Advocacy Wealth Management Services, LLC

13F Portfolio Filings

  • Most recent 13F
    Q1 2025
  • Location
    atlanta, GA
  • CIK
    0001569452
  • All SEC filings
Q1 2025
Quater
Holdings
VALUE
Top Holdings
Form Type
Date Filed
Filing Id

55

$1.47 B
KRE, PYLD, DYNF, SPDW
13F-HR
May 6, 2025
000106299325008546

53

$1.32 B
KRE, SPDW, LDUR, IVW
13F-HR
Feb 14, 2025
000106299325002392

50

$1.27 B
KRE, SPDW, LDUR, KRE
13F-HR
Oct 31, 2024
000106299324018167

51

$1.21 B
KRE, SPDW, LDUR, IVW
13F-HR
Jul 10, 2024
000106299324013637

54

$1.16 B
KRE, SPDW, QUAL, EMXC
13F-HR
Apr 15, 2024
000106299324008401

51

$1.05 B
KRE, VOO, SPDW, OVLH
13F-HR
Jan 23, 2024
000106299324001177

37

$898.83 M
SPSB, SLQD, XLV, FLEE
13F-HR
Oct 26, 2023
000106299323019716

37

$875.20 M
SPSB, SLQD, XLV, OVLH
13F-HR
Jul 20, 2023
000106299323015123

36

$823.45 M
SPSB, SLQD, FLEE, XLV
13F-HR
Apr 14, 2023
000106299323009171

39

$757.08 M
SLQD, SPSB, OVL, VOO
13F-HR
Jan 27, 2023
000106299323001463

141

$685.06 M
OVL, VOO, SPSB, SLQD
13F-HR
Oct 6, 2022
000106299322020596

143

$621.63 M
OVL, VOO, SLQD, SPSB
13F-HR
Jul 6, 2022
000106299322016047

205

$574.87 M
OVL, FLOT, VOO, OVB
13F-HR
Apr 4, 2022
000106299322009344

198

$598.00 M
FLOT, OVL, OVB, VOO
13F-HR
Jan 5, 2022
000106299322000516

190

$554.40 M
FLOT, OVL, OVB, VOO
13F-HR
Oct 5, 2021
000106299321009229

206

$540.37 M
FLOT, OVL, OVB, VOO
13F-HR
Jul 2, 2021
000106299321006224

141

$500.39 M
FLOT, OVL, OVB, VOO
13F-HR
Apr 5, 2021
000106299321003411

144

$668.45 M
AGG, OVB, USMV, OVL
13F-HR
Jan 6, 2021
000106299321000148

135

$621.09 M
AGG, OVB, USMV, OVL
13F-HR
Oct 2, 2020
000106299320004738

132

$493.90 M
AGG, OVB, USMV, OVL
13F-HR
Jul 2, 2020
000106299320003116

120

$451.91 M
OVB, AGG, USMV, OVL
13F-HR
Apr 2, 2020
000106299320001617

147

$351.02 M
USMV, AGG, OVB, SPSB
13F-HR
Jan 6, 2020
000106299320000025

153

$149.96 M
HYLS, REM, USMV, JPST
13F-HR
Oct 2, 2019
000106299319003800

179

$138.23 M
HYLS, REM, USMV, IEI
13F-HR
Jul 5, 2019
000106299319002813

134

$91.80 M
HYLS, REM, XETYX, QDF
13F-HR
Apr 2, 2019
000106299319001527

164

$132.69 M
HYLS, REM, XETYX, FIBR
13F-HR
Jan 7, 2019
000106299319000036

172

$162.86 M
HYLS, XETYX, REM, FIBR
13F-HR
Oct 9, 2018
000106299318004009

196

$152.20 M
HYLS, XETYX, REM, FIBR
13F-HR
Jul 9, 2018
000106299318002836

223

$145.59 M
HYLS, XETYX, REM, FIBR
13F-HR
Apr 12, 2018
000106299318001617

234

$145.17 M
HYLS, XETYX, REM, ISHARES U S ETF TR
13F-HR
Jan 12, 2018
000106299318000139

294

$249.92 M
MINC, LMBS, HYLS, ISHARES U S ETF TR
13F-HR
Oct 13, 2017
000106299317004428

307

$279.08 M
MINC, LMBS, HYLS, REM
13F-HR
Jul 18, 2017
000106299317003284

336

$286.85 M
MINC, LMBS, HYLS, SPSB
13F-HR
Apr 24, 2017
000106299317002018

332

$333.31 M
POWERSHARES ETF TR II, AGG, KRE, MINC
13F-HR
Jan 27, 2017
000106299317000401

395

$258.14 M
AGG, IGIB, KRE, MINC
13F-HR
Oct 19, 2016
000106299316011790

413

$198.19 M
AGG, AMLP, IGIB, MINC
13F-HR
Jul 15, 2016
000106299316010574

562

$144.12 M
AMLP, XEVVX, AGG, DVY
RESTATEMENT
Apr 25, 2016
000106299316009187

576

$88.42 M
SPY, AMLP, XEVVX, QQQX
13F-HR
Feb 11, 2016
000106299316007664