Icon Fame Journal.

Juicy entertainment chatter with tabloid flavor.

general

Archford Capital Strategies 13F annual report

By Rachel Davis
Vanguard Growth Etf

7.65%

102,684

$31,922,392,0005.85%Vanguard Total Bond Market Etf

22.35%

370,586

$27,256,619,0004.99%Ishares Core Msci Eafe Etf

4.25%

298,611

$21,007,255,0003.85%Microsoft Corp Com

8.22%

45,222

$17,005,290,0003.11%Vanguard Value Etf

10.06%

94,384

$14,110,359,0002.58%Apple Inc

11.54%

61,218

$11,786,251,0002.16%Schwab Fundamental International Large Co. Index Etf

9.11%

347,661

$11,726,619,0002.15%Vaneck Morningstar Wide Moat Etf

22.52%

131,276

$11,141,381,0002.04%Vanguard Dividend Appreciation Etf

13.96%

55,632

$9,479,669,0001.74%Vanguard Ftse Emerging Markets Etf

13.07%

225,246

$9,257,601,0001.70%Vanguard Small Cap Value Etf

1.60%

48,120

$8,660,102,0001.59%iShares Exponential Technologies ETF

4.52%

138,822

$8,311,248,0001.52%Vanguard Intermediate-term Treasury Etf

9.87%

133,699

$7,931,053,0001.45%Jpmorgan U.s. Quality Factor Etf

Opened

159,943

$7,654,890,0001.40%Invesco Russell 1000 Dynamic Multifactor Etf

5.83%

148,763

$7,647,887,0001.40%Vanguard Short-term Bond Etf

0.58%

94,533

$7,280,920,0001.33%Visa Inc

4.45%

26,305

$6,848,494,0001.25%Vanguard Small-cap Growth Etf

26.89%

28,025

$6,775,535,0001.24%Spdr Bloomberg 1-3 Month T-bill Etf

Opened

72,761

$6,649,662,0001.22%Vanguard International Dividend Appreciation Etf

46.02%

81,666

$6,479,356,0001.19%Ishares Msci Emerging Markets Min Vol Factor Etf

14.28%

110,666

$6,151,949,0001.13%Amazon.com Inc.

5.22%

39,787

$6,045,237,0001.11%Goldman Sachs Activebeta Emerging Markets Equity Etf

3.34%

191,642

$5,881,497,0001.08%iShares Short Treasury Bond ETF

14.27%

53,399

$5,880,851,0001.08%Jpmorgan Ultra-short Income Etf

0.24%

115,135

$5,783,246,0001.06%Jp Morgan Betabuilders U.s. Equity Etf

Opened

57,068

$4,901,588,0000.90%Global X Artificial Intelligence Technology Etf

Opened

147,709

$4,605,567,0000.84%Schwab Us Dividend Equity Etf

Closed

59,715

$4,503,141,000Alphabet Inc Cap Stk Cl A

5.07%

31,688

$4,426,497,0000.81%Spdr Gold Minishares Trust

Opened

104,142

$4,260,449,0000.78%Berkshire Hathaway Inc Del Cl B New

9.85%

11,859

$4,229,631,0000.77%Paylocity Hldg Corp Com

33.56%

25,578

$4,216,533,0000.77%Schwab U.s. Large-cap Growth Etf

Opened

49,836

$4,134,396,0000.76%Financial Select Sector Spdr Fund

9.21%

108,864

$4,093,286,0000.75%Broadcom Inc.

1.57%

3,639

$4,062,160,0000.74%Unitedhealth Group Inc

16.20%

7,711

$4,059,785,0000.74%Alphabet Inc Cap Stk Cl C

1.73%

27,615

$3,891,782,0000.71%Strategas Macro Thematic Opportunities Etf

0.93%

163,479

$3,768,003,0000.69%Jpmorgan Chase Co Com

1.13%

20,892

$3,553,799,0000.65%Invesco Sp 500 Equal Weight Etf

Opened

22,470

$3,545,766,0000.65%Home Depot, Inc.

15.58%

10,059

$3,486,014,0000.64%Procter And Gamble Co Com

0.32%

23,658

$3,466,893,0000.63%Costco Whsl Corp New Com

24.37%

5,113

$3,375,280,0000.62%Goldman Sachs Active Beta International Equity Etf

12.11%

101,825

$3,325,613,0000.61%Cencora Inc.

4.90%

15,485

$3,180,327,0000.58%Exxon Mobil Corp Com

9.82%

31,034

$3,102,775,0000.57%Union Pac Corp Com

25.34%

12,562

$3,085,439,0000.56%Nvidia Corporation Com

21.02%

6,221

$3,080,771,0000.56%Lockheed Martin Corp Com

12.12%

6,448

$2,922,717,0000.54%Mastercard Incorporated

15.34%

6,582

$2,807,296,0000.51%Ishares Ibonds Dec 2023 Term Corporate Etf

Closed

109,407

$2,765,807,000iShares 1-3 Year Treasury Bond ETF

66.06%

32,626

$2,676,637,0000.49%Texas Instrs Inc Com

15.21%

15,642

$2,666,365,0000.49%Vanguard Information Technology Etf

2.57%

5,429

$2,627,636,0000.48%Vanguard High Dividend Yield Index Etf

137.31%

23,396

$2,611,702,0000.48%NextEra Energy Inc

34.85%

42,085

$2,556,235,0000.47%Applied Matls Inc Com

22.01%

15,714

$2,546,743,0000.47%Iqvia Hldgs Inc Com

4.18%

10,786

$2,495,665,0000.46%Intuit Com

6.70%

3,950

$2,468,886,0000.45%Vanguard Mega Cap Etf

Opened

14,540

$2,461,344,0000.45%Eli Lilly Co Com

9.52%

4,097

$2,388,251,0000.44%Ishares Ibonds Dec 2024 Term Corporate Etf

11.71%

95,381

$2,375,941,0000.44%Walmart Inc

17.94%

14,804

$2,333,837,0000.43%Ishares Ibonds Dec 2025 Term Corporate Etf

6.82%

93,462

$2,314,119,0000.42%JPMorgan Equity Premium Income

Closed

41,177

$2,302,635,000Vanguard Ftse Developed Markets Etf

42.46%

47,909

$2,294,841,0000.42%Ishares Ibonds Dec 2031 Term Corporate Etf

78.94%

105,384

$2,188,826,0000.40%Paycom Software Inc

9.91%

10,332

$2,135,861,0000.39%Johnson Johnson Com

4.02%

13,582

$2,128,808,0000.39%Spdr Sp Kensho New Economies Composite Etf

15.28%

45,398

$2,120,079,0000.39%Thermo Fisher Scientific Inc.

33.20%

3,972

$2,108,399,0000.39%Ishares Ibonds Dec 2032 Term Corporate Etf

118.48%

82,457

$2,080,390,0000.38%Ishares Core Aggressive Allocation Etf

1.46%

29,861

$2,061,902,0000.38%Pepsico Inc Com

0.87%

11,930

$2,026,247,0000.37%Abbvie Inc

8.83%

12,693

$1,967,051,0000.36%Ishares Msci Eafe Min Vol Factor Etf

7.11%

28,320

$1,963,695,0000.36%Philip Morris Intl Inc Com

5.18%

20,192

$1,899,671,0000.35%Taiwan Semiconductor Mfg Ltd Sponsored Ads

40.49%

18,084

$1,880,750,0000.34%Air Prods Chems Inc Com

28.09%

6,853

$1,876,362,0000.34%Salesforce Inc

19.61%

7,101

$1,868,557,0000.34%Schwab Fundamental Us Large Co. Index Etf

Opened

30,032

$1,860,182,0000.34%Ishares Ibonds Dec 2033 Term Corporate Etf

Opened

70,139

$1,813,093,0000.33%Unilever Plc Spon Adr New

Closed

35,119

$1,808,259,000Spdr Sp 500 Etf Trust

1.58%

3,803

$1,807,604,0000.33%Ishares Msci Usa Min Vol Factor Etf

56.11%

22,970

$1,792,357,0000.33%General Dynamics Corp Com

20.43%

6,896

$1,790,704,0000.33%Carmax Inc

Closed

21,214

$1,777,521,000Adobe Inc

7.96%

2,971

$1,772,499,0000.32%Ishares National Muni Bond Etf

6.18%

16,348

$1,772,338,0000.32%Fidelity Natl Information Svcs Com

75.35%

29,194

$1,753,672,0000.32%Arista Networks Inc

12.11%

7,446

$1,753,607,0000.32%International Business Machs Com

17.57%

10,432

$1,706,162,0000.31%AMGEN Inc.

5.33%

5,892

$1,696,987,0000.31%Paccar Inc.

13.11%

17,183

$1,677,872,0000.31%Snap-on, Inc.

14.60%

5,620

$1,623,338,0000.30%Schwab Charles Corp Com

Closed

23,916

$1,591,860,000Verizon Communications Inc

13.17%

41,626

$1,569,299,0000.29%Chevron Corp New Com

17.82%

10,408

$1,552,520,0000.28%Elevance Health Inc Com

6.50%

3,282

$1,547,669,0000.28%Honeywell Intl Inc Com

20.29%

7,327

$1,536,521,0000.28%Lowes Cos Inc Com

17.38%

6,701

$1,491,308,0000.27%Blackrock Inc.

21.99%

1,803

$1,463,820,0000.27%Fastenal Co Com

7.16%

22,247

$1,440,942,0000.26%Ishares Ibonds Dec 2026 Term Corporate Etf

12.29%

60,041

$1,434,980,0000.26%Ssc Technologies Hldgs Inc Com

47.82%

23,010

$1,406,141,0000.26%Global Pmts Inc Com

32.98%

11,021

$1,399,667,0000.26%Uber Technologies Inc

22.90%

22,711

$1,398,316,0000.26%Novartis Ag Sponsored Adr

5.37%

13,716

$1,384,927,0000.25%Ishares Ibonds Dec 2028 Term Corporate Etf

16.13%

54,867

$1,376,613,0000.25%Analog Devices Inc.

25.66%

6,871

$1,364,320,0000.25%Ishares Russell 2000 Etf

5.02%

6,675

$1,339,739,0000.25%Mcdonalds Corp Com

9.95%

4,506

$1,336,100,0000.24%Merck Co Inc Com

32.04%

12,249

$1,335,386,0000.24%Ishares Ibonds Dec 2029 Term Corporate Etf

16.65%

57,383

$1,323,826,0000.24%Ishares Ibonds Dec 2027 Term Corporate Etf

16.64%

54,432

$1,302,558,0000.24%Energy Select Sector Spdr Fund

5.51%

15,446

$1,294,993,0000.24%Price T Rowe Group Inc Com

60.45%

11,994

$1,291,615,0000.24%Ishares Ibonds Dec 2030 Term Corporate Etf

12.00%

59,351

$1,284,356,0000.24%Spdr Bloomberg Convertible Securities Etf

Closed

17,952

$1,278,381,000Comcast Corp New Cl A

4.25%

28,816

$1,263,578,0000.23%Ishares Core Sp 500 Etf

8.33%

2,576

$1,230,375,0000.23%Invesco Sp Midcap Value With Momentum Etf

Closed

25,611

$1,222,884,000Netflix Inc.

6.67%

2,477

$1,206,002,0000.22%Valero Energy Corp Com

12.41%

9,149

$1,189,383,0000.22%Vanguard Total World Stock Etf

8.80%

11,422

$1,175,095,0000.22%Qualcomm, Inc.

57.53%

7,974

$1,153,280,0000.21%Fiserv, Inc.

6.61%

8,657

$1,149,996,0000.21%Wells Fargo Co New Com

Closed

24,627

$1,143,183,000Teradyne, Inc.

Closed

9,782

$1,126,300,000Becton Dickinson Co Com

Closed

3,981

$1,114,567,000Vanguard Tax-exempt Bond Etf

8.12%

21,506

$1,097,881,0000.20%Ishares Russell 1000 Growth Etf

No change

3,600

$1,091,412,0000.20%Ebay Inc. Com

Closed

21,985

$1,075,955,000Southern Co Com

14.16%

15,279

$1,071,363,0000.20%Rtx Corporation Com

80.62%

12,687

$1,067,493,0000.20%Advanced Micro Devices Inc.

52.58%

7,191

$1,060,025,0000.19%Autodesk Inc.

30.20%

4,294

$1,045,503,0000.19%United Parcel Service, Inc.

2.89%

6,647

$1,045,035,0000.19%Booking Holdings Inc

70.53%

287

$1,018,052,0000.19%Ecolab, Inc.

20.10%

5,078

$1,007,227,0000.18%Direxion Nasdaq-100 Equal Weighted Index Shares

3.49%

11,423

$966,838,0000.18%Elastic N V Ord Shs

No change

8,571

$965,952,0000.18%Cisco Sys Inc Com

15.93%

19,035

$961,624,0000.18%Sanofi Sponsored Adr

24.58%

18,700

$929,966,0000.17%First Trust NASDAQ Technology Dividend Index Fund

Closed

15,290

$904,545,000Veeva Sys Inc Cl A Com

18.01%

4,626

$890,598,0000.16%Vanguard Utilities Etf

Opened

6,487

$889,239,0000.16%Duke Energy Corp New Com New

13.49%

9,056

$878,833,0000.16%Zscaler Inc

3.22%

3,936

$872,060,0000.16%Ishares Short-term National Muni Bond Etf

22.90%

7,953

$838,470,0000.15%Kimberly-clark Corp Com

Closed

5,666

$777,171,000Freeport-McMoRan Inc

62.70%

18,252

$776,988,0000.14%Consumer Discretionary Select Sector Spdr Fund

No change

4,319

$772,280,0000.14%Invesco Sp Smallcap Value With Momentum Etf

Closed

15,567

$768,387,000Global X Cybersecurity ETF

5.30%

25,511

$747,737,0000.14%Paycor Hcm Inc Com

Closed

28,884

$742,896,000Genuine Parts Co Com

0.13%

5,327

$737,792,0000.14%Health Care Select Sector Spdr Fund

1.26%

5,370

$732,361,0000.13%Global X Cloud Computing Etf

26.96%

32,080

$726,926,0000.13%American Wtr Wks Co Inc New Com

No change

5,496

$725,417,0000.13%General Mls Inc Com

Closed

9,168

$708,197,000Dominion Energy Inc

13.78%

14,909

$700,704,0000.13%Ameren Corp Com

0.12%

9,637

$697,141,0000.13%Microchip Technology Inc. Com

0.50%

7,718

$696,009,0000.13%Ishares Russell 1000 Value Etf

No change

4,192

$692,728,0000.13%Ishares Msci Eafe Etf

5.09%

8,920

$672,122,0000.12%Newmont Corp Com

56.84%

16,228

$671,677,0000.12%Ishares Ibonds Dec 2023 Term Muni Bond Etf

Closed

24,763

$630,961,000Palantir Technologies Inc.

3.42%

35,826

$615,132,0000.11%Gilead Sciences, Inc.

Closed

7,918

$614,885,000Ishares Core Growth Allocation Etf

28.66%

11,473

$610,268,0000.11%Altria Group Inc.

Closed

13,381

$610,191,000Consolidated Edison, Inc.

Closed

6,267

$608,727,000Bristol-myers Squibb Co Com

8.48%

11,858

$608,413,0000.11%Bhp Group Ltd Sponsored Ads

14.36%

8,897

$607,742,0000.11%Principal Financial Group Inc

Closed

7,246

$606,523,000Colgate Palmolive Co Com

Closed

7,810

$605,082,000American Express Co Com

Closed

3,594

$603,039,000Lyondellbasell Industries N V Shs - A -

40.34%

6,203

$589,821,0000.11%Northern Tr Corp Com

64.06%

6,984

$589,281,0000.11%Global X Autonomous Electric Vehicles Etf

10.79%

23,323

$575,378,0000.11%UiPath, Inc.

17.25%

23,154

$575,145,0000.11%Clorox Co Del Com

Closed

3,701

$574,222,000Pfizer Inc.

42.35%

19,720

$567,741,0000.10%ProShares UltraPro QQQ

Opened

11,000

$557,700,0000.10%Global X FinTech ETF

15.51%

21,509

$549,974,0000.10%Snowflake Inc.

45.92%

2,763

$549,837,0000.10%Oracle Corp Com

10.02%

5,198

$548,025,0000.10%Berkshire Hathaway Inc.

No change

1

$542,625,0000.10%Keysight Technologies Inc

3.42%

3,352

$533,270,0000.10%Global X Robotics Artificial Intelligence Etf

13.51%

18,119

$516,392,0000.09%Enbridge Inc

Closed

13,490

$508,462,000Ishares Esg Aware Msci Usa Etf

20.00%

4,843

$508,128,0000.09%Ishares Ibonds Dec 2025 Term Muni Bond Etf

25.86%

19,136

$507,965,0000.09%Spdr Portfolio Sp 500 Etf

6.96%

9,013

$503,827,0000.09%Cvs Health Corp Com

Closed

6,622

$502,943,000Zoetis Inc

6.89%

2,529

$499,149,0000.09%Spdr Sp Semiconductor Etf

88.88%

2,174

$488,723,0000.09%Mckesson Corp Com

47.89%

1,039

$481,037,0000.09%Spdr Gold Shares

92.47%

2,481

$474,293,0000.09%Global X Internet of Things ETF

25.18%

13,377

$472,346,0000.09%Bank Montreal Que Com

Closed

5,015

$470,250,000Astrazeneca Plc Sponsored Adr

28.86%

6,962

$468,885,0000.09%Ishares Ibonds Dec 2026 Term Muni Bond Etf

26.95%

17,999

$459,172,0000.08%Energy Transfer L P Com Ut Ltd Ptn

30.99%

33,119

$457,042,0000.08%Ishares Ibonds Dec 2024 Term Muni Bond Etf

28.20%

17,599

$456,342,0000.08%Asml Holding N V N Y Registry Shs$451,987,0000.08%Target Corp Com

65.20%

3,160

$450,068,0000.08%Royal Caribbean Group Com

2.78%

3,461

$448,165,0000.08%Jpmorgan Ultra-short Municipal Income Etf

6.66%

8,619

$437,328,0000.08%Vanguard Short-term Treasury Etf

Closed

7,464

$430,598,000Gallagher Arthur J Co Com

26.86%

1,879

$422,439,0000.08%Commerce Bancshares, Inc.

Closed

7,803

$416,368,000iShares MSCI ACWI ETF

0.02%

4,084

$415,629,0000.08%Omnicom Group, Inc.

Closed

4,967

$412,710,000Kinder Morgan Inc Del Com

Closed

22,491

$407,312,000International Paper Co Com

Closed

12,474

$403,796,000Sprout Social, Inc.

44.39%

6,478

$398,008,0000.07%Vanguard Mid-cap Growth Etf

No change

1,804

$396,104,0000.07%Ishares Msci Emerging Markets Etf

1.50%

9,847

$395,948,0000.07%Ishares Core Moderate Allocation Etf

7.44%

9,470

$393,100,0000.07%Fabrinet Shs

2.15%

2,049

$389,986,0000.07%Direxion Daily Semiconductor Bull 3x Shares

9.17%

12,038

$377,993,0000.07%Ark Genomic Revolution Etf

41.43%

11,497

$377,204,0000.07%Industrial Select Sector Spdr Fund

No change

3,297

$375,825,0000.07%Hasbro, Inc.

Closed

5,769

$374,870,000Ark Innovation Etf

78.24%

7,158

$374,852,0000.07%Ishares Russell Top 200 Growth Etf

Closed

2,276

$367,437,000Spdr Sp Kensho Clean Power Etf

25.17%

5,117

$367,083,0000.07%Coca Cola Co Com

57.98%

6,192

$364,892,0000.07%Ishares Ibonds Dec 2028 Term Muni Bond Etf

43.08%

14,198

$363,327,0000.07%Workday Inc Cl A

63.54%

1,304

$359,982,0000.07%Ishares Ibonds Dec 2027 Term Muni Bond Etf

43.19%

14,097

$358,275,0000.07%Abbott Labs Com

43.72%

3,246

$357,312,0000.07%Constellation Brands Inc

6.82%

1,475

$356,581,0000.07%Global X Millennial Consumer Etf

47.13%

10,046

$356,146,0000.07%Danaher Corporation Com

31.16%

1,522

$351,995,0000.06%Emerson Elec Co Com

53.65%

3,572

$347,663,0000.06%Caterpillar Inc.

34.77%

1,163

$343,864,0000.06%Block Inc

Closed

4,348

$335,405,000Meta Platforms Inc

31.19%

938

$332,014,0000.06%Waste Mgmt Inc Del Com

28.16%

1,829

$327,506,0000.06%Ishares Core U.s. Aggregate Bond Etf

52.57%

3,189

$316,508,0000.06%Disney Walt Co Com

67.95%

3,485

$314,648,0000.06%Global X Uranium Etf

Opened

11,180

$309,574,0000.06%Datadog Inc

6.29%

2,548

$309,276,0000.06%Global X Video Games Esports Etf

Closed

14,423

$303,756,000Chart Inds Inc Com

50.30%

2,223

$303,062,0000.06%Global X Social Media ETF

Closed

7,816

$301,153,000Wpp Plc New Adr

Closed

5,794

$300,947,000British Amern Tob Plc Sponsored Adr

Closed

8,771

$297,853,000Intel Corp Com

63.61%

5,927

$297,832,0000.05%Prologis Inc. Com

7.64%

2,139

$285,129,0000.05%Vanguard Consumer Staples Etf

No change

1,466

$279,947,0000.05%Quanta Svcs Inc Com

Opened

1,284

$277,091,0000.05%Sentinelone Inc Cl A

0.74%

10,071

$276,348,0000.05%Fortinet Inc

4.44%

4,677

$273,745,0000.05%Bionano Genomics Inc

Closed

464,775

$270,964,000Global X Genomics Biotechnology Etf

14.83%

23,076

$266,715,0000.05%Mp Materials Corp Com Cl A

Opened

13,370

$265,395,0000.05%Ishares U.s. Treasury Bond Etf

Closed

11,371

$259,716,000Vanguard Short-term Corporate Bond Etf

78.70%

3,326

$257,344,0000.05%Vanguard Industrials Etf

No change

1,162

$256,140,0000.05%Starbucks Corp Com

Opened

2,535

$243,385,0000.04%Ppg Inds Inc Com

No change

1,626

$243,168,0000.04%Spdr Sp Aerospace Defense Etf

12.74%

1,794

$242,981,0000.04%Nutrien Ltd Com

Closed

3,605

$238,691,000Direxion Daily Semiconductor Bear 3x Shares

Opened

40,870

$237,863,0000.04%Defiance Quantum Etf

Opened

4,339

$235,708,0000.04%Global X U.s. Infrastructure Development Etf

Opened

6,772

$233,363,0000.04%Bank New York Mellon Corp Com

78.87%

4,482

$233,302,0000.04%Spdr Sp Global Natural Resources Etf

90.47%

4,099

$232,208,0000.04%Zebra Technologies Corp.

Closed

761

$230,271,0003m Co Com

63.65%

2,104

$229,970,0000.04%Strategas Global Policy Opportunities Etf

Opened

8,771

$227,966,0000.04%Ishares Msci Usa Quality Factor Etf

0.06%

1,540

$226,596,0000.04%Draftkings Inc New Com Cl A

Opened

6,425

$226,481,0000.04%Boeing Co Com

29.48%

866

$225,621,0000.04%Entergy Corp New Com

Closed

2,150

$224,589,000Att Inc Com

66.12%

13,277

$222,796,0000.04%Realty Income Corp Com

62.08%

3,851

$221,131,0000.04%Tesla Inc$218,911,0000.04%American Elec Pwr Co Inc Com

Closed

2,493

$218,387,000Automatic Data Processing Inc.$217,827,0000.04%Deere Co Com

53.60%

541

$216,330,0000.04%Nike, Inc.

Opened

1,983

$215,294,0000.04%Cummins Inc.

46.02%

881

$211,045,0000.04%BILL Holdings Inc

87.11%

2,515

$205,199,0000.04%Republic Svcs Inc Com

Opened

1,237

$203,994,0000.04%Accenture Plc Ireland Shs Class A

Opened

579

$203,177,0000.04%Pacific Biosciences Calif Inc Com

72.88%

20,024

$196,435,0000.04%Nuveen Quality Muncp Income Fd Com

No change

16,604

$190,116,0000.03%Bionano Genomics Inc Com New

Opened

69,564

$131,476,0000.02%Origin Materials Inc Com

Closed

30,057

$129,245,000Vuzix Corp Com New

Closed

21,824

$112,612,000Ocular Therapeutix Inc

Closed

20,000

$89,200,0008x8 Inc New Com

Closed

10,000

$43,500,000American Lithium Corp Com New

No change

10,500

$12,246,0000.00%Pluri Inc

No change

13,091

$7,586,0000.00%Appharvest Inc Com

Closed

35,200

$3,168,000No transactions foundShowing first 500 out of 300 holdings