
Est. filing basis$193.64
Q4 2019
ISHARES TRIJH
63,410 shares
Reduced
Est. filing basis$194.26
Q4 2019
ISHARES TRIJR
237,908 shares
Reduced
Est. filing basis$78.28
Q4 2019
ISHARES TRACWI
12,140 shares
Reduced
Est. filing basis$73.70
Q4 2019
ISHARES TRMTUM
54,507 shares
Reduced
Est. filing basis$118.83
Q4 2019
ISHARES TRIEFA
22,579 shares
Reduced
Est. filing basis$61.41
Q4 2019
SELECT SECTOR SPDR TRXLB
5,347 shares
Increased
Est. filing basis$58.91
Q4 2019
SELECT SECTOR SPDR TRXLV
17,141 shares
Increased
Est. filing basis$93.93
Q4 2019
SELECT SECTOR SPDR TRXLP
13,998 shares
Increased
Est. filing basis$59.15
Q4 2019
SELECT SECTOR SPDR TRXLY
9,531 shares
Increased
Est. filing basis$120.38
Q4 2019
SELECT SECTOR SPDR TRXLE
8,777 shares
Increased
Est. filing basis$62.67
Q4 2019
SELECT SECTOR SPDR TRXLF
53,009 shares
Increased
Est. filing basis$28.15
Q4 2019
SELECT SECTOR SPDR TRXLI
13,603 shares
Increased
Est. filing basis$78.08
Q4 2019
SELECT SECTOR SPDR TRXLK
30,935 shares
Increased
Est. filing basis$80.51
Q4 2019
SELECT SECTOR SPDR TRXLC
23,515 shares
Increased
Est. filing basis$49.97
Q4 2019
SELECT SECTOR SPDR TRXLRE
9,260 shares
Increased
Est. filing basis$37.29
Q4 2019
SELECT SECTOR SPDR TRXLU
6,222 shares
Increased
Est. filing basis$60.94
Q4 2019
SPDR S&P 500 ETF TRSPY
15,266 shares
Reduced
Est. filing basis$296.77
Q4 2019
UNITED STATES OIL FUND LP
62,001 shares
Reduced
Est. filing basis$11.98
Q4 2019
VANGUARD INDEX FDSVOO
0 shares
Exited
Q4 2019
VANGUARD INTL EQUITY INDEX FVGK
22,623 shares
Reduced
Est. filing basis$54.89
Q4 2019
WISDOMTREE TR
27,273 shares
Reduced
Est. filing basis$66.16
Q3 2019
AMERICAN AXLE & MFG HLDGS INDCH
124,923 shares
Reduced
Est. filing basis$12.76
Q3 2019
APPLE INCAAPL
0 shares
Exited
Q3 2019
CISCO SYS INCCSCO
38,101 shares
Increased
Est. filing basis$53.90
Q3 2019
ERICSSON
0 shares
Exited
Q3 2019
FACEBOOK INCMETA
27,061 shares
Increased
Est. filing basis$185.66
Q3 2019
HESS CORP
0 shares
Exited
Q3 2019
INNOVATOR ETFS TR
0 shares
Exited
Q3 2019
INVESCO QQQ TRQQQ
54,918 shares
Increased
Est. filing basis$187.11
Q3 2019
ISHARES TRFXI
0 shares
Exited
Q3 2019
ISHARES TRIVV
678 shares
New
Est. filing basis$297.94
Q3 2019
ISHARES TREEM
0 shares
Exited
Q3 2019
ISHARES TRIJH
107,886 shares
Reduced
Est. filing basis$194.26
Q3 2019
ISHARES TR
0 shares
Exited
Q3 2019
ISHARES TR
0 shares
Exited
Q3 2019
ISHARES TRIJR
263,277 shares
Reduced
Est. filing basis$78.28
Q3 2019
ISHARES TR
0 shares
Exited
Q3 2019
ISHARES TR
0 shares
Exited
Q3 2019
ISHARES TRACWI
13,453 shares
Increased
Est. filing basis$73.70
Q3 2019
ISHARES TRMTUM
290,802 shares
Increased
Est. filing basis$118.83
Q3 2019
ISHARES TRIEFA
71,753 shares
Reduced
Est. filing basis$61.41
Q3 2019
OCCIDENTAL PETE CORPOXY
0 shares
Exited
Q3 2019
SELECT SECTOR SPDR TRXLB
4,460 shares
Increased
Est. filing basis$58.43
Q3 2019
SELECT SECTOR SPDR TRXLV
14,297 shares
Increased
Est. filing basis$92.35
Q3 2019
SELECT SECTOR SPDR TRXLP
11,675 shares
Increased
Est. filing basis$58.38
Q3 2019
SELECT SECTOR SPDR TRXLY
7,942 shares
Increased
Est. filing basis$119.37
Q3 2019
SELECT SECTOR SPDR TRXLE
7,344 shares
Increased
Est. filing basis$63.18
Q3 2019
SELECT SECTOR SPDR TRXLF
44,360 shares
Increased
Est. filing basis$27.63
Q3 2019
SELECT SECTOR SPDR TRXLI
11,336 shares
Increased
Est. filing basis$77.40
Q3 2019
SELECT SECTOR SPDR TRXLK
25,819 shares
Increased
Est. filing basis$78.29
Q3 2019
SELECT SECTOR SPDR TRXLC
19,556 shares
Increased
Est. filing basis$49.23
Q3 2019
SELECT SECTOR SPDR TRXLRE
7,730 shares
Increased
Est. filing basis$37.02
Q3 2019
SELECT SECTOR SPDR TRXLU
5,174 shares
Increased
Est. filing basis$60.20
Q3 2019
SPDR S&P 500 ETF TRSPY
166,501 shares
New
Est. filing basis$296.77
Q3 2019
SPDR SERIES TRUSTKRE
0 shares
Exited
Q3 2019
UNITED STATES OIL FUND LP
197,029 shares
Increased
Est. filing basis$11.98
Q3 2019
VANGUARD INDEX FDSVOO
1,314 shares
New
Est. filing basis$272.45
Q3 2019
VANGUARD INTL EQUITY INDEX FVGK
35,337 shares
Reduced
Est. filing basis$54.89
Q3 2019
WISDOMTREE TR
40,486 shares
Reduced
Est. filing basis$66.16
Q4 2018
AMC NETWORKS INC
32,209 shares
Increased
Est. filing basis$54.94
Q4 2018
AMERICAN AXLE & MFG HLDGS INDCH
351,232 shares
Increased
Est. filing basis$14.11
Q4 2018
APPLE INCAAPL
10,218 shares
Increased
Est. filing basis$167.46
Q4 2018
ERICSSON
196,715 shares
New
Est. filing basis$8.87
Q4 2018
HALLIBURTON COHAL
48,621 shares
Increased
Est. filing basis$44.90
Q4 2018
HESS CORP
24,914 shares
Increased
Est. filing basis$45.32
Q4 2018
HUNTINGTON INGALLS INDS INCHII
9,297 shares
Increased
Est. filing basis$219.11
Q4 2018
INVESCO QQQ TRQQQ
19,111 shares
Increased
Est. filing basis$170.52
Q4 2018
INVESCO QQQ TRQQQ
14,900 shares
New
Est. filing basis$154.23
Q4 2018
ISHARES INCEWC
86,591 shares
Increased
Est. filing basis$27.70
Q4 2018
ISHARES INC
67,229 shares
New
Est. filing basis$81.26
Q4 2018
ISHARES INC
56,184 shares
Reduced
Est. filing basis$62.29
Q4 2018
ISHARES TRIVV
85,226 shares
Increased
Est. filing basis$266.70
Q4 2018
ISHARES TREFA
0 shares
Exited
Q4 2018
ISHARES TRIJH
42,828 shares
Increased
Est. filing basis$176.81
Q4 2018
ISHARES TR
56,964 shares
Reduced
Est. filing basis$226.59
Q4 2018
ISHARES TRIWM
15,300 shares
New
Est. filing basis$133.92
Q4 2018
ISHARES TRIJR
106,771 shares
New
Est. filing basis$69.32
Q4 2018
ISHARES TR
63,828 shares
Reduced
Est. filing basis$191.15
Q4 2018
ISHARES TRACWI
18,000 shares
New
Est. filing basis$64.17
Q4 2018
ISHARES TR
165,605 shares
Increased
Est. filing basis$50.52
Q4 2018
ISHARES TRMTUM
122,504 shares
Increased
Est. filing basis$107.97
Q4 2018
ISHARES TRIEFA
91,689 shares
New
Est. filing basis$55.00
Q4 2018
ISHARES TREWU
122,703 shares
Increased
Est. filing basis$31.47
Q4 2018
JPMORGAN CHASE & COJPM
32,053 shares
Increased
Est. filing basis$109.78
Q4 2018
RAYTHEON CORTN
10,485 shares
Increased
Est. filing basis$180.89
Q4 2018
SCHLUMBERGER LTDSLB
35,329 shares
Increased
Est. filing basis$58.81
Q4 2018
SELECT SECTOR SPDR TRXLB
4,040 shares
New
Est. filing basis$50.50
Q4 2018
SELECT SECTOR SPDR TRXLV
16,876 shares
Increased
Est. filing basis$84.96
Q4 2018
SELECT SECTOR SPDR TRXLP
13,518 shares
Increased
Est. filing basis$51.28
Q4 2018
SELECT SECTOR SPDR TRXLY
9,427 shares
Increased
Est. filing basis$107.28
Q4 2018
SELECT SECTOR SPDR TRXLE
8,350 shares
Increased
Est. filing basis$68.28
Q4 2018
SELECT SECTOR SPDR TRXLF
52,136 shares
Increased
Est. filing basis$25.55
Q4 2018
SELECT SECTOR SPDR TRXLF
0 shares
Exited
Q4 2018
SELECT SECTOR SPDR TRXLI
13,267 shares
Increased
Est. filing basis$69.25
Q4 2018
SELECT SECTOR SPDR TRXLK
30,326 shares
Increased
Est. filing basis$67.12
Q4 2018
SELECT SECTOR SPDR TRXLC
22,596 shares
New
Est. filing basis$41.29
Q4 2018
SELECT SECTOR SPDR TRXLRE
7,526 shares
New
Est. filing basis$30.96
Q4 2018
SELECT SECTOR SPDR TRXLU
114,442 shares
Increased
Est. filing basis$52.72
Q4 2018
SPDR GOLD TRUSTGLD
20,160 shares
Unchanged
Est. filing basis$124.83
Q4 2018
SPDR S&P 500 ETF TRSPY
933 shares
Increased
Est. filing basis$268.88
Q4 2018
SPDR S&P 500 ETF TRSPY
46,600 shares
Increased
Est. filing basis$270.21
Q4 2018
SPDR SERIES TRUSTKRE
33,356 shares
Reduced
Est. filing basis$60.38
Q4 2018
SPDR SERIES TRUST
0 shares
Exited
Q4 2018
UNITED STATES NATL GAS FUND
25,107 shares
Reduced
Est. filing basis$22.57
Q4 2018
UNITED STATES NATL GAS FUND
26,200 shares
New
Est. filing basis$24.69
Q4 2018
UNITED STATES OIL FUND LP
141,535 shares
Increased
Est. filing basis$11.45
Q4 2018
UNITED STATES OIL FUND LP
0 shares
Exited
Q4 2018
VANGUARD INDEX FDSVOO
63,427 shares
Reduced
Est. filing basis$264.14
Q4 2018
VANGUARD INDEX FDSVTV
48,898 shares
Increased
Est. filing basis$109.51
Q4 2018
VANGUARD INTL EQUITY INDEX FVGK
45,391 shares
Increased
Est. filing basis$53.86
Q4 2018
VANGUARD STAR FDVXUS
71,175 shares
Increased
Est. filing basis$56.33
Q3 2018
AMC NETWORKS INC
22,789 shares
Increased
Est. filing basis$54.96
Q3 2018
AMC NETWORKS INC
0 shares
Exited
Q3 2018
AMERICAN AXLE & MFG HLDGS INDCH
166,716 shares
New
Est. filing basis$17.44
Q3 2018
APPLE INCAAPL
8,636 shares
Reduced
Est. filing basis$169.24
Q3 2018
HALLIBURTON COHAL
42,598 shares
Increased
Est. filing basis$47.49
Q3 2018
HESS CORP
17,219 shares
Reduced
Est. filing basis$47.48
Q3 2018
HUNTINGTON INGALLS INDS INCHII
5,242 shares
Reduced
Est. filing basis$241.42
Q3 2018
INVESCO EXCHNG TRADED FD TR
0 shares
Exited
Q3 2018
INVESCO QQQ TRQQQ
17,870 shares
Reduced
Est. filing basis$171.65
Q3 2018
INVESCO QQQ TRQQQ
0 shares
Exited
Q3 2018
ISHARES INCEWC
71,201 shares
Reduced
Est. filing basis$28.51
Q3 2018
ISHARES INC
60,562 shares
Increased
Est. filing basis$62.29
Q3 2018
ISHARES TRIVV
53,776 shares
Increased
Est. filing basis$275.52
Q3 2018
ISHARES TREFA
70,995 shares
Increased
Est. filing basis$69.57
Q3 2018
ISHARES TRIJH
20,531 shares
Reduced
Est. filing basis$188.49
Q3 2018
ISHARES TR
93,520 shares
Increased
Est. filing basis$226.59
Q3 2018
ISHARES TRIWM
0 shares
Exited
Q3 2018
ISHARES TRIWM
0 shares
Exited
Q3 2018
ISHARES TRIJR
0 shares
Exited
Q3 2018
ISHARES TR
116,992 shares
Increased
Est. filing basis$191.15
Q3 2018
ISHARES TR
45,253 shares
Increased
Est. filing basis$50.96
Q3 2018
ISHARES TRMTUM
99,212 shares
Increased
Est. filing basis$109.79
Q3 2018
ISHARES TREWU
48,030 shares
Reduced
Est. filing basis$34.78
Q3 2018
JPMORGAN CHASE & COJPM
25,631 shares
New
Est. filing basis$112.83
Q3 2018
RAYTHEON CORTN
7,183 shares
Reduced
Est. filing basis$193.54
Q3 2018
SCHLUMBERGER LTDSLB
25,776 shares
Increased
Est. filing basis$67.23
Q3 2018
SELECT SECTOR SPDR TRXLV
9,870 shares
Increased
Est. filing basis$83.85
Q3 2018
SELECT SECTOR SPDR TRXLP
7,792 shares
Increased
Est. filing basis$51.68
Q3 2018
SELECT SECTOR SPDR TRXLY
6,917 shares
Increased
Est. filing basis$110.29
Q3 2018
SELECT SECTOR SPDR TRXLE
4,901 shares
Increased
Est. filing basis$75.97
Q3 2018
SELECT SECTOR SPDR TRXLF
30,517 shares
Increased
Est. filing basis$26.78
Q3 2018
SELECT SECTOR SPDR TRXLF
85,900 shares
New
Est. filing basis$27.58
Q3 2018
SELECT SECTOR SPDR TRXLI
7,809 shares
Increased
Est. filing basis$72.61
Q3 2018
SELECT SECTOR SPDR TRXLK
19,500 shares
Increased
Est. filing basis$69.97
Q3 2018
SELECT SECTOR SPDR TRXLU
84,305 shares
New
Est. filing basis$52.65
Q3 2018
SPDR GOLD TRUSTGLD
20,160 shares
Reduced
Est. filing basis$124.83
Q3 2018
SPDR S&P 500 ETF TRSPY
445 shares
New
Est. filing basis$289.89
Q3 2018
SPDR S&P 500 ETF TRSPY
31,800 shares
Increased
Est. filing basis$279.65
Q3 2018
SPDR SERIES TRUSTKRE
36,535 shares
Reduced
Est. filing basis$60.38
Q3 2018
SPDR SERIES TRUST
61,846 shares
New
Est. filing basis$75.48
Q3 2018
TESLA INCTSLA
0 shares
Exited
Q3 2018
TOYOTA MOTOR CORP
0 shares
Exited
Q3 2018
TOYOTA MOTOR CORP
0 shares
Exited
Q3 2018
UBIQUITI NETWORKS INC
0 shares
Exited
Q3 2018
UNITED STATES NATL GAS FUND
29,682 shares
Reduced
Est. filing basis$22.57
Q3 2018
UNITED STATES OIL FUND LP
107,959 shares
Reduced
Est. filing basis$12.01
Q3 2018
UNITED STATES OIL FUND LP
62,800 shares
Reduced
Est. filing basis$14.25
Q3 2018
VANGUARD INDEX FDSVOO
132,623 shares
Increased
Est. filing basis$264.14
Q3 2018
VANGUARD INDEX FDSVTV
44,416 shares
New
Est. filing basis$110.68
Q3 2018
VANGUARD INTL EQUITY INDEX FVGK
22,570 shares
Reduced
Est. filing basis$59.15
Q3 2018
VANGUARD STAR FDVXUS
68,693 shares
Increased
Est. filing basis$56.66
Q2 2018
AMC NETWORKS INC
21,163 shares
Reduced
Est. filing basis$54.08
Q2 2018
AMC NETWORKS INC
8,500 shares
New
Est. filing basis$62.24
Q2 2018
APPLE INCAAPL
9,368 shares
Reduced
Est. filing basis$169.24
Q2 2018
CROWN HOLDINGS INCCCK
0 shares
Exited
Q2 2018
DBX ETF TR
0 shares
Exited
Q2 2018
HALLIBURTON COHAL
35,580 shares
Reduced
Est. filing basis$48.87
Q2 2018
HESS CORP
17,522 shares
Reduced
Est. filing basis$47.48
Q2 2018
HUNTINGTON INGALLS INDS INCHII
6,782 shares
Reduced
Est. filing basis$241.42
Q2 2018
INVESCO EXCHNG TRADED FD TR
20,911 shares
New
Est. filing basis$42.99
Q2 2018
INVESCO QQQ TRQQQ
22,266 shares
New
Est. filing basis$171.65
Q2 2018
INVESCO QQQ TRQQQ
13,500 shares
New
Est. filing basis$171.63
Q2 2018
ISHARES INCEWC
74,548 shares
New
Est. filing basis$28.51
Q2 2018
ISHARES INC
32,019 shares
Reduced
Est. filing basis$70.00
Q2 2018
ISHARES SILVER TRUSTSLV
0 shares
Exited
Q2 2018
ISHARES TRIVV
38,761 shares
Reduced
Est. filing basis$268.85
Q2 2018
ISHARES TREFA
52,949 shares
Reduced
Est. filing basis$70.11
Q2 2018
ISHARES TRIJH
97,328 shares
Reduced
Est. filing basis$188.49
Q2 2018
ISHARES TR
72,795 shares
New
Est. filing basis$224.78
Q2 2018
ISHARES TRIWM
60,009 shares
Reduced
Est. filing basis$152.46
Q2 2018
ISHARES TRIWM
13,700 shares
New
Est. filing basis$163.80
Q2 2018
ISHARES TRIJR
109,273 shares
Increased
Est. filing basis$77.27
Q2 2018
ISHARES TR
96,972 shares
New
Est. filing basis$188.96
Q2 2018
ISHARES TR
30,015 shares
Reduced
Est. filing basis$50.92
Q2 2018
ISHARES TRMTUM
98,248 shares
New
Est. filing basis$109.70
Q2 2018
ISHARES TREWU
58,460 shares
New
Est. filing basis$34.78
Q2 2018
LIONS GATE ENTMNT CORP
0 shares
Exited
Q2 2018
LOWES COS INCLOW
0 shares
Exited
Q2 2018
POWERSHARES QQQ TRUST
0 shares
Exited
Q2 2018
RAYTHEON CORTN
7,521 shares
Reduced
Est. filing basis$193.54
Q2 2018
SCHLUMBERGER LTDSLB
25,119 shares
Reduced
Est. filing basis$67.39
Q2 2018
SELECT SECTOR SPDR TRXLV
8,110 shares
Reduced
Est. filing basis$81.41
Q2 2018
SELECT SECTOR SPDR TRXLP
7,316 shares
New
Est. filing basis$51.53
Q2 2018
SELECT SECTOR SPDR TRXLY
6,031 shares
New
Est. filing basis$109.27
Q2 2018
SELECT SECTOR SPDR TRXLE
4,276 shares
New
Est. filing basis$76.01
Q2 2018
SELECT SECTOR SPDR TRXLF
24,965 shares
New
Est. filing basis$26.60
Q2 2018
SELECT SECTOR SPDR TRXLI
6,750 shares
New
Est. filing basis$71.70
Q2 2018
SELECT SECTOR SPDR TRXLK
17,796 shares
New
Est. filing basis$69.45
Q2 2018
SELECT SECTOR SPDR TRXLU
0 shares
Exited
Q2 2018
SPDR GOLD TRUSTGLD
21,109 shares
Increased
Est. filing basis$124.83
Q2 2018
SPDR S&P 500 ETF TRSPY
18,100 shares
New
Est. filing basis$271.27
Q2 2018
SPDR S&P MIDCAP 400 ETF TRMDY
0 shares
Exited
Q2 2018
SPDR SERIES TRUSTKRE
44,602 shares
Reduced
Est. filing basis$60.38
Q2 2018
TESLA INCTSLA
1,000 shares
New
Est. filing basis$343.00
Q2 2018
TOYOTA MOTOR CORP
16,781 shares
Reduced
Est. filing basis$127.45
Q2 2018
TOYOTA MOTOR CORP
31,800 shares
New
Est. filing basis$128.81
Q2 2018
UBIQUITI NETWORKS INC
3,000 shares
New
Est. filing basis$84.67
Q2 2018
UNITED STATES NATL GAS FUND
31,079 shares
Reduced
Est. filing basis$22.57
Q2 2018
UNITED STATES OIL FUND LP
121,903 shares
Reduced
Est. filing basis$12.01
Q2 2018
UNITED STATES OIL FUND LP
63,500 shares
Increased
Est. filing basis$14.25
Q2 2018
VANGUARD INDEX FDSVOO
18,086 shares
Increased
Est. filing basis$245.74
Q2 2018
VANGUARD INTL EQUITY INDEX FVWO
0 shares
Exited
Q2 2018
VANGUARD INTL EQUITY INDEX FVGK
25,642 shares
Reduced
Est. filing basis$59.15
Q2 2018
VANGUARD STAR FDVXUS
65,780 shares
Reduced
Est. filing basis$56.78
Q2 2018
WESTERN DIGITAL CORPWDC
0 shares
Exited
Q1 2018
AMC NETWORKS INC
31,790 shares
Reduced
Est. filing basis$54.08
Q1 2018
APPLE INCAAPL
11,478 shares
Reduced
Est. filing basis$169.24
Q1 2018
CROWN HOLDINGS INCCCK
37,719 shares
Reduced
Est. filing basis$56.25
Q1 2018
DBX ETF TR
47,279 shares
Reduced
Est. filing basis$28.43
Q1 2018
HALLIBURTON COHAL
48,024 shares
Reduced
Est. filing basis$48.87
Q1 2018
HESS CORP
22,644 shares
Reduced
Est. filing basis$47.48
Q1 2018
HUNTINGTON INGALLS INDS INCHII
9,024 shares
Increased
Est. filing basis$241.42
Q1 2018
ISHARES INC
34,025 shares
Reduced
Est. filing basis$70.00
Q1 2018
ISHARES SILVER TRUSTSLV
49,162 shares
Reduced
Est. filing basis$15.99
Q1 2018
ISHARES SILVER TRUSTSLV
0 shares
Exited
Q1 2018
ISHARES TRIVV
59,048 shares
Reduced
Est. filing basis$268.85
Q1 2018
ISHARES TREFA
74,546 shares
Increased
Est. filing basis$70.11
Q1 2018
ISHARES TREFA
0 shares
Exited
Q1 2018
ISHARES TRIJH
114,883 shares
Increased
Est. filing basis$188.49
Q1 2018
ISHARES TRIWM
245,046 shares
Reduced
Est. filing basis$152.46
Q1 2018
ISHARES TRIWM
0 shares
Exited
Q1 2018
ISHARES TRIJR
102,719 shares
Increased
Est. filing basis$76.88
Q1 2018
ISHARES TR
30,301 shares
New
Est. filing basis$50.92
Q1 2018
LIONS GATE ENTMNT CORP
31,346 shares
Reduced
Est. filing basis$31.73
Q1 2018
LOWES COS INCLOW
16,410 shares
Reduced
Est. filing basis$92.96
Q1 2018
POWERSHARES QQQ TRUST
27,929 shares
Reduced
Est. filing basis$155.77
Q1 2018
POWERSHARES QQQ TRUST
0 shares
Exited
Q1 2018
RAYTHEON CORTN
14,236 shares
Increased
Est. filing basis$193.54
Q1 2018
SCHLUMBERGER LTDSLB
33,884 shares
Reduced
Est. filing basis$67.39
Q1 2018
SELECT SECTOR SPDR TRXLV
23,561 shares
New
Est. filing basis$81.41
Q1 2018
SELECT SECTOR SPDR TRXLF
0 shares
Exited
Q1 2018
SELECT SECTOR SPDR TRXLI
0 shares
Exited
Q1 2018
SELECT SECTOR SPDR TRXLK
0 shares
Exited
Q1 2018
SELECT SECTOR SPDR TRXLU
37,999 shares
New
Est. filing basis$50.53
Q1 2018
SPDR GOLD TRUSTGLD
18,201 shares
New
Est. filing basis$125.82
Q1 2018
SPDR S&P 500 ETF TRSPY
0 shares
Exited
Q1 2018
SPDR S&P 500 ETF TRSPY
0 shares
Exited
Q1 2018
SPDR S&P MIDCAP 400 ETF TRMDY
52,316 shares
Reduced
Est. filing basis$345.41
Q1 2018
SPDR SERIES TRUSTKRE
51,258 shares
New
Est. filing basis$60.38
Q1 2018
SPDR SERIES TRUST
0 shares
Exited
Q1 2018
TOYOTA MOTOR CORP
17,984 shares
Increased
Est. filing basis$127.45
Q1 2018
UNITED STATES NATL GAS FUND
0 shares
Exited
Q1 2018
UNITED STATES NATL GAS FUND
31,375 shares
New
Est. filing basis$22.57
Q1 2018
UNITED STATES OIL FUND LP
129,830 shares
Reduced
Est. filing basis$12.01
Q1 2018
UNITED STATES OIL FUND LP
16,700 shares
Reduced
Est. filing basis$12.01
Q1 2018
VANECK VECTORS ETF TRGDX
0 shares
Exited
Q1 2018
VANECK VECTORS ETF TRGDX
0 shares
Exited
Q1 2018
VANGUARD BD INDEX FD INCBSV
0 shares
Exited
Q1 2018
VANGUARD INDEX FDSVOO
16,193 shares
Reduced
Est. filing basis$245.29
Q1 2018
VANGUARD INDEX FDSVTV
0 shares
Exited
Q1 2018
VANGUARD INTL EQUITY INDEX FVT
0 shares
Exited
Q1 2018
VANGUARD INTL EQUITY INDEX FVWO
97,704 shares
New
Est. filing basis$46.98
Q1 2018
VANGUARD INTL EQUITY INDEX FVGK
25,887 shares
Reduced
Est. filing basis$59.15
Q1 2018
VANGUARD STAR FDVXUS
103,040 shares
Increased
Est. filing basis$56.78
Q1 2018
WESTERN DIGITAL CORPWDC
35,780 shares
Reduced
Est. filing basis$79.54
Q2 2017
AMC NETWORKS INC
49,703 shares
Reduced
Est. filing basis$51.91
Q2 2017
APPLE INCAAPL
19,109 shares
Reduced
Est. filing basis$109.68
Q2 2017
CROWN HOLDINGS INCCCK
65,071 shares
Reduced
Est. filing basis$51.00
Q2 2017
DBX ETF TR
63,362 shares
Reduced
Est. filing basis$24.97
Q2 2017
HALLIBURTON COHAL
72,212 shares
Reduced
Est. filing basis$50.71
Q2 2017
HESS CORP
23,558 shares
Reduced
Est. filing basis$52.82
Q2 2017
HUNTINGTON INGALLS INDS INCHII
11,055 shares
Reduced
Est. filing basis$126.85
Q2 2017
ISHARES
55,881 shares
Reduced
Est. filing basis$53.01
Q2 2017
ISHARES SILVER TRUSTSLV
68,971 shares
Reduced
Est. filing basis$17.86
Q2 2017
ISHARES TRIVV
103,871 shares
Reduced
Est. filing basis$231.66
Q2 2017
ISHARES TRTLT
17,253 shares
New
Est. filing basis$125.14
Q2 2017
ISHARES TRTLT
0 shares
Exited
Q2 2017
ISHARES TREFA
64,034 shares
Reduced
Est. filing basis$62.29
Q2 2017
ISHARES TREFA
375,100 shares
New
Est. filing basis$65.20
Q2 2017
ISHARES TRIJH
35,639 shares
Reduced
Est. filing basis$165.34
Q2 2017
ISHARES TRIWM
265,587 shares
Reduced
Est. filing basis$116.86
Q2 2017
ISHARES TRIWM
56,200 shares
Reduced
Est. filing basis$135.08
Q2 2017
ISHARES TRIJR
88,531 shares
Reduced
Est. filing basis$105.34
Q2 2017
LIONS GATE ENTMNT CORP
106,924 shares
Reduced
Est. filing basis$24.49
Q2 2017
LOWES COS INCLOW
26,537 shares
Reduced
Est. filing basis$72.12
Q2 2017
METLIFE INCMET
51,659 shares
Reduced
Est. filing basis$53.65
Q2 2017
POWERSHARES QQQ TRUST
48,322 shares
Reduced
Est. filing basis$117.56
Q2 2017
POWERSHARES QQQ TRUST
71,400 shares
Reduced
Est. filing basis$132.38
Q2 2017
RAYTHEON CORTN
19,379 shares
Reduced
Est. filing basis$130.69
Q2 2017
SCHLUMBERGER LTDSLB
45,294 shares
Reduced
Est. filing basis$72.30
Q2 2017
SELECT SECTOR SPDR TRXLF
110,123 shares
Reduced
Est. filing basis$23.29
Q2 2017
SELECT SECTOR SPDR TRXLF
519,100 shares
Reduced
Est. filing basis$23.25
Q2 2017
SELECT SECTOR SPDR TRXLK
37,711 shares
Reduced
Est. filing basis$44.36
Q2 2017
SPDR S&P 500 ETF TRSPY
64,998 shares
Reduced
Est. filing basis$209.87
Q2 2017
SPDR S&P 500 ETF TRSPY
138,200 shares
Increased
Est. filing basis$229.98
Q2 2017
SPDR S&P MIDCAP 400 ETF TRMDY
116,243 shares
Reduced
Est. filing basis$272.81
Q2 2017
SPDR SERIES TRUST
40,552 shares
Reduced
Est. filing basis$33.38
Q2 2017
TOYOTA MOTOR CORP
19,906 shares
Reduced
Est. filing basis$115.48
Q2 2017
UNITED STATES NATL GAS FUND
161,357 shares
Reduced
Est. filing basis$9.34
Q2 2017
UNITED STATES OIL FUND LP
297,368 shares
Reduced
Est. filing basis$12.73
Q2 2017
VANECK VECTORS ETF TRGDX
49,248 shares
Reduced
Est. filing basis$27.20
Q2 2017
VANECK VECTORS ETF TRGDX
578,900 shares
Increased
Est. filing basis$22.39
Q2 2017
VANGUARD INDEX FDSVOO
49,420 shares
New
Est. filing basis$222.06
Q2 2017
VANGUARD INDEX FDSVTV
37,562 shares
New
Est. filing basis$96.56
Q2 2017
VANGUARD INTL EQUITY INDEX FVT
183,924 shares
Reduced
Est. filing basis$62.23
Q2 2017
VANGUARD INTL EQUITY INDEX FVGK
34,660 shares
Reduced
Est. filing basis$48.53
Q2 2017
VANGUARD STAR FDVXUS
132,953 shares
Reduced
Est. filing basis$49.68
Q2 2017
WESTERN DIGITAL CORPWDC
23,133 shares
New
Est. filing basis$88.62
Q1 2017
AMC NETWORKS INC
60,315 shares
Reduced
Est. filing basis$51.91
Q1 2017
APPLE INCAAPL
32,023 shares
Reduced
Est. filing basis$109.68
Q1 2017
CROWN HOLDINGS INCCCK
81,809 shares
Increased
Est. filing basis$51.00
Q1 2017
DBX ETF TR
89,504 shares
Unchanged
Est. filing basis$24.97
Q1 2017
HALLIBURTON COHAL
90,204 shares
Increased
Est. filing basis$50.71
Q1 2017
HALLIBURTON COHAL
0 shares
Exited
Q1 2017
HESS CORP
30,817 shares
Reduced
Est. filing basis$52.82
Q1 2017
HESS CORP
0 shares
Exited
Q1 2017
HUNTINGTON INGALLS INDS INCHII
14,785 shares
Reduced
Est. filing basis$126.85
Q1 2017
ISHARES
79,841 shares
Reduced
Est. filing basis$53.01
Q1 2017
ISHARES SILVER TRUSTSLV
90,321 shares
Reduced
Est. filing basis$17.86
Q1 2017
ISHARES TRIVV
108,810 shares
Increased
Est. filing basis$231.66
Q1 2017
ISHARES TRTLT
102,200 shares
New
Est. filing basis$120.71
Q1 2017
ISHARES TREFA
119,901 shares
New
Est. filing basis$62.29
Q1 2017
ISHARES TRIJH
53,383 shares
Reduced
Est. filing basis$165.34
Q1 2017
ISHARES TRIWM
538,343 shares
Reduced
Est. filing basis$116.86
Q1 2017
ISHARES TRIWM
90,900 shares
Increased
Est. filing basis$135.08
Q1 2017
ISHARES TRIJR
133,017 shares
Increased
Est. filing basis$105.34
Q1 2017
KKR & CO L P DEL
0 shares
Exited
Q1 2017
KROGER COKR
0 shares
Exited
Q1 2017
LIONS GATE ENTMNT CORP
158,496 shares
Increased
Est. filing basis$24.49
Q1 2017
LOWES COS INCLOW
49,096 shares
Reduced
Est. filing basis$72.12
Q1 2017
METLIFE INCMET
69,697 shares
Increased
Est. filing basis$53.65
Q1 2017
MOLSON COORS BREWING COTAP
0 shares
Exited
Q1 2017
OCCIDENTAL PETE CORP DELOXY
0 shares
Exited
Q1 2017
POWERSHARES QQQ TRUST
86,843 shares
Increased
Est. filing basis$117.56
Q1 2017
POWERSHARES QQQ TRUST
138,400 shares
New
Est. filing basis$132.38
Q1 2017
RAYTHEON CORTN
27,162 shares
Increased
Est. filing basis$130.69
Q1 2017
SCHLUMBERGER LTDSLB
56,540 shares
Increased
Est. filing basis$72.30
Q1 2017
SELECT SECTOR SPDR TRXLF
140,078 shares
Increased
Est. filing basis$23.29
Q1 2017
SELECT SECTOR SPDR TRXLF
544,000 shares
Reduced
Est. filing basis$23.25
Q1 2017
SELECT SECTOR SPDR TRXLK
76,591 shares
Unchanged
Est. filing basis$44.36
Q1 2017
SPDR S&P 500 ETF TRSPY
137,114 shares
Increased
Est. filing basis$209.87
Q1 2017
SPDR S&P 500 ETF TRSPY
87,600 shares
Reduced
Est. filing basis$223.16
Q1 2017
SPDR S&P MIDCAP 400 ETF TRMDY
234,076 shares
Increased
Est. filing basis$272.81
Q1 2017
SPDR S&P MIDCAP 400 ETF TRMDY
0 shares
Exited
Q1 2017
SPDR SERIES TRUST
57,391 shares
Reduced
Est. filing basis$33.38
Q1 2017
SPDR SERIES TRUST
0 shares
Exited
Q1 2017
TOYOTA MOTOR CORP
33,074 shares
Increased
Est. filing basis$115.48
Q1 2017
TOYOTA MOTOR CORP
0 shares
Exited
Q1 2017
UNITED STATES NATL GAS FUND
206,876 shares
Reduced
Est. filing basis$9.34
Q1 2017
UNITED STATES OIL FUND LP
388,372 shares
Increased
Est. filing basis$12.73
Q1 2017
UNITED STATES OIL FUND LP
0 shares
Exited
Q1 2017
VANECK VECTORS ETF TRGDX
69,697 shares
Increased
Est. filing basis$27.20
Q1 2017
VANECK VECTORS ETF TRGDX
247,100 shares
New
Est. filing basis$22.81
Q1 2017
VANGUARD INTL EQUITY INDEX FVT
275,418 shares
Increased
Est. filing basis$62.23
Q1 2017
VANGUARD INTL EQUITY INDEX FVGK
48,974 shares
Unchanged
Est. filing basis$48.53
Q1 2017
VANGUARD STAR FDVXUS
211,813 shares
New
Est. filing basis$49.68
Q4 2016
AMC NETWORKS INC
72,066 shares
Increased
Est. filing basis$51.91
Q4 2016
APPLE INCAAPL
33,813 shares
Reduced
Est. filing basis$109.68
Q4 2016
CROWN HOLDINGS INCCCK
69,798 shares
Reduced
Est. filing basis$50.67
Q4 2016
DBX ETF TR
89,504 shares
Reduced
Est. filing basis$24.97
Q4 2016
ENERGIZER HLDGS INC NEWENR
0 shares
Exited
Q4 2016
HALLIBURTON COHAL
27,833 shares
New
Est. filing basis$54.07
Q4 2016
HALLIBURTON COHAL
46,800 shares
New
Est. filing basis$54.08
Q4 2016
HESS CORP
39,730 shares
Reduced
Est. filing basis$52.82
Q4 2016
HESS CORP
141,700 shares
Increased
Est. filing basis$62.71
Q4 2016
HUNTINGTON INGALLS INDS INCHII
16,222 shares
Reduced
Est. filing basis$126.85
Q4 2016
ISHARESEWZ
0 shares
Exited
Q4 2016
ISHARES
96,234 shares
Reduced
Est. filing basis$53.01
Q4 2016
ISHARES SILVER TRUSTSLV
91,232 shares
Reduced
Est. filing basis$17.86
Q4 2016
ISHARES TRIVV
49,666 shares
New
Est. filing basis$224.98
Q4 2016
ISHARES TRIJH
58,606 shares
New
Est. filing basis$165.34
Q4 2016
ISHARES TRIWM
573,984 shares
Increased
Est. filing basis$116.86
Q4 2016
ISHARES TRIWM
75,000 shares
Increased
Est. filing basis$134.58
Q4 2016
ISHARES TRIJR
70,397 shares
New
Est. filing basis$137.52
Q4 2016
ISHARES TRACWI
0 shares
Exited
Q4 2016
JOHNSON & JOHNSONJNJ
0 shares
Exited
Q4 2016
KKR & CO L P DEL
93,196 shares
New
Est. filing basis$15.39
Q4 2016
KROGER COKR
115,269 shares
Reduced
Est. filing basis$35.96
Q4 2016
LIONS GATE ENTMNT CORP
111,327 shares
New
Est. filing basis$24.54
Q4 2016
LOWES COS INCLOW
51,226 shares
Increased
Est. filing basis$72.12
Q4 2016
METLIFE INCMET
54,410 shares
New
Est. filing basis$53.89
Q4 2016
MOLSON COORS BREWING COTAP
31,682 shares
Reduced
Est. filing basis$95.87
Q4 2016
MOLSON COORS BREWING COTAP
0 shares
Exited
Q4 2016
OCCIDENTAL PETE CORP DELOXY
35,121 shares
Reduced
Est. filing basis$66.73
Q4 2016
POWERSHARES QQQ TRUST
65,308 shares
Increased
Est. filing basis$112.67
Q4 2016
POWERSHARES QQQ TRUST
0 shares
Exited
Q4 2016
RAYTHEON CORTN
21,134 shares
Reduced
Est. filing basis$124.47
Q4 2016
SCHLUMBERGER LTDSLB
35,930 shares
Reduced
Est. filing basis$68.96
Q4 2016
SELECT SECTOR SPDR TRXLV
0 shares
Exited
Q4 2016
SELECT SECTOR SPDR TRXLV
0 shares
Exited
Q4 2016
SELECT SECTOR SPDR TRXLY
0 shares
Exited
Q4 2016
SELECT SECTOR SPDR TRXLY
0 shares
Exited
Q4 2016
SELECT SECTOR SPDR TRXLF
129,407 shares
New
Est. filing basis$23.25
Q4 2016
SELECT SECTOR SPDR TRXLF
603,100 shares
New
Est. filing basis$23.25
Q4 2016
SELECT SECTOR SPDR TRXLK
76,591 shares
Reduced
Est. filing basis$44.36
Q4 2016
SELECT SECTOR SPDR TRXLK
0 shares
Exited
Q4 2016
SPDR S&P 500 ETF TRSPY
118,224 shares
Reduced
Est. filing basis$205.74
Q4 2016
SPDR S&P 500 ETF TRSPY
171,800 shares
Increased
Est. filing basis$223.16
Q4 2016
SPDR S&P MIDCAP 400 ETF TRMDY
229,036 shares
Increased
Est. filing basis$271.94
Q4 2016
SPDR S&P MIDCAP 400 ETF TRMDY
42,900 shares
Increased
Est. filing basis$300.91
Q4 2016
SPDR SERIES TRUST
0 shares
Exited
Q4 2016
SPDR SERIES TRUST
0 shares
Exited
Q4 2016
SPDR SERIES TRUST
86,909 shares
Reduced
Est. filing basis$33.38
Q4 2016
SPDR SERIES TRUST
422,900 shares
Increased
Est. filing basis$43.27
Q4 2016
STARZ
0 shares
Exited
Q4 2016
TOYOTA MOTOR CORP
26,210 shares
Reduced
Est. filing basis$117.28
Q4 2016
TOYOTA MOTOR CORP
52,700 shares
New
Est. filing basis$117.19
Q4 2016
UNITED STATES NATL GAS FUND
272,513 shares
New
Est. filing basis$9.34
Q4 2016
UNITED STATES NATL GAS FUND
0 shares
Exited
Q4 2016
UNITED STATES OIL FUND LP
282,472 shares
Reduced
Est. filing basis$13.51
Q4 2016
UNITED STATES OIL FUND LP
779,400 shares
Increased
Est. filing basis$11.73
Q4 2016
VANECK VECTORS ETF TRGDX
65,919 shares
Increased
Est. filing basis$27.45
Q4 2016
VANGUARD INTL EQUITY INDEX FVT
195,398 shares
New
Est. filing basis$61.00
Q4 2016
VANGUARD INTL EQUITY INDEX FVGK
48,974 shares
Reduced
Est. filing basis$48.53
Q3 2016
ALTRIA GROUP INCMO
0 shares
Exited
Q3 2016
ALTRIA GROUP INCMO
0 shares
Exited
Q3 2016
AMC NETWORKS INC
64,291 shares
New
Est. filing basis$51.86
Q3 2016
APPLE INCAAPL
39,238 shares
Reduced
Est. filing basis$109.68
Q3 2016
CHECK POINT SOFTWARE TECH LTCHKP
0 shares
Exited
Q3 2016
CROWN HOLDINGS INCCCK
76,473 shares
Reduced
Est. filing basis$50.67
Q3 2016
CYNOSURE INC
0 shares
Exited
Q3 2016
DBX ETF TR
161,206 shares
Reduced
Est. filing basis$24.97
Q3 2016
ENERGIZER HLDGS INC NEWENR
71,449 shares
Reduced
Est. filing basis$51.49
Q3 2016
FIREEYE INC
0 shares
Exited
Q3 2016
FIREEYE INC
0 shares
Exited
Q3 2016
HESS CORP
54,255 shares
Increased
Est. filing basis$52.82
Q3 2016
HESS CORP
255 shares
Reduced
Est. filing basis$298.24
Q3 2016
HUNTINGTON INGALLS INDS INCHII
20,419 shares
Reduced
Est. filing basis$126.85
Q3 2016
ISHARESEWZ
130,181 shares
Reduced
Est. filing basis$26.30
Q3 2016
ISHARESEWZ
0 shares
Exited
Q3 2016
ISHARES
138,507 shares
Reduced
Est. filing basis$53.01
Q3 2016
ISHARES SILVER TRUSTSLV
97,736 shares
Reduced
Est. filing basis$17.86
Q3 2016
ISHARES SILVER TRUSTSLV
0 shares
Exited
Q3 2016
ISHARES TREEM
0 shares
Exited
Q3 2016
ISHARES TRIWM
554,179 shares
Increased
Est. filing basis$116.21
Q3 2016
ISHARES TRIWM
2,574 shares
Increased
Est. filing basis$126.79
Q3 2016
ISHARES TRACWI
113,752 shares
Reduced
Est. filing basis$53.94
Q3 2016
JOHNSON & JOHNSONJNJ
35,387 shares
Reduced
Est. filing basis$113.49
Q3 2016
KROGER COKR
134,907 shares
Increased
Est. filing basis$35.96
Q3 2016
LOCKHEED MARTIN CORPLMT
0 shares
Exited
Q3 2016
LOCKHEED MARTIN CORPLMT
0 shares
Exited
Q3 2016
LOWES COS INCLOW
46,914 shares
New
Est. filing basis$72.22
Q3 2016
MOLSON COORS BREWING COTAP
51,883 shares
Increased
Est. filing basis$95.87
Q3 2016
MOLSON COORS BREWING COTAP
1,784 shares
Increased
Est. filing basis$165.26
Q3 2016
NORTHROP GRUMMAN CORPNOC
0 shares
Exited
Q3 2016
NORTHROP GRUMMAN CORPNOC
0 shares
Exited
Q3 2016
OCCIDENTAL PETE CORP DELOXY
39,725 shares
Increased
Est. filing basis$66.73
Q3 2016
POWERSHARES QQQ TRUST
43,638 shares
Increased
Est. filing basis$109.78
Q3 2016
POWERSHARES QQQ TRUST
1,926 shares
Reduced
Est. filing basis$48.70
Q3 2016
RAYTHEON CORTN
24,100 shares
Reduced
Est. filing basis$124.47
Q3 2016
RAYTHEON CORTN
0 shares
Exited
Q3 2016
REYNOLDS AMERICAN INC
0 shares
Exited
Q3 2016
REYNOLDS AMERICAN INC
0 shares
Exited
Q3 2016
SCHLUMBERGER LTDSLB
41,526 shares
Reduced
Est. filing basis$68.96
Q3 2016
SCHLUMBERGER LTDSLB
0 shares
Exited
Q3 2016
SELECT SECTOR SPDR TRXLV
51,655 shares
New
Est. filing basis$72.11
Q3 2016
SELECT SECTOR SPDR TRXLV
1,524 shares
New
Est. filing basis$99.74
Q3 2016
SELECT SECTOR SPDR TRXLY
53,662 shares
Reduced
Est. filing basis$74.43
Q3 2016
SELECT SECTOR SPDR TRXLY
1,328 shares
Reduced
Est. filing basis$65.85
Q3 2016
SELECT SECTOR SPDR TRXLF
0 shares
Exited
Q3 2016
SELECT SECTOR SPDR TRXLF
0 shares
Exited
Q3 2016
SELECT SECTOR SPDR TRXLK
102,946 shares
Reduced
Est. filing basis$44.36
Q3 2016
SELECT SECTOR SPDR TRXLK
3,643 shares
Reduced
Est. filing basis$27.00
Q3 2016
SELECT SECTOR SPDR TRXLU
0 shares
Exited
Q3 2016
SELECT SECTOR SPDR TRXLU
0 shares
Exited
Q3 2016
SPDR S&P 500 ETF TRSPY
268,308 shares
Increased
Est. filing basis$205.74
Q3 2016
SPDR S&P 500 ETF TRSPY
1,484 shares
Increased
Est. filing basis$180.80
Q3 2016
SPDR S&P MIDCAP 400 ETF TRMDY
220,762 shares
Increased
Est. filing basis$270.82
Q3 2016
SPDR S&P MIDCAP 400 ETF TRMDY
762 shares
Increased
Est. filing basis$255.93
Q3 2016
SPDR SERIES TRUST
162,782 shares
Reduced
Est. filing basis$24.41
Q3 2016
SPDR SERIES TRUST
4,922 shares
Increased
Est. filing basis$106.62
Q3 2016
SPDR SERIES TRUST
102,419 shares
New
Est. filing basis$33.38
Q3 2016
SPDR SERIES TRUST
5,108 shares
New
Est. filing basis$27.41
Q3 2016
STARZ
166,666 shares
Increased
Est. filing basis$30.08
Q3 2016
TOYOTA MOTOR CORP
29,543 shares
Reduced
Est. filing basis$117.28
Q3 2016
TOYOTA MOTOR CORP
0 shares
Exited
Q3 2016
TRACTOR SUPPLY COTSCO
0 shares
Exited
Q3 2016
TRACTOR SUPPLY COTSCO
0 shares
Exited
Q3 2016
UNITED STATES NATL GAS FUND
6,171 shares
Reduced
Est. filing basis$34.57
Q3 2016
UNITED STATES OIL FUND LP
417,158 shares
Reduced
Est. filing basis$13.51
Q3 2016
UNITED STATES OIL FUND LP
2,062 shares
Reduced
Est. filing basis$14.69
Q3 2016
VANECK VECTORS ETF TRGDX
63,408 shares
Reduced
Est. filing basis$27.70
Q3 2016
VANECK VECTORS ETF TRGDX
0 shares
Exited
Q3 2016
VANECK VECTORS ETF TRGDXJ
0 shares
Exited
Q3 2016
VANECK VECTORS ETF TRGDXJ
0 shares
Exited
Q3 2016
VANGUARD INTL EQUITY INDEX FVGK
85,223 shares
Increased
Est. filing basis$48.53
Q3 2016
VERIZON COMMUNICATIONS INCVZ
0 shares
Exited
Q3 2016
VERIZON COMMUNICATIONS INCVZ
0 shares
Exited
Q3 2016
WISDOMTREE TRDXJ
0 shares
Exited
Q3 2016
WISDOMTREE TR
0 shares
Exited
Q2 2016
ALTRIA GROUP INCMO
53,889 shares
Reduced
Est. filing basis$54.40
Q2 2016
ALTRIA GROUP INCMO
2,254 shares
Reduced
Est. filing basis$59.14
Q2 2016
APPLE INCAAPL
39,667 shares
Reduced
Est. filing basis$109.68
Q2 2016
APPLE INCAAPL
0 shares
Exited
Q2 2016
CARLYLE GROUP L P
0 shares
Exited
Q2 2016
CHECK POINT SOFTWARE TECH LTCHKP
48,231 shares
Reduced
Est. filing basis$79.98
Q2 2016
CHECK POINT SOFTWARE TECH LTCHKP
0 shares
Exited
Q2 2016
CROWN HOLDINGS INCCCK
131,329 shares
New
Est. filing basis$50.67
Q2 2016
CYNOSURE INC
73,367 shares
New
Est. filing basis$48.65
Q2 2016
DBX ETF TR
164,003 shares
Reduced
Est. filing basis$24.97
Q2 2016
ELECTRONIC ARTS INC
0 shares
Exited
Q2 2016
ELECTRONIC ARTS INC
0 shares
Exited
Q2 2016
ENERGIZER HLDGS INC NEWENR
130,990 shares
New
Est. filing basis$51.49
Q2 2016
FIREEYE INC
246,898 shares
New
Est. filing basis$16.47
Q2 2016
FIREEYE INC
1,298 shares
New
Est. filing basis$126.35
Q2 2016
HESS CORP
44,475 shares
Reduced
Est. filing basis$52.65
Q2 2016
HESS CORP
690 shares
Increased
Est. filing basis$298.24
Q2 2016
HUNTINGTON INGALLS INDS INCHII
23,227 shares
Reduced
Est. filing basis$126.85
Q2 2016
ISHARESEWZ
198,703 shares
Reduced
Est. filing basis$26.30
Q2 2016
ISHARESEWZ
2,356 shares
Increased
Est. filing basis$86.28
Q2 2016
ISHARES
140,661 shares
Reduced
Est. filing basis$53.01
Q2 2016
ISHARES
0 shares
Exited
Q2 2016
ISHARES SILVER TRUSTSLV
143,884 shares
New
Est. filing basis$17.86
Q2 2016
ISHARES SILVER TRUSTSLV
2,491 shares
New
Est. filing basis$90.33
Q2 2016
ISHARES TREEM
39,675 shares
New
Est. filing basis$34.35
Q2 2016
ISHARES TRIWM
432,296 shares
Increased
Est. filing basis$113.96
Q2 2016
ISHARES TRIWM
1,413 shares
Reduced
Est. filing basis$140.94
Q2 2016
ISHARES TRACWI
134,132 shares
Reduced
Est. filing basis$53.94
Q2 2016
JD COM INC
0 shares
Exited
Q2 2016
JD COM INC
0 shares
Exited
Q2 2016
JOHNSON & JOHNSONJNJ
49,843 shares
Increased
Est. filing basis$113.49
Q2 2016
JOHNSON & JOHNSONJNJ
0 shares
Exited
Q2 2016
KKR & CO L P DEL
0 shares
Exited
Q2 2016
KKR & CO L P DEL
0 shares
Exited
Q2 2016
KROGER COKR
132,668 shares
Reduced
Est. filing basis$36.07
Q2 2016
KROGER COKR
0 shares
Exited
Q2 2016
LOCKHEED MARTIN CORPLMT
15,631 shares
Reduced
Est. filing basis$207.83
Q2 2016
LOCKHEED MARTIN CORPLMT
391 shares
Reduced
Est. filing basis$207.22
Q2 2016
MARKET VECTORS ETF TR
0 shares
Exited
Q2 2016
MARKET VECTORS ETF TR
0 shares
Exited
Q2 2016
MARKET VECTORS ETF TR
0 shares
Exited
Q2 2016
MOLSON COORS BREWING COTAP
45,712 shares
Reduced
Est. filing basis$93.99
Q2 2016
MOLSON COORS BREWING COTAP
535 shares
Reduced
Est. filing basis$174.18
Q2 2016
NORTHROP GRUMMAN CORPNOC
17,518 shares
New
Est. filing basis$222.29
Q2 2016
NORTHROP GRUMMAN CORPNOC
330 shares
New
Est. filing basis$724.24
Q2 2016
OCCIDENTAL PETE CORP DELOXY
36,357 shares
Reduced
Est. filing basis$66.15
Q2 2016
POWERSHARES QQQ TRUST
34,855 shares
New
Est. filing basis$107.53
Q2 2016
POWERSHARES QQQ TRUST
5,797 shares
Increased
Est. filing basis$48.70
Q2 2016
RAYTHEON CORTN
28,739 shares
Reduced
Est. filing basis$124.47
Q2 2016
RAYTHEON CORTN
598 shares
Reduced
Est. filing basis$67.12
Q2 2016
REYNOLDS AMERICAN INC
68,719 shares
Reduced
Est. filing basis$44.45
Q2 2016
REYNOLDS AMERICAN INC
1,330 shares
Reduced
Est. filing basis$38.06
Q2 2016
SCHLUMBERGER LTDSLB
54,705 shares
Reduced
Est. filing basis$68.96
Q2 2016
SCHLUMBERGER LTDSLB
1,371 shares
New
Est. filing basis$100.66
Q2 2016
SELECT SECTOR SPDR TRXLY
59,415 shares
Reduced
Est. filing basis$74.43
Q2 2016
SELECT SECTOR SPDR TRXLY
4,995 shares
Increased
Est. filing basis$65.85
Q2 2016
SELECT SECTOR SPDR TRXLF
190,108 shares
Reduced
Est. filing basis$22.50
Q2 2016
SELECT SECTOR SPDR TRXLF
16,029 shares
New
Est. filing basis$18.84
Q2 2016
SELECT SECTOR SPDR TRXLK
107,276 shares
Reduced
Est. filing basis$44.36
Q2 2016
SELECT SECTOR SPDR TRXLK
10,915 shares
Increased
Est. filing basis$27.00
Q2 2016
SELECT SECTOR SPDR TRXLU
73,727 shares
Reduced
Est. filing basis$49.62
Q2 2016
SELECT SECTOR SPDR TRXLU
2,170 shares
Reduced
Est. filing basis$38.47
Q2 2016
SPDR S&P 500 ETF TRSPY
191,156 shares
Increased
Est. filing basis$201.48
Q2 2016
SPDR S&P 500 ETF TRSPY
608 shares
Reduced
Est. filing basis$192.76
Q2 2016
SPDR S&P MIDCAP 400 ETF TRMDY
176,444 shares
Increased
Est. filing basis$267.95
Q2 2016
SPDR S&P MIDCAP 400 ETF TRMDY
761 shares
Reduced
Est. filing basis$256.00
Q2 2016
SPDR SERIES TRUST
196,940 shares
New
Est. filing basis$24.41
Q2 2016
SPDR SERIES TRUST
3,645 shares
New
Est. filing basis$128.67
Q2 2016
STARZ
145,214 shares
New
Est. filing basis$29.92
Q2 2016
TOYOTA MOTOR CORP
37,216 shares
Reduced
Est. filing basis$117.28
Q2 2016
TOYOTA MOTOR CORP
1,006 shares
New
Est. filing basis$157.06
Q2 2016
TRACTOR SUPPLY COTSCO
72,238 shares
Reduced
Est. filing basis$85.12
Q2 2016
TRACTOR SUPPLY COTSCO
288 shares
Reduced
Est. filing basis$109.03
Q2 2016
UNITED STATES NATL GAS FUND
6,508 shares
New
Est. filing basis$34.57
Q2 2016
UNITED STATES OIL FUND LP
493,355 shares
Reduced
Est. filing basis$13.51
Q2 2016
UNITED STATES OIL FUND LP
4,611 shares
Unchanged
Est. filing basis$14.69
Q2 2016
VANECK VECTORS ETF TRGDX
91,031 shares
New
Est. filing basis$27.70
Q2 2016
VANECK VECTORS ETF TRGDX
1,701 shares
New
Est. filing basis$128.75
Q2 2016
VANECK VECTORS ETF TRGDXJ
59,333 shares
New
Est. filing basis$42.61
Q2 2016
VANECK VECTORS ETF TRGDXJ
935 shares
New
Est. filing basis$197.86
Q2 2016
VANGUARD INTL EQUITY INDEX FVGK
82,516 shares
Reduced
Est. filing basis$48.52
Q2 2016
VERIZON COMMUNICATIONS INCVZ
81,448 shares
Reduced
Est. filing basis$46.22
Q2 2016
VERIZON COMMUNICATIONS INCVZ
952 shares
Reduced
Est. filing basis$44.61
Q2 2016
WISDOMTREE TRDXJ
33,399 shares
New
Est. filing basis$38.77
Q2 2016
WISDOMTREE TR
154,303 shares
New
Est. filing basis$50.53
Q1 2016
ALTRIA GROUP INCMO
71,997 shares
Reduced
Est. filing basis$54.40
Q1 2016
ALTRIA GROUP INCMO
2,882 shares
Increased
Est. filing basis$59.14
Q1 2016
APPLE INCAAPL
54,473 shares
Increased
Est. filing basis$109.68
Q1 2016
APPLE INCAAPL
1,544 shares
Increased
Est. filing basis$119.87
Q1 2016
CARLYLE GROUP L P
276,499 shares
New
Est. filing basis$16.88
Q1 2016
CHECK POINT SOFTWARE TECH LTCHKP
69,619 shares
Increased
Est. filing basis$79.98
Q1 2016
CHECK POINT SOFTWARE TECH LTCHKP
1,238 shares
New
Est. filing basis$312.60
Q1 2016
DBX ETF TR
196,644 shares
Increased
Est. filing basis$24.97
Q1 2016
DR PEPPER SNAPPLE GROUP INC
0 shares
Exited
Q1 2016
DR PEPPER SNAPPLE GROUP INC
0 shares
Exited
Q1 2016
ELECTRONIC ARTS INC
92,285 shares
Increased
Est. filing basis$67.57
Q1 2016
ELECTRONIC ARTS INC
1,605 shares
Increased
Est. filing basis$80.44
Q1 2016
FORTINET INCFTNT
0 shares
Exited
Q1 2016
FORTINET INCFTNT
0 shares
Exited
Q1 2016
HARRIS CORP DEL
0 shares
Exited
Q1 2016
HARRIS CORP DEL
0 shares
Exited
Q1 2016
HESS CORP
64,940 shares
New
Est. filing basis$52.65
Q1 2016
HESS CORP
462 shares
New
Est. filing basis$227.27
Q1 2016
HUNTINGTON INGALLS INDS INCHII
41,504 shares
Reduced
Est. filing basis$126.85
Q1 2016
HUNTINGTON INGALLS INDS INCHII
0 shares
Exited
Q1 2016
ISHARESEWZ
334,180 shares
New
Est. filing basis$26.30
Q1 2016
ISHARESEWZ
1,927 shares
New
Est. filing basis$69.02
Q1 2016
ISHARES
199,980 shares
New
Est. filing basis$53.01
Q1 2016
ISHARES
964 shares
New
Est. filing basis$221.99
Q1 2016
ISHARES TRIWM
77,085 shares
Increased
Est. filing basis$109.25
Q1 2016
ISHARES TRIWM
4,489 shares
Increased
Est. filing basis$140.94
Q1 2016
ISHARES TRACWI
166,288 shares
Reduced
Est. filing basis$53.94
Q1 2016
ISHARES TRITA
0 shares
Exited
Q1 2016
JD COM INC
215,190 shares
Increased
Est. filing basis$31.18
Q1 2016
JD COM INC
886 shares
Reduced
Est. filing basis$84.95
Q1 2016
JOHNSON & JOHNSONJNJ
29,730 shares
New
Est. filing basis$108.21
Q1 2016
JOHNSON & JOHNSONJNJ
5,952 shares
New
Est. filing basis$31.08
Q1 2016
KKR & CO L P DEL
326,958 shares
New
Est. filing basis$14.69
Q1 2016
KKR & CO L P DEL
4,095 shares
New
Est. filing basis$20.02
Q1 2016
KROGER COKR
179,305 shares
Reduced
Est. filing basis$36.07
Q1 2016
KROGER COKR
1,225 shares
Reduced
Est. filing basis$36.14
Q1 2016
LOCKHEED MARTIN CORPLMT
31,355 shares
Increased
Est. filing basis$207.83
Q1 2016
LOCKHEED MARTIN CORPLMT
623 shares
Reduced
Est. filing basis$207.22
Q1 2016
MARKET VECTORS ETF TR
338,429 shares
New
Est. filing basis$19.97
Q1 2016
MARKET VECTORS ETF TR
3,083 shares
New
Est. filing basis$21.08
Q1 2016
MARKET VECTORS ETF TR
82,051 shares
New
Est. filing basis$27.85
Q1 2016
MOLSON COORS BREWING COTAP
66,723 shares
Increased
Est. filing basis$93.99
Q1 2016
MOLSON COORS BREWING COTAP
1,837 shares
Increased
Est. filing basis$174.18
Q1 2016
OCCIDENTAL PETE CORP DELOXY
68,453 shares
Reduced
Est. filing basis$66.15
Q1 2016
PALO ALTO NETWORKS INCPANW
0 shares
Exited
Q1 2016
POWERSHARES QQQ TRUST
2,196 shares
New
Est. filing basis$60.11
Q1 2016
QLIK TECHNOLOGIES INC
0 shares
Exited
Q1 2016
QLIK TECHNOLOGIES INC
0 shares
Exited
Q1 2016
RAYTHEON CORTN
55,789 shares
Increased
Est. filing basis$124.47
Q1 2016
RAYTHEON CORTN
1,189 shares
Reduced
Est. filing basis$67.12
Q1 2016
REYNOLDS AMERICAN INC
120,411 shares
Increased
Est. filing basis$44.45
Q1 2016
REYNOLDS AMERICAN INC
3,502 shares
Increased
Est. filing basis$38.06
Q1 2016
SCHLUMBERGER LTDSLB
62,811 shares
Reduced
Est. filing basis$68.96
Q1 2016
SELECT SECTOR SPDR TRXLY
72,719 shares
Increased
Est. filing basis$74.43
Q1 2016
SELECT SECTOR SPDR TRXLY
1,608 shares
New
Est. filing basis$85.20
Q1 2016
SELECT SECTOR SPDR TRXLF
254,270 shares
New
Est. filing basis$22.50
Q1 2016
SELECT SECTOR SPDR TRXLK
155,027 shares
New
Est. filing basis$44.36
Q1 2016
SELECT SECTOR SPDR TRXLK
6,580 shares
New
Est. filing basis$29.03
Q1 2016
SELECT SECTOR SPDR TRXLU
118,407 shares
New
Est. filing basis$49.62
Q1 2016
SELECT SECTOR SPDR TRXLU
5,952 shares
New
Est. filing basis$38.47
Q1 2016
SPDR S&P 500 ETF TRSPY
186,554 shares
Increased
Est. filing basis$201.28
Q1 2016
SPDR S&P 500 ETF TRSPY
1,057 shares
Increased
Est. filing basis$192.76
Q1 2016
SPDR S&P MIDCAP 400 ETF TRMDY
32,351 shares
Reduced
Est. filing basis$248.88
Q1 2016
SPDR S&P MIDCAP 400 ETF TRMDY
1,671 shares
Increased
Est. filing basis$256.00
Q1 2016
TOYOTA MOTOR CORP
42,022 shares
Reduced
Est. filing basis$117.28
Q1 2016
TRACTOR SUPPLY COTSCO
79,531 shares
Increased
Est. filing basis$85.12
Q1 2016
TRACTOR SUPPLY COTSCO
957 shares
Increased
Est. filing basis$109.03
Q1 2016
UNITED STATES OIL FUND LP
676,932 shares
Increased
Est. filing basis$13.51
Q1 2016
UNITED STATES OIL FUND LP
4,611 shares
Reduced
Est. filing basis$14.69
Q1 2016
VANGUARD INTL EQUITY INDEX FVGK
96,058 shares
New
Est. filing basis$48.52
Q1 2016
VERIZON COMMUNICATIONS INCVZ
151,825 shares
Reduced
Est. filing basis$46.22
Q1 2016
VERIZON COMMUNICATIONS INCVZ
5,506 shares
Increased
Est. filing basis$44.61
Q1 2016
WISDOMTREE TR
0 shares
Exited
Q4 2015
ALTRIA GROUP INCMO
95,590 shares
Reduced
Est. filing basis$54.40
Q4 2015
ALTRIA GROUP INCMO
1,865 shares
Reduced
Est. filing basis$54.50
Q4 2015
APPLE INCAAPL
47,482 shares
Increased
Est. filing basis$109.79
Q4 2015
APPLE INCAAPL
492 shares
Reduced
Est. filing basis$110.29
Q4 2015
CHECK POINT SOFTWARE TECH LTCHKP
64,062 shares
Reduced
Est. filing basis$79.33
Q4 2015
CHECK POINT SOFTWARE TECH LTCHKP
0 shares
Exited
Q4 2015
COSTCO WHSL CORP NEWCOST
0 shares
Exited
Q4 2015
COSTCO WHSL CORP NEWCOST
0 shares
Exited
Q4 2015
CYBERARK SOFTWARE LTD
0 shares
Exited
Q4 2015
CYBERARK SOFTWARE LTD
0 shares
Exited
Q4 2015
DBX ETF TR
186,050 shares
Reduced
Est. filing basis$24.99
Q4 2015
DOLLAR GEN CORP NEWDG
0 shares
Exited
Q4 2015
DOLLAR GEN CORP NEWDG
0 shares
Exited
Q4 2015
DR PEPPER SNAPPLE GROUP INC
72,708 shares
Reduced
Est. filing basis$79.05
Q4 2015
DR PEPPER SNAPPLE GROUP INC
1,494 shares
New
Est. filing basis$62.25
Q4 2015
ELECTRONIC ARTS INC
82,134 shares
Reduced
Est. filing basis$67.75
Q4 2015
ELECTRONIC ARTS INC
850 shares
Reduced
Est. filing basis$67.78
Q4 2015
FORTINET INCFTNT
170,892 shares
Increased
Est. filing basis$40.83
Q4 2015
FORTINET INCFTNT
1,296 shares
Reduced
Est. filing basis$42.50
Q4 2015
HARRIS CORP DEL
74,264 shares
Increased
Est. filing basis$74.55
Q4 2015
HARRIS CORP DEL
2,834 shares
New
Est. filing basis$37.40
Q4 2015
HASBRO INCHAS
0 shares
Exited
Q4 2015
HASBRO INCHAS
0 shares
Exited
Q4 2015
HUNTINGTON INGALLS INDS INCHII
51,322 shares
New
Est. filing basis$126.85
Q4 2015
HUNTINGTON INGALLS INDS INCHII
684 shares
New
Est. filing basis$134.50
Q4 2015
ISHARES TRIWM
74,752 shares
Reduced
Est. filing basis$109.21
Q4 2015
ISHARES TRIWM
1,190 shares
Reduced
Est. filing basis$109.26
Q4 2015
ISHARES TRACWI
202,789 shares
Reduced
Est. filing basis$53.94
Q4 2015
ISHARES TRACWI
0 shares
Exited
Q4 2015
ISHARES TRITA
45,725 shares
New
Est. filing basis$118.23