Dark
Light
System
Institutional Investment Manager
Concert Wealth Management Inc.
Concert Wealth Management Inc. (CIK: 0001456534) incorporated in California, located at 1900 The Alameda, San Jose, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q1)
Portfolio Summary: 675 holdings with a total value of $747,159,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 APPLE INC 248,723 27,082,000 3.62%
2 MICROSOFT CORP 285,352 15,791,000 2.11%
3 CLAYMORE EXCHANGE TRD FD TR 559,577 12,672,000 1.70%
4 STARBUCKS CORP 188,208 11,243,000 1.50%
5 GENERAL ELECTRIC CO 338,091 10,735,000 1.44%
6 GUGGENHEIM BULLETSHARES 2016 CORPORATE BOND ETF 464,611 10,244,000 1.37%
7 CHEVRON CORP NEW 96,005 9,172,000 1.23%
8 SPDR S&P 500 ETF TR 43,920 8,938,000 1.20%
9 ISHARES U.S. OIL & GAS EXPLORATION & PRODUCTION ETF 161,568 8,404,000 1.12%
10 IPATH BLOOMBERG COMMODITY INDEX TOTAL RETURN ETN 373,920 8,046,000 1.08%
11 VERIZON COMMUNICATIONS INC 141,630 7,650,000 1.02%
12 ISHARES TR 132,100 7,404,000 0.99%
13 EXXON MOBIL CORP 81,292 6,791,000 0.91%
14 AT&T INC 169,106 6,637,000 0.89%
15 PROCTER AND GAMBLE CO 76,277 6,260,000 0.84%
16 BOEING CO 47,243 5,996,000 0.80%
17 SPDR PORTFOLIO AGGREGATE BOND ETF 102,248 5,981,000 0.80%
18 PHILIP MORRIS INTL INC 57,277 5,611,000 0.75%
19 POWERSHARES QQQ TRUST 50,680 5,533,000 0.74%
20 VANGUARD BD INDEX FDS 65,364 5,417,000 0.73%
21 FACEBOOK INC 46,403 5,292,000 0.71%
22 BANK AMER CORP 388,830 5,264,000 0.70%
23 ALTRIA GROUP INC 80,867 5,073,000 0.68%
24 iShares iBonds Mar 2018 Term Corp exFncl 50,727 5,024,000 0.67% PRN
25 AMAZON COM INC 8,112 4,822,000 0.65%
26 FS KKR CAPITAL CORP COM 515,078 4,727,000 0.63%
27 PFIZER INC 153,350 4,559,000 0.61%
28 ISHARES TR 21,789 4,504,000 0.60%
29 ISHARES TR 153,752 4,470,000 0.60%
30 ISHARES TR 39,468 4,360,000 0.58%
31 INTEL CORP 132,056 4,255,000 0.57%
32 ISHARES TR 32,298 4,207,000 0.56%
33 JPMORGAN CHASE & CO 72,331 4,186,000 0.56%
34 RYDEX ETF TRUST 51,540 4,048,000 0.54%
35 JOHNSON & JOHNSON 36,870 3,986,000 0.53%
36 DAVITA INC 54,258 3,981,000 0.53%
37 CISCO SYS INC 134,055 3,824,000 0.51%
38 HOME DEPOT INC 28,605 3,819,000 0.51%
39 BRISTOL MYERS SQUIBB CO 57,168 3,651,000 0.49%
40 COSTCO WHSL CORP NEW 23,072 3,650,000 0.49%
41 WELLS FARGO & CO NEW 74,654 3,609,000 0.48%
42 REALTY INCOME CORP 57,035 3,578,000 0.48%
43 FORD MTR CO DEL 262,684 3,553,000 0.48%
44 ISHARES TR 80,003 3,515,000 0.47%
45 POWERSHARES ETF TRUST 85,221 3,468,000 0.46%
46 SPDR GOLD TR 27,801 3,282,000 0.44%
47 POWERSHARES N/C 6/4/18 46137V613 36,587 3,224,000 0.43%
48 MCDONALDS CORP 25,204 3,171,000 0.42%
49 ISHARES TR 28,178 3,097,000 0.41%
50 AMGEN INC 20,237 3,024,000 0.40%
Page 1 of 14

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001085146-16-003821, filed 2016.05.16).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.