PARK AVENUE SECURITIES LLC

13F Portfolio Filings

  • Most recent 13F
    Q1 2025
  • Location
    new york, NY
  • CIK
    0001071640
  • All SEC filings
Q1 2025
Quater
Holdings
VALUE
Top Holdings
Form Type
Date Filed
Filing Id

1,155

$8.14 M
IVV, IUSB, QUAL, IVW
13F-HR
Apr 14, 2025
000107164025000010

1,460

$9.72 M
IVV, IUSB, QUAL, IVW
13F-HR
Jan 14, 2025
000107164025000003

1,379

$8.90 M
IVV, IUSB, QUAL, IVW
13F-HR
Oct 3, 2024
000107164024000017

1,355

$8.18 B
IVV, IUSB, IVW, QUAL
13F-HR
Jul 9, 2024
000107164024000014

1,358

$7.74 B
IVV, IUSB, QUAL, IVW
13F-HR
Apr 10, 2024
000107164024000007

1,330

$7.24 B
IVV, IUSB, QUAL, EFV
13F-HR
Jan 10, 2024
000107164024000001

1,257

$6.45 B
IVV, IUSB, EFV, QUAL
13F-HR
Oct 26, 2023
000107164023000018

720

$6.32 B
IVV, IUSB, QUAL, EFG
13F-HR
Jul 14, 2023
000107164023000013

693

$5.82 B
IVV, IUSB, QUAL, EFG
13F-HR
Apr 18, 2023
000107164023000008

1,189

$5.63 B
IVV, ESGU, IUSB, EFV
13F-HR
Jan 24, 2023
000107164023000001

1,114

$5.02 B
IVV, ESGU, IUSB, GOVT
13F-HR
Nov 1, 2022
000107164022000013

1,114

$5.16 B
IVV, ESGU, IUSB, EFV
13F-HR
Jul 27, 2022
000107164022000010

1,124

$5.70 B
IVV, ESGU, IUSB, EFV
13F-HR
Apr 29, 2022
000107164022000008

1,098

$5.66 B
ESGU, IVV, EFV, EFG
13F-HR
Apr 8, 2022
000107164022000007

1,027

$4.98 B
ESGU, IVV, EFV, IUSB
13F-HR
Oct 21, 2021
000107164021000016

1,012

$4.71 B
IVV, ESGU, EFV, IUSB
RESTATEMENT
Aug 5, 2021
000107164021000014

947

$4.12 B
IVV, ESGU, EFV, IUSB
13F-HR
Apr 28, 2021
000107164021000009

842

$3.60 B
IVV, ESGU, LQD, ESGE
13F-HR
Jan 20, 2021
000107164021000003

736

$2.99 B
IVV, ESGU, LQD, GOVT
13F-HR
Nov 3, 2020
000107164020000014

681

$2.64 B
IVV, ESGU, LQD, GOVT
13F-HR
Jul 30, 2020
000107164020000011

310

$1.18 B
GOVT, IEFA, QUAL, ESGU
13F-HR
Apr 28, 2020
000107164020000009

604

$2.42 B
IVV, GOVT, IEFA, IEMG
13F-HR
Feb 4, 2020
000107164020000002

525

$2.12 B
IVV, GOVT, IEFA, ITOT
13F-HR
Oct 18, 2019
000107164019000021

267

$894.44 M
GOVT, IEFA, NEAR, IEMG
13F-HR
Jul 26, 2019
000107164019000017

471

$1.82 B
IVV, IEFA, ITOT, NEAR
13F-HR
May 2, 2019
000107164019000009

210

$651.67 M
NEAR, IEFA, MTUM, KRE
13F-HR
Jan 29, 2019
000107164019000001

214

$622.94 M
NEAR, IEFA, MTUM, KRE
13F-HR
Nov 5, 2018
000107164018000017

193

$568.16 M
MTUM, IEFA, KRE, IEMG
13F-HR
Jul 30, 2018
000107164018000013

173

$451.20 M
IEMG, HEFA, POWERSHARES ETF TRUST, NEAR
13F-HR
Apr 30, 2018
000107164018000009

129

$386.13 M
HEFA, IEMG, POWERSHARES ETF TRUST, POWERSHARES DB CMDTY IDX TRA
13F-HR
Feb 7, 2018
000107164018000003

113

$323.80 M
POWERSHARES ETF TRUST, HEFA, POWERSHARES DB CMDTY IDX TRA, IEMG
13F-HR
Nov 8, 2017
000107164017000014

210

$915.72 M
IGIB, IVV, EFA, HEFA
13F-HR
Jul 26, 2017
000107164017000012

51

$222.71 M
POWERSHARES ETF TRUST, POWERSHARES DB CMDTY IDX TRA, HEFA, VANGUARD SCOTTSDALE FDS
13F-HR
Apr 25, 2017
000107164017000007

53

$202.22 M
POWERSHARES ETF TRUST, POWERSHARES DB CMDTY IDX TRA, VANGUARD SCOTTSDALE FDS, IEFA
13F-HR
Jan 24, 2017
000107164017000001

44

$170.32 M
POWERSHARES ETF TRUST, POWERSHARES DB CMDTY IDX TRA, VANGUARD SCOTTSDALE FDS, HEFA
13F-HR
Oct 26, 2016
000107164016000026

95

$584.68 M
IGIB, EFA, VIG, POWERSHARES ETF TRUST
13F-HR
Jul 27, 2016
000107164016000022

75

$529.19 M
IGIB, EFA, VIG, POWERSHARES ETF TRUST
13F-HR
May 2, 2016
000107164016000020

60

$471.49 M
IGIB, EFA, VIG, POWERSHARES ETF TRUST
13F-HR
Feb 8, 2016
000107164016000018

35

$409.48 M
IGIB, EFA, VIG, POWERSHARES ETF TRUST
13F-HR
Oct 29, 2015
000107164015000016

25

$407.52 M
EFA, IGIB, VIG, POWERSHARES ETF TRUST
13F-HR
Aug 5, 2015
000107164015000013

16

$381.89 M
EFA, IGIB, VIG, POWERSHARES ETF TRUST
13F-HR
Apr 30, 2015
000107164015000004

23

$402.90 M
SPDR SERIES TRUST, EFA, IGIB, POWERSHARES ETF TRUST
13F-HR
Jan 16, 2015
000107164015000002