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Institutional Investment Manager
RISK PARADIGM GROUP, LLC
RISK PARADIGM GROUP, LLC (CIK: 0001569886). Institutional holdings reported to the SEC.

Institutional Holdings (2016Q1)
Original 13F HR (0001569886-16-000011) filed in 2016.05.11
#
Name
Shares
Value ($)
%
Options
Notes
101 ISHARES SILVER TR 4,706 69,084 0.09%
102 ISHARES TR 12,509 1,486,319 1.89%
103 ISHARES TR 140 11,904 0.02%
104 ISHARES TR 31,332 1,664,982 2.11%
105 ISHARES TR 14,066 2,906,738 3.69%
106 ISHARES TR 1,893 272,951 0.35%
107 ISHARES TR 4,347 489,341 0.62%
108 ISHARES TR 15,143 1,678,222 2.13%
109 ISHARES TR 11,136 435,528 0.55%
110 ISHARES TR 5,105 417,027 0.53%
111 ISHARES TR 1,007 111,122 0.14%
112 ISHARES TR 13,561 1,484,658 1.89%
113 ISHARES TR 31,074 1,742,008 2.21%
114 ISHARES TR 7,426 315,679 0.40%
115 ISHARES TR 403 23,035 0.03%
116 ISHARES TR 7,412 253,861 0.32%
117 ISHARES TR 507 11,944 0.02%
118 ISHARES TR 149 13,614 0.02%
119 ISHARES TR 16,140 1,451,470 1.84%
120 ISHARES TR 11,554 1,433,158 1.82%
121 ISHARES TR 12,647 1,433,158 1.82%
122 ISHARES TR 9,413 1,079,106 1.37%
123 ISHARES TR 1,734 60,308 0.08%
124 ISHARES TR 10,386 1,111,925 1.41%
125 ISHARES TR 19,338 1,505,656 1.91%
126 ISHARES TR 21,022 2,280,887 2.90%
127 ISHARES TR 801 99,067 0.13%
128 Intuit Inc 103 11,778 0.01%
129 Ishares - Japan 206,389 2,354,898 2.99%
130 JOHNSON & JOHNSON 2,060 222,892 0.28%
131 JPMORGAN CHASE & CO 1,114 65,971 0.08%
132 JPMORGAN CHASE & CO 2,667 72,249 0.09%
133 KELLOGG CO 200 15,310 0.02%
134 KIMBERLY CLARK CORP 449 60,394 0.08%
135 KINDER MORGAN INC DEL 8,495 151,720 0.19%
136 MCDONALDS CORP 1,371 172,307 0.22%
137 MERCK & CO INC 1,251 66,190 0.08%
138 METLIFE INC 376 16,521 0.02%
139 MICROSOFT CORP 2,993 165,303 0.21%
140 Market Vectors Gold 745 14,877 0.02%
141 NATIONAL GRID PLC ADR 2,248 160,552 0.20%
142 NEWMONT CORP 451 11,987 0.02%
143 NEXTERA ENERGY INC 363 42,957 0.05%
144 NIKE INC 200 12,294 0.02%
145 NORTHERN TIER ENERGY LP COM UN REPR PART 500 11,785 0.01%
146 NORTHWEST NAT GAS CO 1,585 85,352 0.11%
147 NOVARTIS A G 156 11,300 0.01%
148 NUVEEN CR STRATEGIES INCOME FD COM SHS 2,555 20,210 0.03%
149 NUVEEN DIVID ADVANTAGE MUN FD COM SH BEN INT 4,000 59,880 0.08%
150 OIL-DRI CORP OF AMERICA WITH STOCK SPLIT SHARES 500 16,890 0.02%
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