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Institutional Investment Manager
Advisors Preferred, LLC
Advisors Preferred, LLC (CIK: 0001598841) incorporated in Maryland, located at 1445 Research Boulevard, Rockville, MD. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q4)
Original 13F HR (0001580642-15-000283) filed in 2015.01.22
#
Name
Shares
Value ($)
%
Options
Notes
101 ISHARES INC 252 16,334 0.01%
102 ISHARES INC 473 36,638 0.02%
103 ISHARES MSCI TAIWAN ETF 12,067 182,332 0.09%
104 ISHARES TR 15,601 1,846,690 0.87%
105 ISHARES TR 15,202 2,191,064 1.03%
106 ISHARES TR 325 49,156 0.02%
107 ISHARES TR 3,197 111,735 0.05%
108 ISHARES TR 79,662 8,316,712 3.91%
109 ISHARES TR 2,140 107,021 0.05%
110 ISHARES TR 33,100 1,671,881 0.79%
111 ISHARES TR 1,310 54,522 0.03%
112 ISHARES TR 808 74,982 0.04%
113 ISHARES TR 15,900 1,672,360 0.79%
114 ISHARES TR 676 82,681 0.04%
115 ISHARES TR 5,146 196,577 0.09%
116 ISHARES TR 32,554 3,023,941 1.42%
117 ISHARES TR 7,925 2,404,048 1.13%
118 ISHARES TR 13,472 2,250,362 1.06%
119 ISHARES TR 20,977 2,005,610 0.94%
120 ISHARES TR 14,551 2,071,771 0.97%
121 ISHARES TR 26,530 2,473,391 1.16%
122 ISHARES TR 17,929 2,000,876 0.94%
123 ISHARES TR 8,316 350,519 0.16%
124 ISHARES TR 27,283 3,010,406 1.41%
125 ISHARES TR 4,282 159,076 0.07%
126 ISHARES TR 15,800 1,671,390 0.79%
127 ISHARES TR 33,475 1,320,254 0.62%
128 ISHARES TR 2,806 317,386 0.15%
129 ISHARES TR 1,236 119,694 0.06%
130 ISHARES TR 32,651 3,595,528 1.69%
131 ISHARES TR 149 12,288 0.01%
132 ISHARES U S ETF TR 15,800 790,158 0.37%
133 JABIL INC 8,620 188,174 0.09%
134 JPMORGAN CHASE & CO 550 34,419 0.02%
135 KINDRED HEALTHCARE INC 800 14,544 0.01%
136 KNIGHT TRANSN INC 559 18,815 0.01%
137 LA Z BOY INC COM 3,084 82,774 0.04%
138 LAZARD LTD 1,788 89,453 0.04%
139 LHC GROUP INC 28,877 900,384 0.42%
140 LITTELFUSE INC 8,056 778,773 0.37%
141 LOCKHEED MARTIN CORP 349 67,206 0.03%
142 LOWES COS INC 3,162 217,545 0.10%
143 Laredo Petroleum Inc 40,568 419,878 0.20%
144 MANPOWERGROUP INC 213 14,520 0.01%
145 MARKET VECTORS ETF TR 8,275 427,652 0.20%
146 MARRIOTT VACATIONS WORLDWIDE C COM 2,855 212,811 0.10%
147 MASCO CORP 6,899 173,854 0.08%
148 MATTEL INC 6,564 203,122 0.10%
149 MEAD JOHNSON NUTRITION CO 886 89,078 0.04%
150 MEDICAL PPTYS TRUST INC 15,466 213,121 0.10%
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