Advisors Preferred, LLC Top Holdings and 13F Report (2024) → Protect Yourself While There’s Still Time … (From Weiss Ratings) (Ad) About Advisors Preferred, LLCInvestment ActivityAdvisors Preferred, LLC has $603.51 million in total holdings as of December 31, 2023.Advisors Preferred, LLC owns shares of 226 different stocks, but just 44 companies or ETFs make up 80% of its holdings.Approximately 80.50% of the portfolio was purchased this quarter.About 33.18% of the portfolio was sold this quarter.This quarter, Advisors Preferred, LLC has purchased 195 new stocks and bought additional shares in 43 stocks.Advisors Preferred, LLC sold shares of 62 stocks and completely divested from 82 stocks this quarter.Largest Holdings Vanguard Financials ETF $59,547,600Financial Select Sector SPDR Fund $58,599,100Technology Select Sector SPDR Fund $57,337,894iShares Russell 2000 Value ETF $35,516,510iShares 20+ Year Treasury Bond ETF $18,869,817 Largest New Holdings this Quarter Vanguard Financials ETF $59,547,600 HoldingFinancial Select Sector SPDR Fund $58,599,100 HoldingiShares Russell 2000 Value ETF $35,516,510 HoldingVanguard Information Technology ETF $14,245,211 HoldingSPDR Nuveen Barclays Municipal Bond ETF $12,144,093 Holding Largest Purchases this Quarter Vanguard Financials ETF 645,013 shares (about $59.55M)Financial Select Sector SPDR Fund 1,551,883 shares (about $58.60M)Technology Select Sector SPDR Fund 305,655 shares (about $57.29M)iShares Russell 2000 Value ETF 229,420 shares (about $35.52M)iShares 20+ Year Treasury Bond ETF 190,842 shares (about $18.76M) Largest Sales this Quarter SPDR Bloomberg Convertible Securities ETF 127,302 shares (about $9.11M)WisdomTree U.S. LargeCap Dividend Fund 136,301 shares (about $9.08M)iShares Russell 1000 Growth ETF 28,402 shares (about $8.48M)Donnelley Financial Solutions 34,497 shares (about $2.11M)Invesco Senior Loan ETF 32,674 shares (about $691.71K) Sector Allocation Over TimeMap of 500 Largest Holdings ofAdvisors Preferred, LLC Selling Neutral Buying Latest 13F Holdings and Changes Since Previous Quarterly FilingIssuer NameHoldings ValueApproximate Purchase/SaleChange in SharesShares Held% of PortfolioSectorVFHVanguard Financials ETF$59,547,600$59,547,600 ▲New Holding645,0139.9%ETFXLFFinancial Select Sector SPDR Fund$58,599,100$58,599,100 ▲New Holding1,551,8839.7%ETFXLKTechnology Select Sector SPDR Fund$57,337,894$57,291,971 ▲124,757.1%305,9009.5%ETFIWNiShares Russell 2000 Value ETF$35,516,510$35,516,510 ▲New Holding229,4205.9%ETFTLTiShares 20+ Year Treasury Bond ETF$18,869,817$18,761,676 ▲17,349.3%191,9423.1%ETFIWSiShares Russell Mid-Cap Value ETF$17,853,828$15,762,723 ▲753.8%153,8463.0%ETFBKLNInvesco Senior Loan ETF$17,540,869$691,709 ▼-3.8%828,5722.9%ETFVGTVanguard Information Technology ETF$14,245,211$14,245,211 ▲New Holding30,2262.4%ETFSGOViShares 0-3 Month Treasury Bond ETF$12,564,331$503,456 ▲4.2%125,2802.1%ETFTFISPDR Nuveen Barclays Municipal Bond ETF$12,144,093$12,144,093 ▲New Holding258,5502.0%FinanceFLOTiShares Floating Rate Bond ETF$11,986,538$296,143 ▼-2.4%236,7012.0%ETFVCLTVanguard Long-Term Corporate Bond ETF$11,952,643$11,952,643 ▲New Holding150,5752.0%ManufacturingAMLPAlerian MLP ETF$11,950,933$1,105,751 ▲10.2%280,8022.0%ETFQQQMInvesco NASDAQ 100 ETF$10,130,898$7,174,810 ▲242.7%61,1401.7%ETFSCHDSchwab US Dividend Equity ETF$9,395,291$6,526,318 ▲227.5%122,5101.6%ETFVIGVanguard Dividend Appreciation ETF$8,900,103$7,098,211 ▲393.9%52,3321.5%ETFRSPInvesco S&P 500 Equal Weight ETF$6,883,207$5,401,943 ▲364.7%43,6061.1%ETFSPLVInvesco S&P 500 Low Volatility ETF$6,334,400$4,925,512 ▲349.6%100,2121.0%ETFVIGIVanguard International Dividend Appreciation ETF$6,189,479$4,735,596 ▲325.7%79,0181.0%ETFBKLCBNY Mellon US Large Cap Core Equity ETF$5,391,861$3,354,030 ▲164.6%60,0430.9%ETFQQQInvesco QQQ$5,347,199$4,178,481 ▲357.5%13,2820.9%FinanceJNKSPDR Bloomberg High Yield Bond ETF$5,179,184$5,179,184 ▲New Holding54,8410.9%FinanceBILSPDR Bloomberg Barclays 1-3 Month T-Bill ETF$4,540,752$507,270 ▲12.6%49,6800.8%ETFRSReliance$4,080,735$4,080,735 ▲New Holding14,5000.7%Basic MaterialsDLNWisdomTree U.S. LargeCap Dividend Fund$4,063,830$9,081,735 ▼-69.1%60,9910.7%FinancePHBInvesco Fundamental High Yield Corporate Bond ETF$4,039,765$4,039,765 ▲New Holding223,5620.7%ETFMBBiShares MBS ETF$3,963,894$3,963,894 ▲New Holding42,3810.7%ETFCWBSPDR Bloomberg Convertible Securities ETF$3,944,888$9,109,731 ▼-69.8%55,1270.7%ETFNVDANVIDIA$3,936,288$2,472,463 ▲168.9%8,1720.7%Computer and TechnologyPGXInvesco Preferred ETF$3,888,469$3,888,469 ▲New Holding339,3080.6%ETFHYGiShares iBoxx $ High Yield Corporate Bond ETF$3,881,875$3,881,875 ▲New Holding50,3290.6%ETFLNCLincoln National$3,830,345$3,830,345 ▲New Holding140,2030.6%FinanceVONGVanguard Russell 1000 Growth ETF$3,818,676$2,551,420 ▲201.3%49,6900.6%ETFVTVVanguard Value ETF$3,805,626$2,602,266 ▲216.3%25,3000.6%ETFPTCPTC$3,699,742$3,699,742 ▲New Holding21,9400.6%Computer and TechnologyVSTVistra$3,545,763$3,545,763 ▲New Holding93,1380.6%UtilitiesILMNIllumina$3,544,283$3,544,283 ▲New Holding25,7560.6%MedicalFSLRFirst Solar$3,496,225$3,496,225 ▲New Holding20,3080.6%Oils/EnergyEXELExelixis$3,383,821$3,383,821 ▲New Holding141,4050.6%MedicalNUENucor$3,329,661$1,810,964 ▲119.2%18,9800.6%Basic MaterialsCSXCSX$3,186,943$2,517,219 ▲375.9%92,0550.5%TransportationCMCCommercial Metals$3,051,445$1,625,480 ▲114.0%60,8100.5%Basic MaterialsKEXKirby$2,958,491$2,958,491 ▲New Holding37,4540.5%TransportationLEALear$2,814,389$2,814,389 ▲New Holding19,8490.5%Auto/Tires/TrucksFLSFlowserve$2,809,409$2,809,409 ▲New Holding69,3510.5%Industrial ProductsPODDInsulet$2,802,701$2,802,701 ▲New Holding13,4030.5%MedicalGTLSChart Industries$2,726,035$2,726,035 ▲New Holding20,1600.5%Industrial ProductsDFINDonnelley Financial Solutions$2,676,212$2,113,631 ▼-44.1%43,6790.4%Computer and TechnologyMORNMorningstar$2,591,673$2,591,673 ▲New Holding9,3360.4%Business ServicesAIZAssurant$2,574,398$2,574,398 ▲New Holding15,1560.4%FinanceKBHKB Home$2,562,810$590,062 ▼-18.7%41,3090.4%ConstructionPAYCPaycom Software$2,453,154$2,453,154 ▲New Holding11,9900.4%Computer and TechnologyPBHPrestige Consumer Healthcare$2,447,179$2,447,179 ▲New Holding39,4770.4%MedicalPNMPNM Resources$2,438,821$2,438,821 ▲New Holding62,3580.4%UtilitiesCERTCertara$2,418,503$2,418,503 ▲New Holding139,3950.4%MedicalCNCCentene$2,348,539$2,348,539 ▲New Holding30,5680.4%MedicalRSGRepublic Services$2,340,993$2,340,993 ▲New Holding14,1930.4%Business ServicesCAKECheesecake Factory$2,334,590$2,334,590 ▲New Holding67,9450.4%Retail/WholesaleDVNDevon Energy$2,322,391$2,322,391 ▲New Holding50,6630.4%Oils/EnergyFHIFederated Hermes$2,309,824$2,309,824 ▲New Holding68,3380.4%FinanceDECKDeckers Outdoor$2,271,312$2,271,312 ▲New Holding3,3700.4%Retail/WholesalePHMPulteGroup$2,270,048$2,270,048 ▲New Holding22,3540.4%ConstructionSPLGSPDR Portfolio S&P 500 ETF$2,207,598$1,499,532 ▲211.8%39,7050.4%ETFVCVisteon$2,206,787$2,206,787 ▲New Holding17,4560.4%Auto/Tires/TrucksANAutoNation$2,147,332$2,147,332 ▲New Holding14,2500.4%Retail/WholesalePRVAPrivia Health Group$2,137,432$2,137,432 ▲New Holding90,1490.4%MedicalTOLToll Brothers$2,134,923$2,121,822 ▲16,195.4%21,1840.4%ConstructionACGLArch Capital Group$2,125,372$2,125,372 ▲New Holding28,1320.4%FinancePMTPennyMac Mortgage Investment Trust$2,104,995$2,104,995 ▲New Holding140,3330.3%FinanceFDSFactSet Research Systems$2,024,487$2,024,487 ▲New Holding4,3750.3%Business ServicesALBAlbemarle$2,007,839$565,086 ▲39.2%13,6690.3%Basic MaterialsMHOM/I Homes$1,986,416$1,986,416 ▲New Holding14,8240.3%ConstructionCORCencora$1,985,717$1,985,717 ▲New Holding9,5220.3%MedicalMATXMatson$1,958,173$1,958,173 ▲New Holding17,3520.3%TransportationBLDTopBuild$1,929,337$411,927 ▲27.1%5,2270.3%ConstructionCOSTCostco Wholesale$1,910,308$1,910,308 ▲New Holding2,9360.3%Retail/WholesaleRRyder System$1,891,887$1,891,887 ▲New Holding16,7780.3%TransportationAMDAdvanced Micro Devices$1,889,675$69,429 ▲3.8%13,6360.3%Computer and TechnologyPINCPremier$1,854,745$1,854,745 ▲New Holding81,5990.3%MedicalAAAlcoa$1,816,360$1,816,360 ▲New Holding54,5290.3%Industrial ProductsPANWPalo Alto Networks$1,742,476$1,742,476 ▲New Holding6,0310.3%Computer and TechnologyBFHBread Financial$1,714,985$1,714,985 ▲New Holding51,9850.3%Business ServicesJXNJackson Financial$1,680,378$1,680,378 ▲New Holding33,3210.3%FinanceBAXBaxter International$1,526,494$1,526,494 ▲New Holding39,2920.3%MedicalDXCDXC Technology$1,502,761$1,502,761 ▲New Holding65,8240.2%Computer and TechnologyANETArista Networks$1,467,858$20,609 ▼-1.4%6,3390.2%Computer and TechnologySPYSPDR S&P 500 ETF Trust$1,371,157$1,040,302 ▲314.4%2,9010.2%FinanceCUBICustomers Bancorp$1,297,358$1,297,358 ▲New Holding23,2710.2%FinanceARCBArcBest$1,227,427$1,227,427 ▲New Holding10,1390.2%TransportationGLDSPDR Gold Shares$1,149,528$113,866 ▼-9.0%6,0270.2%FinanceQQEWFirst Trust NASDAQ 100 Equal Weighted Index Fund$615,701$615,701 ▲New Holding5,3000.1%ManufacturingHSBCHSBC$604,608$604,608 ▲New Holding15,0700.1%FinanceGDXVanEck Gold Miners ETF$595,920$595,920 ▲New Holding19,5000.1%ETFAZNAstraZeneca$552,672$552,672 ▲New Holding8,0800.1%MedicalMRKMerck & Co., Inc.$480,703$159,895 ▼-25.0%4,2450.1%MedicalAMGNAmgen$462,144$207,578 ▼-31.0%1,5540.1%MedicalTMToyota Motor$460,861$460,861 ▲New Holding2,5410.1%Auto/Tires/TrucksPOSTPost$460,697$189,408 ▼-29.1%5,0300.1%Consumer StaplesCLColgate-Palmolive$459,538$209,710 ▼-31.3%5,6930.1%Consumer StaplesPEPPepsiCo$457,174$135,907 ▼-22.9%2,6440.1%Consumer StaplesShowing largest 100 holdings. 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