First-Command-Advisory-Services

Filing Details

13F-HR2025-03-31
Report Date
2025-03-31
Filing Date
2025-05-02
Total Holdings
637
Total Value
10435431915
Accession Number
0001727336-25-000003
Form Type
13F-HR
Manager Name
First-Command-Advisory-Services
Data Enrichment
84% identified
538 identified99 unidentified

Holdings

637 positions • $10.4B total value
Manager:
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GLOBE LIFE INC.
Shares:449
Value:$59.1K
% of Portfolio:0.0% ($59.1K/$10.4B)
VALERO ENERGY CORP/TX
Shares:437
Value:$57.7K
% of Portfolio:0.0% ($57.7K/$10.4B)
Monster Beverage Corp
Shares:977
Value:$57.2K
% of Portfolio:0.0% ($57.2K/$10.4B)
FULTON FINANCIAL CORP
Shares:3.1K
Value:$56.2K
% of Portfolio:0.0% ($56.2K/$10.4B)
UNITED PARCEL SERVICE INC
Shares:500
Value:$55.0K
% of Portfolio:0.0% ($55.0K/$10.4B)
General Motors Co
Shares:1.1K
Value:$53.8K
% of Portfolio:0.0% ($53.8K/$10.4B)
464287606
Shares:638
Value:$53.1K
% of Portfolio:0.0% ($53.1K/$10.4B)
Shares:1.6K
Value:$52.8K
% of Portfolio:0.0% ($52.8K/$10.4B)
464287499
Shares:619
Value:$52.7K
% of Portfolio:0.0% ($52.7K/$10.4B)
Okta, Inc.
Shares:500
Value:$52.6K
% of Portfolio:0.0% ($52.6K/$10.4B)
AMETEK INC/
Shares:304
Value:$52.3K
% of Portfolio:0.0% ($52.3K/$10.4B)
ROYAL BANK OF CANADA
Shares:460
Value:$51.9K
% of Portfolio:0.0% ($51.9K/$10.4B)
ADVANCED MICRO DEVICES INC
Shares:500
Value:$51.4K
% of Portfolio:0.0% ($51.4K/$10.4B)
ENTERPRISE PRODUCTS PARTNERS L.P.
Shares:1.5K
Value:$51.2K
% of Portfolio:0.0% ($51.2K/$10.4B)
46139W767
Shares:2.1K
Value:$50.1K
% of Portfolio:0.0% ($50.1K/$10.4B)
FTI CONSULTING, INC
Shares:302
Value:$49.6K
% of Portfolio:0.0% ($49.6K/$10.4B)
TRAVELERS COMPANIES, INC.
Shares:185
Value:$48.9K
% of Portfolio:0.0% ($48.9K/$10.4B)
OCCIDENTAL PETROLEUM CORP /DE/
Shares:990
Value:$48.9K
% of Portfolio:0.0% ($48.9K/$10.4B)
Corteva, Inc.
Shares:766
Value:$48.2K
% of Portfolio:0.0% ($48.2K/$10.4B)
EDISON INTERNATIONAL
Shares:812
Value:$47.8K
% of Portfolio:0.0% ($47.8K/$10.4B)