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Institutional Investment Manager
SignalPoint Asset Management, LLC
SignalPoint Asset Management, LLC (CIK: 0001566414) incorporated in Missouri, located at 1201 E. Walnut Street, Springfield, MO. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Portfolio Summary: 202 holdings with a total value of $241,540,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 ABBVIE INC 7,716 452,000 0.19%
102 BOEING CO 3,054 458,000 0.19%
103 ISHARES 11,945 461,000 0.19%
104 WISDOMTREE MID-CAP DIVIDEND 5,397 465,000 0.19%
105 TORTOISE ENERGY INDEPENDENC 23,340 470,000 0.19%
106 Prudential Finl Inc 18,500 480,000 0.20%
107 WisdomTree Int'l Small Cap Div 8,184 485,000 0.20%
108 JPMorgan Chase & Co 19,755 487,000 0.20%
109 WALGREENS BOOTS ALLIANCE INC 5,825 493,000 0.20%
110 Senior HSG PPTYS TR 19,920 496,000 0.21%
111 SCHWAB US TIPS ETF 9,331 512,000 0.21%
112 SPDR SERIES TRUST 11,571 520,000 0.22%
113 CATERPILLAR INC 6,552 524,000 0.22%
114 PowerShares DWA Consumer Stapl 9,755 526,000 0.22%
115 BLACKROCK TAX MUNICPAL BD TR SHS 23,418 531,000 0.22%
116 PowerShares DWA Financials ETF 17,134 548,000 0.23%
117 Alphabet Inc. Class C 997 553,000 0.23%
118 SABINE ROYALTY TR 14,072 554,000 0.23%
119 EMPIRE DIST ELEC CO 22,672 563,000 0.23%
120 First Trust North American Ene 21,081 566,000 0.23%
121 Arris Group, Inc. 1,037 568,000 0.24%
122 EMERG MKTS INCOME FUND WDTREE 13,400 569,000 0.24%
123 HOME DEPOT INC 5,027 571,000 0.24%
124 Protective Life Corp 21,518 572,000 0.24%
125 PowerShares DWA Technology ETF 13,961 574,000 0.24%
126 TIME WARNER INC 6,934 586,000 0.24%
127 PEPSICO INC 6,186 591,000 0.24%
128 MCDONALDS CORP 6,134 598,000 0.25%
129 PHILLIPS 66 7,636 600,000 0.25%
130 PowerShares DWA Industrials ET 12,451 601,000 0.25%
131 MICROSOFT CORP 14,939 607,000 0.25%
132 ICAHN ENTERPRISES L.P. 6,776 608,000 0.25%
133 ORACLE CORP 14,273 616,000 0.26%
134 ISHARES INC 13,817 627,000 0.26%
135 PowerShares DWA Utilities ETF 28,722 653,000 0.27%
136 INTEL CORP 20,972 656,000 0.27%
137 BANK AMER CORP 48,130 741,000 0.31%
138 PowerShares DWA Healthcare ETF 12,591 763,000 0.32%
139 SOUTHERN CO 17,512 775,000 0.32%
140 TYSON FOODS INC 20,249 776,000 0.32%
141 FORD MTR CO DEL 48,202 778,000 0.32%
142 INTERNATIONAL BUSINESS MACHS 4,856 779,000 0.32%
143 BERKSHIRE HATHAWAY INC DEL 5,542 799,000 0.33%
144 HELMERICH & PAYNE INC 11,744 799,000 0.33%
145 POWERSHARES ETF TR II 55,709 831,000 0.34%
146 PowerShares DWA Basic Material 15,579 842,000 0.35%
147 PowerShares DWA Consumer Cycli 18,477 876,000 0.36%
148 STARBUCKS CORP 9,780 926,000 0.38%
149 Altria Group, Inc. 19,328 967,000 0.40%
150 PHILIP MORRIS INTL INC 12,910 972,000 0.40%
Page 3 of 5

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001566414-15-000003, filed 2015.07.06).

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.