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Institutional Investment Manager
LVW Advisors, LLC
LVW Advisors, LLC (CIK: 0001576053) incorporated in Delaware, located at 67b Monroe Ave., Pittsford, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q1)
Portfolio Summary: 151 holdings with a total value of $210,028,000.
#
Name
Shares
Value ($)
%
Options
Notes
51 ROYAL DUTCH SHELL PLC 14,156 844,000 0.40%
52 BERKSHIRE HATHAWAY INC DEL 5,522 797,000 0.38%
53 3M CO 4,771 787,000 0.37%
54 GABELLI DIVID INCOME TR 37,061 785,000 0.37%
55 NUVEEN S&P 500 BUY-WRITE INC 57,961 742,000 0.35%
56 ALTRIA GROUP INC 14,201 710,000 0.34%
57 WELLS FARGO & CO NEW 12,292 669,000 0.32%
58 PLAINS ALL AMERN PIPELINE L 13,310 649,000 0.31% PRN
59 ISHARES TR 4,093 641,000 0.31%
60 DU PONT E I DE NEMOURS & CO 8,826 631,000 0.30%
61 KAYNE ANDERSON ENRGY TTL RT FD 24,550 606,000 0.29%
62 SCHWAB STRATEGIC TR 20,053 603,000 0.29%
63 RAYTHEON CO 5,313 580,000 0.28%
64 VANGUARD BD INDEX FDS 6,600 550,000 0.26%
65 LILLY ELI & CO 7,102 516,000 0.25%
66 Welltower Inc. 6,518 504,000 0.24% PRN
67 WESTLAKE CHEM PARTNERS LP COM UNIT RP LP 18,600 499,000 0.24% PRN
68 SPDR INDEX SHS FDS 11,836 496,000 0.24%
69 SCHWAB STRATEGIC TRUST SCHWAB FUNDAMENTAL INTL 18,489 492,000 0.23%
70 VANGUARD INDEX FDS 3,680 488,000 0.23%
71 VANGUARD INDEX FDS 3,934 482,000 0.23%
72 LOCKHEED MARTIN CORP 2,348 477,000 0.23%
73 TRAVELERS COMPANIES INC 4,390 475,000 0.23%
74 SCHWAB US DIVIDEND EQUITY ETF 11,891 469,000 0.22%
75 VANGUARD INDEX FDS 5,487 463,000 0.22%
76 UNILEVER N V 11,070 462,000 0.22%
77 UNITED TECHNOLOGIES CORP 3,893 456,000 0.22%
78 KIMBERLY CLARK CORP 4,248 455,000 0.22%
79 CONSTELLATION BRANDS INC 3,893 452,000 0.22%
80 HCP INC 10,450 452,000 0.22% PRN
81 BCE INC 10,425 442,000 0.21%
82 ISHARES NASDAQ BIOTECHNOLOGY ETF 788 437,000 0.21%
83 ISHARES TR 10,881 436,000 0.21%
84 NEXTERA ENERGY INC 4,146 431,000 0.21%
85 MPLX LP 5,808 426,000 0.20% PRN
86 DIAGEO P L C 3,833 424,000 0.20%
87 METLIFE INC 8,284 419,000 0.20%
88 ENERGY TRANSFER PRTNRS L P 7,440 415,000 0.20% PRN
89 AMAZON COM INC 1,069 398,000 0.19%
90 VODAFONE GROUP PLC NEW 12,112 396,000 0.19%
91 DISNEY WALT CO 3,647 383,000 0.18%
92 ENTERPRISE PRODS PARTNERS L 11,485 378,000 0.18% PRN
93 POWERSHARES ETF TR II 9,125 374,000 0.18%
94 SCHWAB US AGGREGATE BOND ETF 7,023 372,000 0.18%
95 ROYAL DUTCH SHELL PLC 5,920 371,000 0.18%
96 GOOGLE INC 664 364,000 0.17%
97 ABERDEEN ASIA PACIFIC INCOM 65,751 354,000 0.17% PRN
98 FIRST TR ENERGY INFRASTRCTR 15,495 353,000 0.17%
99 FORD MTR CO DEL 21,449 346,000 0.16%
100 EATON VANCE NATL MUN OPPORT 16,335 346,000 0.16%
Page 2 of 4

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001221073-15-000062, filed 2015.05.13).

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.