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Institutional Investment Manager
CAPITAL ASSET ADVISORY SERVICES LLC
CAPITAL ASSET ADVISORY SERVICES LLC (CIK: 0001666024). Institutional holdings reported to the SEC.

Institutional Holdings (2016Q3)
Portfolio Summary: 60 holdings with a total value of $75,535,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 VANGUARD INDEX FDS 273,516 23,725,000 31.41%
2 PROSHARES TR 277,499 14,652,000 19.40%
3 POWERSHARES ETF TRUST 76,878 1,936,000 2.56%
4 APPLE INC 15,572 1,760,000 2.33%
5 ISHARES TR 13,638 1,680,000 2.22%
6 CHEVRON CORP NEW 15,773 1,623,000 2.15%
7 CISCO SYS INC 48,884 1,551,000 2.05%
8 ALPHABET INC 1,697 1,364,000 1.81%
9 ISHARES TR 15,409 1,320,000 1.75%
10 ALPHABET INC 1,458 1,133,000 1.50%
11 ISHARES TR 16,739 1,130,000 1.50%
12 QUALCOMM INC 15,946 1,092,000 1.45%
13 PAYPAL HLDGS INC 26,002 1,065,000 1.41%
14 RYDEX ETF TRUST 11,973 1,001,000 1.33%
15 WELLS FARGO & CO NEW 19,957 884,000 1.17%
16 LYONDELLBASELL INDUSTRIES N 10,874 877,000 1.16%
17 SHIRE PLC 4,096 794,000 1.05%
18 HALLIBURTON 17,588 789,000 1.04%
19 FIRST TR EXCHANGE TRADED FD 32,732 750,000 0.99%
20 PFIZER INC 21,626 732,000 0.97%
21 INTERNATIONAL BUSINESS MACHS 4,470 710,000 0.94%
22 AMAZON COM INC 808 677,000 0.90%
23 TWENTY FIRST CENTY FOX INC 25,636 621,000 0.82%
24 GLAXOSMITHKLINE PLC 13,569 585,000 0.77%
25 POWERSHARES ETF TRUST 51,823 562,000 0.74%
26 LANNET INC COM NEW 20,193 537,000 0.71%
27 ISHARES TR 5,084 537,000 0.71%
28 ENERSYS COM 7,537 521,000 0.69%
29 EBAY INC 15,690 516,000 0.68%
30 UNITED TECHNOLOGIES CORP 4,978 506,000 0.67%
31 DOW CHEM CO 9,672 501,000 0.66%
32 MASTERCARD INCORPORATED 4,905 499,000 0.66%
33 PEPSICO INC 4,478 487,000 0.64%
34 JPMORGAN CHASE & CO 13,621 429,000 0.57%
35 AMGEN INC 2,494 416,000 0.55%
36 FACEBOOK INC 3,204 411,000 0.54%
37 DOVER CORP 5,522 407,000 0.54%
38 AT&T INC 9,918 403,000 0.53%
39 METLIFE INC 8,984 399,000 0.53%
40 VANGUARD WHITEHALL FDS 5,496 396,000 0.52%
41 ISHARES TR 9,465 374,000 0.50%
42 BANCROFT FD LTD 17,177 361,000 0.48%
43 LOCKHEED MARTIN CORP 1,334 320,000 0.42%
44 US BANCORP DEL 7,285 312,000 0.41%
45 GENERAL ELECTRIC CO 10,547 312,000 0.41%
46 EXXON MOBIL CORP 3,394 296,000 0.39%
47 BRISTOL MYERS SQUIBB CO 5,363 289,000 0.38%
48 CLOROX CO DEL 2,300 288,000 0.38%
49 MICROSOFT CORP 4,928 284,000 0.38%
50 VERIZON COMMUNICATIONS INC 5,421 282,000 0.37%
Page 1 of 2

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001085146-16-004462, filed 2016.10.11).

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.