IFC Holdings Incorporated/FL

données du 31/12/2017

Capitalisation

$ 1.455 B 1.43 %

Période de détention moyenne

12 ans

Performance

$ 363.573 M 50 043.64 %

Capitalisation

Taille du portefeuille

Performance du portefeuille

Performance du portefeuille %

Performances par rapport au S&P 500 (%)

Entreprise dans IFC Holdings Incorporated/FL

Date Symbol Nom Poids Capitalisation Nombre d'action 1er ajout Performance ($) Performance (%)
2017/12/31 VEA VANGUARD TAX MANAGED INTL FD 6.34% 92.244 M $ 2056160 2010/06/30 3.126 M $ 3.34 %
2017/12/31 VTV VANGUARD INDEX FDS 5.31% 77.307 M $ 727440 2011/03/31 4.922 M $ 6.51 %
2017/12/31 VUG VANGUARD INDEX FDS 4.94% 71.924 M $ 511217 2010/12/31 4.227 M $ 5.95 %
2017/12/31 BSV VANGUARD BD INDEX FD INC 4.63% 67.396 M $ 851936 2010/03/31 -621.238 K $ -0.90 %
2017/12/31 BNDX VANGUARD CHARLOTTE FDS 3.81% 55.361 M $ 1018423 2013/09/30 -223.807 K $ -0.40 %
2017/12/31 AGG ISHARES TR 3.41% 49.574 M $ 453446 2010/03/31 -92.254 K $ -0.24 %
2017/12/31 IVW ISHARES TR 3.36% 48.825 M $ 319517 2009/12/31 2.893 M $ 6.52 %
2017/12/31 IVE ISHARES TR 3.20% 46.592 M $ 407937 2012/06/30 2.287 M $ 5.87 %
2017/12/31 BLV VANGUARD BD INDEX FD INC 2.33% 33.858 M $ 356521 2011/06/30 461.565 K $ 1.40 %
2017/12/31 IEFA ISHARES TR 2.16% 31.478 M $ 476495 2013/12/31 910.279 K $ 2.99 %
2017/12/31 IJH ISHARES TR 1.89% 27.464 M $ 144755 2010/03/31 2.000 M $ 6.09 %
2017/12/31 BIV VANGUARD BD INDEX FD INC 1.88% 27.300 M $ 325760 2011/06/30 -274.451 K $ -0.98 %
2017/12/31 VMBS VANGUARD SCOTTSDALE FDS 1.86% 26.994 M $ 515467 2011/06/30 -175.371 K $ -0.64 %
2017/12/31 VWO VANGUARD INTL EQUITY INDEX F 1.76% 25.542 M $ 556561 2010/03/31 1.412 M $ 5.36 %
2017/12/31 VB VANGUARD INDEX FDS 1.58% 22.914 M $ 154908 2010/03/31 1.044 M $ 4.58 %
2017/12/31 IJR ISHARES TR 1.44% 20.894 M $ 271725 2009/12/31 688.595 K $ 3.49 %
2017/12/31 QQQ POWERSHARES QQQ TRUST 1.43% 20.746 M $ 133218 2012/06/30 1.363 M $ 7.09 %
2017/12/31 IVV ISHARES TR 1.40% 20.377 M $ 75841 2009/12/31 1.154 M $ 6.29 %
2017/12/31 HYG ISHARES TR 1.22% 17.740 M $ 203214 2011/03/31 -344.628 K $ -1.69 %
2017/12/31 IEMG ISHARES INC 1.13% 16.439 M $ 289168 2013/06/30 759.191 K $ 5.34 %
2017/12/31 AAPL APPLE INC 1.07% 15.520 M $ 91667 2009/12/31 1.515 M $ 9.81 %
2017/12/31 SPY SPDR S&P 500 ETF TR 1.02% 14.895 M $ 55804 2009/12/31 924.436 K $ 6.22 %
2017/12/31 MDY SPDR S&P MIDCAP 400 ETF TR 0.92% 13.404 M $ 38825 2010/06/30 728.264 K $ 5.85 %
2017/12/31 IWF ISHARES TR 0.89% 12.991 M $ 96474 2011/06/30 957.257 K $ 7.69 %
2017/12/31 IWD ISHARES TR 0.83% 12.103 M $ 97269 2011/06/30 536.400 K $ 4.92 %
2017/12/31 TIP ISHARES TR 0.82% 11.941 M $ 104634 2010/03/31 71.903 K $ 0.44 %
2017/12/31 VDC VANGUARD WORLD FDS 0.76% 11.123 M $ 76133 2012/09/30 453.572 K $ 5.39 %
2017/12/31 EMB ISHARES TR 0.72% 10.482 M $ 90154 2011/12/31 -24.090 K $ -0.27 %
2017/12/31 FV FIRST TR EXCHANGE TRADED FD 0.64% 9.281 M $ 336560 2014/03/31 444.564 K $ 5.35 %
2017/12/31 VNQ VANGUARD INDEX FDS 0.62% 8.974 M $ 108368 2010/12/31 -11.682 K $ -0.13 %
2017/12/31 HD HOME DEPOT INC 0.62% 8.966 M $ 47344 2009/12/31 1.132 M $ 15.89 %
2017/12/31 EFAV ISHARES TR 0.55% 8.061 M $ 110483 2016/12/31 222.124 K $ 2.70 %
2017/12/31 V VISA INC 0.52% 7.493 M $ 65790 2011/09/30 567.328 K $ 8.33 %
2017/12/31 UNH UNITEDHEALTH GROUP INC 0.50% 7.277 M $ 33032 2015/09/30 776.986 K $ 12.59 %
2017/12/31 T AT&T INC 0.49% 7.094 M $ 182331 2009/12/31 -50.440 K $ -0.71 %
2017/12/31 VTI VANGUARD INDEX FDS 0.47% 6.865 M $ 49977 2012/06/30 386.043 K $ 5.97 %
2017/12/31 FVD FIRST TR VALUE LINE DIVID IN 0.42% 6.132 M $ 198792 2013/12/31 154.940 K $ 3.73 %
2017/12/31 META FACEBOOK INC 0.41% 6.034 M $ 34155 2013/06/30 197.958 K $ 3.27 %
2017/12/31 FEX FIRST TR LRGE CP CORE ALPHA 0.41% 5.929 M $ 101324 2012/03/31 379.473 K $ 6.63 %
2017/12/31 FDX FEDEX CORP 0.40% 5.823 M $ 23411 2014/12/31 529.444 K $ 10.65 %
2017/12/31 IGIB ISHARES TR 0.38% 5.525 M $ 50531 2017/03/31 -42.988 K $ -0.85 %
2017/12/31 EFA ISHARES TR 0.35% 5.055 M $ 71838 2009/12/31 116.391 K $ 2.67 %
2017/12/31 XOM EXXON MOBIL CORP 0.35% 5.034 M $ 60311 2009/12/31 86.947 K $ 2.02 %
2017/12/31 VZ VERIZON COMMUNICATIONS INC 0.34% 5.016 M $ 94823 2009/12/31 356.390 K $ 6.96 %
2017/12/31 SDY SPDR SERIES TRUST 0.33% 4.791 M $ 50681 2014/12/31 106.344 K $ 3.45 %
2017/12/31 HEFA ISHARES TR 0.33% 4.756 M $ 160348 2017/03/31 109.425 K $ 2.60 %
2017/12/31 VOO VANGUARD INDEX FDS 0.32% 4.719 M $ 19230 2013/12/31 215.189 K $ 6.30 %
2017/12/31 VO VANGUARD INDEX FDS 0.30% 4.379 M $ 28232 2015/03/31 194.834 K $ 5.29 %
2017/12/31 FTCS FIRST TR EXCHANGE TRADED FD 0.30% 4.358 M $ 85464 2015/06/30 289.609 K $ 7.69 %
2017/12/31 BA BOEING CO 0.29% 4.222 M $ 14300 2012/09/30 253.072 K $ 16.00 %
2017/12/31 BRK-B BERKSHIRE HATHAWAY INC DEL 0.29% 4.201 M $ 21149 2010/03/31 335.592 K $ 8.14 %
2017/12/31 GOOGL ALPHABET INC 0.29% 4.156 M $ 3962 2015/12/31 309.246 K $ 8.10 %
2017/12/31 BAC BANK AMER CORP 0.27% 3.944 M $ 133431 2009/12/31 516.547 K $ 16.50 %
2017/12/31 MSFT MICROSOFT CORP 0.27% 3.923 M $ 45862 2009/12/31 489.990 K $ 14.85 %
2017/12/31 GAB GABELLI EQUITY TR INC 0.27% 3.882 M $ 627122 2012/12/31 -205.086 K $ -4.88 %
2017/12/31 IEF ISHARES TR 0.27% 3.869 M $ 36677 2017/03/31 -34.600 K $ -0.89 %
2017/12/31 IWM ISHARES TR 0.26% 3.850 M $ 25271 2011/09/30 120.636 K $ 2.89 %
2017/12/31 LQD ISHARES TR 0.26% 3.819 M $ 31353 2009/12/31 15.654 K $ 0.27 %
2017/12/31 POWERSHARES ETF TR II 0.25% 3.689 M $ 81201 2017/12/31 0.000 $ 0.00 %
2017/12/31 VXF VANGUARD INDEX FDS 0.24% 3.455 M $ 30950 2013/06/30 119.227 K $ 4.29 %
2017/12/31 MO ALTRIA GROUP INC 0.22% 3.154 M $ 44206 2009/12/31 359.781 K $ 12.58 %
2017/12/31 LDOS LEIDOS HLDGS INC 0.22% 3.135 M $ 48553 2016/12/31 257.158 K $ 9.03 %
2017/12/31 MTG MGIC INVT CORP WIS 0.22% 3.131 M $ 221900 2017/06/30 350.602 K $ 12.61 %
2017/12/31 JPS NUVEEN PFD & INCM SECURTIES 0.21% 3.119 M $ 305395 2015/03/31 -56.629 K $ -2.01 %
2017/12/31 FXR FIRST TR EXCHANGE TRADED FD 0.21% 3.070 M $ 75660 2016/12/31 120.891 K $ 9.38 %
2017/12/31 IWR ISHARES TR 0.21% 3.069 M $ 14789 2011/06/30 277.255 K $ 5.56 %
2017/12/31 JNJ JOHNSON & JOHNSON 0.21% 3.014 M $ 21566 2009/12/31 239.040 K $ 7.45 %
2017/12/31 SPYG SPDR SERIES TRUST 0.20% 2.969 M $ 90042 2017/06/30 180.515 K $ 6.51 %
2017/12/31 FTSL FIRST TR EXCHANGE TRADED FD 0.20% 2.958 M $ 61581 2013/06/30 -11.311 K $ -0.31 %
2017/12/31 USMV ISHARES TR 0.20% 2.943 M $ 55775 2016/12/31 96.680 K $ 4.86 %
2017/12/31 MBB ISHARES TR 0.20% 2.889 M $ 27124 2015/06/30 -12.019 K $ -0.48 %
2017/12/31 XLK SELECT SECTOR SPDR TR 0.20% 2.853 M $ 44557 2016/03/31 201.308 K $ 8.20 %
2017/12/31 AFG AMERICAN FINL GROUP INC OHIO 0.19% 2.812 M $ 25878 2013/09/30 125.641 K $ 4.92 %
2017/12/31 VGK VANGUARD INTL EQUITY INDEX F 0.19% 2.768 M $ 46792 2012/06/30 46.293 K $ 1.41 %
2017/12/31 PFF ISHARES TR 0.19% 2.768 M $ 72431 2010/03/31 -48.677 K $ -1.90 %
2017/12/31 HYLS FIRST TR EXCHANGE TRADED FD 0.19% 2.734 M $ 56228 2013/09/30 -13.976 K $ -1.00 %
2017/12/31 MA MASTERCARD INCORPORATED 0.19% 2.731 M $ 18042 2012/09/30 176.164 K $ 7.19 %
2017/12/31 JPM JPMORGAN CHASE & CO 0.19% 2.696 M $ 25195 2009/12/31 281.486 K $ 11.93 %
2017/12/31 AMZN AMAZON COM INC 0.19% 2.695 M $ 2303 2013/12/31 520.207 K $ 21.63 %
2017/12/31 STM STMICROELECTRONICS N V 0.18% 2.662 M $ 122015 2016/12/31 295.133 K $ 12.43 %
2017/12/31 FTLS FIRST TR EXCH TRADED FD III 0.18% 2.660 M $ 67858 2016/03/31 210.338 K $ 5.85 %
2017/12/31 FIXD FIRST TR EXCHNG TRADED FD VI 0.18% 2.574 M $ 50610 2017/12/31 0.000 $ 0.00 %
2017/12/31 SO SOUTHERN CO 0.17% 2.540 M $ 52906 2009/12/31 -55.255 K $ -2.13 %
2017/12/31 FCVT FIRST TR EXCHANGE TRADED FD 0.17% 2.536 M $ 88349 2016/12/31 -921.000 $ -0.03 %
2017/12/31 TER TERADYNE INC 0.17% 2.500 M $ 59707 2017/03/31 275.061 K $ 12.28 %
2017/12/31 FVC FIRST TR EXCHANGE TRADED FD 0.17% 2.441 M $ 94978 2016/06/30 123.004 K $ 5.42 %
2017/12/31 VHT VANGUARD WORLD FDS 0.17% 2.427 M $ 15750 2013/06/30 33.288 K $ 1.22 %
2017/12/31 FXH FIRST TR EXCHANGE TRADED FD 0.16% 2.397 M $ 34230 2012/03/31 53.569 K $ 3.54 %
2017/12/31 INTC INTEL CORP 0.16% 2.396 M $ 51906 2010/03/31 414.196 K $ 21.27 %
2017/12/31 TWX TIME WARNER INC 0.16% 2.383 M $ 26072 2016/06/30 -281.000 K $ -10.71 %
2017/12/31 MUB ISHARES TR 0.16% 2.265 M $ 20458 2011/06/30 -3.083 K $ -0.12 %
2017/12/31 AMGN AMGEN INC 0.15% 2.178 M $ 12551 2011/06/30 -163.300 K $ -6.74 %
2017/12/31 ABBV ABBVIE INC 0.15% 2.178 M $ 22481 2013/03/31 197.152 K $ 8.82 %
2017/12/31 FDL FIRST TR MORNINGSTAR DIV LEA 0.15% 2.177 M $ 72420 2013/09/30 79.656 K $ 3.69 %
2017/12/31 IPAC ISHARES TR 0.15% 2.171 M $ 36472 2014/09/30 130.068 K $ 5.55 %
2017/12/31 VBR VANGUARD INDEX FDS 0.15% 2.147 M $ 16164 2010/12/31 76.511 K $ 3.90 %
2017/12/31 LUV SOUTHWEST AIRLS CO 0.14% 2.064 M $ 31559 2014/09/30 70.882 K $ 17.00 %
2017/12/31 LMT LOCKHEED MARTIN CORP 0.14% 2.056 M $ 6404 2014/09/30 55.995 K $ 3.45 %
2017/12/31 XBI SPDR SERIES TRUST 0.14% 2.018 M $ 23803 2016/09/30 -43.727 K $ -1.96 %
2017/12/31 GLD SPDR GOLD TRUST 0.14% 2.011 M $ 16312 2009/12/31 31.290 K $ 1.71 %