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Institutional Investment Manager
CT Financial Advisors LLC
CT Financial Advisors LLC (CIK: 0001640485) incorporated in Delaware, located at 330 Kennett Pike, Suite 209, Chadds Ford, PA. Institutional holdings reported to the SEC.

Institutional Holdings (2017Q1)
Original 13F HR (0001640485-17-000002) filed in 2017.04.07
#
Name
Shares
Value ($)
%
Options
Notes
301 AMERICAN INTERMED BOND OF AMERICA F2 2,605 34,887 0.02%
302 INTUIT 300 34,797 0.02%
303 DTE ENERGY CO 337 34,411 0.02%
304 TEJON RANCH CO 1,539 33,689 0.02%
305 OGE ENERGY CORP 960 33,581 0.02%
306 American Funds - New World Fund 580 33,015 0.02%
307 CORNING INC 1,195 32,265 0.02%
308 VANGUARD BAL IDX ADM 1,000 32,140 0.02%
309 LIBERTY BROADBAND CORP COM SER A 376 31,994 0.02%
310 ISHARES 976 31,556 0.02%
311 HCP INC 1,000 31,280 0.02%
312 MYLAN N V 800 31,192 0.02%
313 VANGUARD SCOTTSDALE FDS 354 30,579 0.02%
314 UDR INC 843 30,550 0.02%
315 DFA US SMALL CAP PORT FD 888 30,285 0.02%
316 INCOME FD AMER INC 1,355 30,227 0.02%
317 EVERSOURCE ENERGY 500 29,390 0.02%
318 ISHARES TR 255 29,236 0.02%
319 ISHARES S&P GSCI COMMODITY I 1,922 28,484 0.02%
320 AMERICAN EXPRESS CO 359 28,400 0.02%
321 BB&T CORP 633 28,295 0.02%
322 ISHARES TR 326 28,284 0.02%
323 AIR T INC 1,400 28,140 0.02%
324 AMERICAN INTERNATL GROWTH & INCOME F1 915 27,902 0.02%
325 ANALOG DEVICES INC 340 27,863 0.02%
326 CAPITAL INCOME BUILDER CL A SH 463 27,703 0.02%
327 VANGUARD CAPITAL OPPORTUNITY INV 470 27,412 0.02%
328 POWERSHARES ETF TRUST 1,016 26,446 0.02%
329 FREEPORT-MCMORAN INC 1,968 26,291 0.02%
330 SEALED AIR CORP NEW 600 26,148 0.02%
331 BIOMARIN PHARMACEUTICAL INC 295 25,895 0.02%
332 LIBERTY MEDIA CORP SERIES C 754 25,749 0.02%
333 POWERSHARES ETF DYNAMIC BIOTECHNOLOGY & GENOME 603 25,511 0.02%
334 MANULIFE FINL CORP 1,412 25,049 0.02%
335 BIOVERATIV INC 457 24,888 0.02%
336 WAL-MART STORES INC 345 24,868 0.02%
337 WISDOMTREE TR 1,007 24,301 0.01%
338 IDERA PHARMACEUTICALS INCORPORATED COM NEW 9,690 23,934 0.01%
339 ISHARES TR 80 23,531 0.01%
340 DFA SELECTIVELY HEDGED GL EQ INSTL 1,573 23,345 0.01%
341 TEXTRON INC 490 23,319 0.01%
342 FUNDAMENTAL INVS 402 23,250 0.01%
343 OMEGA HEALTHCARE INVS INC 702 23,149 0.01%
344 Vanguard 500 Index 105 22,855 0.01%
345 MARATHON PETE CORP 450 22,743 0.01%
346 HARRIS CORP 204 22,654 0.01%
347 FRANKLIN DYNATECH FUND - C 481 22,173 0.01%
348 FIRST TR EXCHANGE TRADED FD 692 21,927 0.01%
349 American Funds - Bond Fund of America/The 1,711 21,901 0.01%
350 PUBLIC STORAGE 100 21,891 0.01%
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