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Latest ADVISORS MANAGEMENT GROUP INC /ADV Stock Portfolio

$402Million

Equity Portfolio Value
Last Reported on: 26 Apr, 2024

About ADVISORS MANAGEMENT GROUP INC /ADV and it’s 13F Hedge Fund Stock Holdings

ADVISORS MANAGEMENT GROUP INC /ADV is a hedge fund based in LA CROSSE, WI. On 13-Sep-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $555 Millions. In it's latest 13F Holdings report, ADVISORS MANAGEMENT GROUP INC /ADV reported an equity portfolio of $402.8 Millions as of 31 Mar, 2024.

The top stock holdings of ADVISORS MANAGEMENT GROUP INC /ADV are ACTX, INTC, SGOL. The fund has invested 2.8% of it's portfolio in GLOBAL X FDS and 2.7% of portfolio in INTEL CORP.

The fund managers got completely rid off SPIRIT RLTY CAP INC NEW (SRC), COMPASS MINERALS INTL INC (CMP) and HEALTHPEAK PROPERTIES INC (PEAK) stocks. They significantly reduced their stock positions in SUPER MICRO COMPUTER INC (SMCI), TRAVELERS COMPANIES INC (TRV) and NVIDIA CORPORATION (NVDA). ADVISORS MANAGEMENT GROUP INC /ADV opened new stock positions in ABRDN GOLD ETF TRUST (SGOL), REALTY INCOME CORP (O) and PHYSICIANS RLTY TR (DOC). The fund showed a lot of confidence in some stocks as they added substantially to ISHARES TR (AGG), WALMART INC (WMT) and ISHARES TR (AMPS).

New Buys

Ticker$ Bought
INVESCO EXCH TRADED FD TR II13,670,000
ABRDN GOLD ETF TRUST10,504,000
REALTY INCOME CORP6,465,000
PHYSICIANS RLTY TR1,779,000
PALO ALTO NETWORKS INC1,506,000
ISHARES TR517,000
INVESCO EXCHANGE TRADED FD T278,000
ISHARES TR229,000

New stocks bought by ADVISORS MANAGEMENT GROUP INC /ADV

Additions

Ticker% Inc.
ISHARES TR388
WALMART INC200
ISHARES TR117
EOG RES INC54.72
SELECT SECTOR SPDR TR26.95
SELECT SECTOR SPDR TR21.59
MUELLER INDS INC11.37
3M CO9.26

Additions to existing portfolio by ADVISORS MANAGEMENT GROUP INC /ADV

Reductions

Ticker% Reduced
SUPER MICRO COMPUTER INC-34.48
TRAVELERS COMPANIES INC-29.91
NVIDIA CORPORATION-21.79
ISHARES TR-20.69
ISHARES TR-18.58
CLOROX CO DEL-11.08
BOEING CO-10.09
STANLEY BLACK & DECKER INC-9.53

ADVISORS MANAGEMENT GROUP INC /ADV reduced stake in above stock

Sold off

Ticker$ Sold
SPIRIT RLTY CAP INC NEW-6,744,000
HEALTHPEAK PROPERTIES INC-1,864,000
COMPASS MINERALS INTL INC-2,266,000
DEVON ENERGY CORP NEW-457,000
ARK ETF TR-200,000
DOW INC-201,000
VANGUARD BD INDEX FDS-234,000
CANOO INC-3,000

ADVISORS MANAGEMENT GROUP INC /ADV got rid off the above stocks

Current Stock Holdings of ADVISORS MANAGEMENT GROUP INC /ADV

Last Reported on: 26 Apr, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAPLAPPLE INC1.8743,9537,537,000ADDED4.07
AAXJISHARES TR3.50437,51414,101,000ADDED3.39
ABBVABBVIE INC0.061,242226,000NEW
ACTXGLOBAL X FDS3.49697,83314,068,000ADDED2.59
ACTXGLOBAL X FDS2.77231,06111,142,000ADDED3.78
ACTXGLOBAL X FDS0.1824,827739,000REDUCED-1.28
ACTXGLOBAL X FDS0.1533,211595,000REDUCED-0.91
ACTXGLOBAL X FDS0.088,482338,000UNCHANGED0.00
ACTXGLOBAL X FDS0.0811,898331,000REDUCED-2.00
ADGOADVANTEGO CORP0.00330,0000.00UNCHANGED0.00
ADMARCHER DANIELS MIDLAND CO0.7246,0792,894,000REDUCED-0.19
AEPAMERICAN ELEC PWR CO INC0.9042,1133,626,000REDUCED-2.65
AFKVANECK ETF TRUST0.071,287290,000REDUCED-1.23
AGGISHARES TR1.5128,8446,066,000ADDED6.82
AGGISHARES TR0.3918,5681,569,000ADDED3.63
AGGISHARES TR0.13984517,000NEW
AGGISHARES TR0.106,705415,000ADDED388
AGGISHARES TR0.082,670316,000UNCHANGED0.00
AGGISHARES TR0.062,672244,000REDUCED-20.69
AGGISHARES TR0.061,792242,000REDUCED-18.58
AGGISHARES TR0.062,791229,000REDUCED-4.87
AGGISHARES TR0.063,773229,000NEW
AMATAPPLIED MATLS INC0.061,075222,000NEW
AMDADVANCED MICRO DEVICES INC1.8541,2407,443,000REDUCED-0.16
AMPSISHARES TR0.158,528599,000ADDED117
AMTAMERICAN TOWER CORP NEW0.071,347266,000ADDED4.58
AMZNAMAZON COM INC0.7817,4693,151,000ADDED6.58
ARKFARK ETF TR0.000.000.00SOLD OFF-100
AXPAMERICAN EXPRESS CO0.081,360310,000REDUCED-0.66
AZNASTRAZENECA PLC0.084,696318,000UNCHANGED0.00
BABOEING CO0.061,212234,000REDUCED-10.09
BIVVANGUARD BD INDEX FDS0.000.000.00SOLD OFF-100
BMYBRISTOL-MYERS SQUIBB CO0.107,126386,000REDUCED-5.2
BNSBANK NOVA SCOTIA HALIFAX0.5946,0442,384,000ADDED6.73
BPBP PLC ADR D 0.099,340352,000REDUCED-5.73
CCITIGROUP INC0.4327,4881,738,000ADDED4.86
CAGCONAGRA BRANDS INC0.0810,393308,000ADDED6.78
CATCATERPILLAR INC0.505,5482,033,000REDUCED-1.18
CCICROWN CASTLE INC0.083,096328,000ADDED0.85
CHDCHURCH & DWIGHT CO INC0.4416,8061,753,000UNCHANGED0.00
CLXCLOROX CO DEL0.051,405215,000REDUCED-11.08
CMPCOMPASS MINERALS INTL INC0.000.000.00SOLD OFF-100
CSCOCISCO SYS INC1.65133,1486,645,000REDUCED-0.37
CSDINVESCO EXCHANGE TRADED FD T0.071,640278,000NEW
CVSCVS HEALTH CORP2.21111,4718,891,000REDUCED-0.37
CVXCHEVRON CORP NEW0.8421,5703,402,000ADDED3.15
CWISPDR INDEX SHS FDS0.2123,254833,000ADDED3.6
DDOMINION ENERGY INC0.6452,0742,562,000REDUCED-0.46
DEDEERE & CO0.323,1831,307,000REDUCED-0.75
DFACDIMENSIONAL ETF TRUST0.064,392250,000UNCHANGED0.00
DIASPDR DOW JONES INDL AVERAGE1.2812,9405,147,000ADDED3.84
DISDISNEY WALT CO0.082,635322,000REDUCED-0.87
DLRDIGITAL RLTY TR INC0.267,2741,048,000ADDED3.66
DOCPHYSICIANS RLTY TR0.4494,8591,779,000NEW
DOWDOW INC0.000.000.00SOLD OFF-100
DUKDUKE ENERGY CORP NEW0.6627,5332,663,000REDUCED-3.86
DVNDEVON ENERGY CORP NEW0.000.000.00SOLD OFF-100
EMREMERSON ELEC CO1.5354,3266,162,000REDUCED-0.76
ENBENBRIDGE INC1.74193,2196,991,000ADDED0.34
EOGEOG RES INC0.082,587331,000ADDED54.72
EPDENTERPRISE PRODS PARTNERS L0.1317,625514,000REDUCED-1.81
ETRENTERGY CORP NEW2.3890,6099,576,000ADDED2.25
FASTFASTENAL CO0.178,884685,000ADDED0.09
FEFIRSTENERGY CORP2.31241,3849,322,000REDUCED-1.57
FNDASCHWAB STRATEGIC TR0.6240,3092,502,000ADDED1.78
FNDASCHWAB STRATEGIC TR0.6130,4222,453,000ADDED2.35
GEGENERAL ELECTRIC CO0.7918,2293,200,000REDUCED-1.62
GILDGILEAD SCIENCES INC0.6233,8052,476,000ADDED2.19
GISGENERAL MLS INC0.3620,4571,431,000ADDED3.06
GNRCGENERAC HLDGS INC0.061,903240,000UNCHANGED0.00
GOEVCANOO INC0.000.000.00SOLD OFF-100
GOOGALPHABET INC0.9625,7283,883,000ADDED6.33
GOOGALPHABET INC0.112,886439,000REDUCED-1.94
GSKGSK PLC0.8781,4563,492,000REDUCED-0.93
HBIHANESBRANDS INC0.0640,021232,000REDUCED-0.28
HONHONEYWELL INTL INC1.1422,3994,597,000ADDED2.01
HSYHERSHEY CO0.122,400467,000UNCHANGED0.00
IBCEISHARES TR0.1810,795733,000REDUCED-1.21
IBMINTERNATIONAL BUSINESS MACHS2.2447,2699,027,000ADDED0.11
INTCINTEL CORP2.74250,25011,054,000REDUCED-0.19
IRMIRON MTN INC DEL0.073,549285,000ADDED7.25
JJACOBS SOLUTIONS INC0.266,9521,069,000REDUCED-2.25
JBHTHUNT J B TRANS SVCS INC0.071,400279,000UNCHANGED0.00
JCIJOHNSON CTLS INTL PLC0.4929,9601,957,000REDUCED-0.9
JNJJOHNSON & JOHNSON1.1529,1724,615,000REDUCED-0.57
JPMJPMORGAN CHASE & CO1.0821,7844,363,000REDUCED-5.14
KHCKRAFT HEINZ CO0.7481,0062,989,000REDUCED-1.83
KMBKIMBERLY-CLARK CORP0.103,219416,000UNCHANGED0.00
KMIKINDER MORGAN INC DEL0.1941,437760,000REDUCED-1.04
KOCOCA COLA CO0.5334,9732,140,000REDUCED-1.88
LAMRLAMAR ADVERTISING CO NEW1.4047,2795,646,000REDUCED-1.02
LYGLLOYDS BANKING GROUP PLC0.691,067,4102,765,000REDUCED-0.81
MCDMCDONALDS CORP0.07962271,000REDUCED-2.43
MDTMEDTRONIC PLC0.6329,0002,527,000ADDED3.73
METAMETA PLATFORMS INC0.05420204,000NEW
MLIMUELLER INDS INC0.2719,8551,071,000ADDED11.37
MMM3M CO0.3814,5061,539,000ADDED9.26
MRKMERCK & CO INC0.7322,1842,927,000REDUCED-1.18
MRVLMARVELL TECHNOLOGY INC0.4424,7641,755,000ADDED1.97
MSFTMICROSOFT CORP2.5824,72310,401,000ADDED1.04
MUMICRON TECHNOLOGY INC0.5217,8382,103,000ADDED0.16
NGGNATIONAL GRID PLC0.2615,5921,064,000REDUCED-1.65
NSCNORFOLK SOUTHN CORP0.05858219,000UNCHANGED0.00
NTRSNORTHERN TR CORP0.083,660325,000UNCHANGED0.00
NVDANVIDIA CORPORATION2.249,9829,019,000REDUCED-21.79
NVSNOVARTIS AG0.4217,3951,683,000REDUCED-0.45
NWBONORTHWEST BIOTHERAPEUTICS INC.0.0010,2705,000UNCHANGED0.00
OREALTY INCOME CORP1.60119,5016,465,000NEW
OKEONEOK INC NEW0.157,710618,000ADDED7.31
ORANORANGE0.1138,465453,000REDUCED-3.38
PANWPALO ALTO NETWORKS INC0.375,3001,506,000NEW
PEAKHEALTHPEAK PROPERTIES INC0.000.000.00SOLD OFF-100
PEGPUBLIC SVC ENTERPRISE GRP IN0.6740,2142,685,000REDUCED-0.16
PEPPEPSICO INC0.051,151201,000REDUCED-6.8
PFEPFIZER INC1.26183,1285,082,000ADDED1.34
PGPROCTER AND GAMBLE CO1.7944,4517,212,000REDUCED-3.14
QCOMQUALCOMM INC1.1427,1784,601,000REDUCED-0.87
QQQINVESCO QQQ TR0.585,2772,343,000ADDED2.75
RCIROGERS COMMUNICATIONS INCCL B0.4241,1111,686,000REDUCED-0.18
SGOLABRDN GOLD ETF TRUST2.61494,51910,504,000NEW
SHELSHELL PLC0.6539,0942,621,000REDUCED-3.58
SMCISUPER MICRO COMPUTER INC0.16631637,000REDUCED-34.48
SOSOUTHERN CO1.80101,0357,248,000REDUCED-0.56
SPHDINVESCO EXCH TRADED FD TR II3.391,150,64013,670,000NEW
SPYSPDR S&P 500 ETF TR0.07521273,000REDUCED-0.95
SRCSPIRIT RLTY CAP INC NEW0.000.000.00SOLD OFF-100
STTSTATE STR CORP0.073,752290,000REDUCED-0.9
SWKSTANLEY BLACK & DECKER INC0.104,149406,000REDUCED-9.53
SWKSSKYWORKS SOLUTIONS INC0.051,942210,000REDUCED-0.26
SYYSYSCO CORP0.062,830230,000REDUCED-0.32
TAT&T INC1.75401,7777,071,000REDUCED-2.84
TEFTELEFONICA S A0.0654,668241,000REDUCED-0.85
TRVTRAVELERS COMPANIES INC0.071,249287,000REDUCED-29.91
TSLATESLA INC0.061,497263,000REDUCED-0.2
TTTRANE TECHNOLOGIES PLC0.121,684505,000UNCHANGED0.00
TTETOTALENERGIES SE2.47144,7609,964,000REDUCED-0.47
ULUNILEVER PLC0.7963,2843,176,000REDUCED-0.71
UNPUNION PAC CORP0.223,645896,000REDUCED-2.8
UPSUNITED PARCEL SERVICE INC0.184,760707,000REDUCED-1.9
USBUS BANCORP DEL0.109,283415,000UNCHANGED0.00
VVISA INC0.101,493417,000REDUCED-0.8
VAWVANGUARD WORLD FD0.113,461454,000REDUCED-2.64
VAWVANGUARD WORLD FD0.091,324358,000UNCHANGED0.00
VODVODAFONE GROUP PLC NEW0.80360,6963,210,000REDUCED-1.95
VOOVANGUARD INDEX FDS0.507,8162,031,000ADDED0.5
VOOVANGUARD INDEX FDS0.051,278208,000NEW
VTRVENTAS INC0.8780,8123,519,000ADDED0.24
VTRSVIATRIS INC0.0413,278159,000REDUCED-6.68
VZVERIZON COMMUNICATIONS INC2.20210,8228,846,000REDUCED-3.21
WBAWALGREENS BOOTS ALLIANCE INC0.059,821213,000REDUCED-0.5
WBDWARNER BROS DISCOVERY INC0.1464,272561,000REDUCED-1.42
WECWEC ENERGY GROUP INC0.136,447529,000REDUCED-8.51
WELLWELLTOWER INC1.3056,1575,247,000REDUCED-1.19
WFCWELLS FARGO CO NEW0.139,210534,000REDUCED-0.11
WMWASTE MGMT INC DEL1.0219,2834,110,000REDUCED-0.85
WMTWALMART INC0.149,159551,000ADDED200
WRNWESTERN COPPER & GOLD CORP0.0242,29065,000UNCHANGED0.00
XELXCEL ENERGY INC0.1611,789634,000REDUCED-2.9
XLBSELECT SECTOR SPDR TR0.4418,7451,770,000ADDED26.95
XLBSELECT SECTOR SPDR TR0.3810,4711,547,000ADDED21.59
XLBSELECT SECTOR SPDR TR0.2221,370900,000REDUCED-4.08
XOMEXXON MOBIL CORP0.6723,2312,700,000REDUCED-4.58
INVESCO SR INCOME TR1.071,006,2904,307,000ADDED1.36
BERKSHIRE HATHAWAY INC DEL0.363,4091,434,000REDUCED-5.33
GE HEALTHCARE TECHNOLOGIES I0.135,808528,000REDUCED-1.24
DEUTSCHE TELECOM0.058,756212,000UNCHANGED0.00
STORA ENSO CORP ADR0.0514,997208,000UNCHANGED0.00
PT LIPPO KARAWACI TBK0.0037,0000.00UNCHANGED0.00
IBIZ TECHNOLOGY CORP0.00200,0000.00UNCHANGED0.00
HEALTHIER CHOICES MGNMT CORP0.0025,0000.00UNCHANGED0.00
ALL ENERG CORP REVOKED BY SEC 0.0045,0000.00UNCHANGED0.00