FCF Advisors LLC

13F Portfolio Filings

Most recent 13F
Q4 2023
Location
New York, NY
CIK
0001604903
Alternate names
TrimTabs Asset Management, LLC
All SEC filings
View on sec.gov
Holdings Value
Quarter Holdings Value ($000) Top Holdings Form Type Date Filed Filing ID
Q4 2023 145 344,383 AAPL, GOOGL, ABBV, UNH 13F-HR 1/4/2024 000089418924000068
Q3 2023 142 188,162 AAPL, GOOGL, MSFT, UNH 13F-HR 10/10/2023 000089418923007554
Q2 2023 136 198,326 AAPL, MSFT, MA, AVGO 13F-HR 7/19/2023 000089418923004832
Q1 2023 139 186,607 AAPL, MSFT, XOM, ABBV 13F-HR 4/19/2023 000089418923002663
Q4 2022 138 153,276 AAPL, MSFT, XOM, UNH 13F-HR 2/3/2023 000089418923000947
Q3 2022 141 145,132 AAPL, MSFT, GOOGL, JNJ 13F-HR 10/12/2022 000156761922018430
Q2 2022 134 163,186 AAPL, MSFT, GOOGL, JNJ 13F-HR 7/20/2022 000156761922014207
Q1 2022 180 298,811 AAPL, MSFT, ABBV, AVGO 13F-HR 4/28/2022 000156761922009107
Q4 2021 123 203,412 AAPL, MSFT, GOOGL, JPM 13F-HR 1/10/2022 000156761922000886
Q3 2021 133 206,043 AAPL, MSFT, JPM, GOOGL 13F-HR 10/12/2021 000156761921018182
Q2 2021 142 195,788 AAPL, MSFT, JPM, GOOGL 13F-HR 7/30/2021 000156761921014194
Q1 2021 152 196,446 AAPL, JPM, MSFT, AMZN 13F-HR 4/6/2021 000156761921007666
Q4 2020 85 171,645 JPM, MSFT, MS, AMZN 13F-HR 1/12/2021 000156761921000897
Q3 2020 89 186,083 AMZN, MSFT, NVDA, META 13F-HR 10/20/2020 000156761920017993
Q2 2020 81 105,303 AMZN, MSFT, JPM, XOM 13F-HR 7/10/2020 000156761920013123
Q1 2020 77 87,456 AMZN, JPM, MSFT, NVDA 13F-HR 4/21/2020 000156761920008179
Q4 2019 94 126,514 AAPL, MSFT, MSCI, V 13F-HR 1/7/2020 000156761920000710
Q3 2019 95 121,124 ZTS, COST, MSFT, V 13F-HR 10/9/2019 000156761919019387
Q2 2019 96 121,921 ILMN, DECK, ZTS, MSCI 13F-HR 7/8/2019 000156761919014482
Q1 2019 96 129,326 MTCH, ULTA, ILMN, ZTS 13F-HR 4/9/2019 000156761919008595
Q4 2018 96 108,977 VRSN, ILMN, MTCH, MRK 13F-HR 1/15/2019 000156761919001145
Q3 2017 99 32,014 CGNX, MYGN, AAN.A, STMP 13F-HR 12/1/2017 000114036117044550
Q2 2017 100 25,687 LUV, CGNX, STMP, BBY 13F-HR 8/7/2017 000114036117030298
Q1 2017 102 12,108 NVDA, CGNX, PLCE, WNC 13F-HR 5/8/2017 000114036117018804
Q4 2016 100 6,004 NVDA, UAL, ALK, LUV 13F-HR 1/17/2017 000114036117002006
Q3 2016 100 2,493 DNOW, DRQ, NOV, QCOM 13F-HR 11/4/2016 000114036116084881
Q2 2016 100 154,927 HSY, CPRT, DG, TXN 13F-HR 8/1/2016 000114036116073984
Q1 2016 100 174,863 PPC, CPRI, SAFM, VAL 13F-HR 5/4/2016 000114036116063244
Q4 2015 100 218,356 KLAC, PPC, KDP, VRSN 13F-HR 2/11/2016 000114036116051623
Q3 2015 92 193,868 M, XEL, VTR, PLD 13F-HR 12/24/2015 000114036115045564
Q2 2015 95 229,880 HCA, VLO, IAC, FISV 13F-HR 12/24/2015 000114036115045561
Q1 2015 95 204,007 WLK, HOT, WOOF, INTC 13F-HR 12/24/2015 000114036115045559
Q4 2014 93 162,940 LOW, ROST, WBA, SHW 13F-HR 12/24/2015 000114036115045566