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Reported Holdings Of The
Alpha Cubed Investments LLC

Legal Name: ALPHA CUBED INVESTMENTS, LLC

Period of report: Jun 30, 2019
Effectiveness Date: Jul 19, 2019

Security Shares Held / Principal Amount Market Value Option
Apple Inc (037833100) 199,336 $39,453k
COCA-COLA CO (191216100) 435,457 $22,173k
BHP BILLITON LTD (088606108) 350,317 $20,357k
INTEL CORP (458140100) 416,758 $19,950k
Amazon.com Inc (023135106) 10,354 $19,607k
AMGEN INC (031162100) 104,894 $19,330k
CISCO SYSTEMS INC (17275R102) 352,446 $19,289k
Exxon Mobil Corp (30231G102) 250,007 $19,158k
EATON CORPORATION (G29183103) 209,646 $17,459k
ISHARES TR BARCLAYS 7 10 YR (464287440) 149,154 $16,410k
AEP (025537101) 176,293 $15,516k
HOME DEPOT INC (437076102) 70,632 $14,689k
DISNEY WALT CO (254687106) 100,217 $13,994k
ALPHABET INC (02079K305) 12,713 $13,766k
Bank of America Corp. (060505104) 455,897 $13,221k
Facebook Inc (30303M102) 55,094 $10,633k
E TRADE FINANCIAL CORP (269246401) 202,173 $9,017k
INVESCO QQQ TR UNIT SER 1 (46090E103) 42,061 $7,854k
ADOBE INC (00724F101) 25,487 $7,510k
Berkshire Hathaway, Inc. (084670702) 33,442 $7,129k
ISHARES TR CORE US AGGBD ET (464287226) 51,018 $5,681k
Intercontinental Exchange Inc (45866F104) 54,205 $4,658k
INTUITIVE SURGIC INC (46120E602) 6,710 $3,520k
Alphabet Inc (02079K107) 2,631 $2,844k
Boeing Co/The (097023105) 7,221 $2,629k
American Express Co. (025816109) 21,188 $2,615k
ISHARES TR CORE S&P500 ETF (464287200) 8,607 $2,537k
ABBVIE INC (00287Y109) 32,237 $2,344k
THE HERSHEY COMPANY (427866108) 17,350 $2,325k
BROADCOM INC (11135F101) 7,660 $2,205k
FIRST TR EXCHANGE TRADED FD (33739Q408) 36,248 $2,177k
COSTCO WHSL CORP (22160K105) 7,596 $2,007k
GILEAD SCIENCES INC (375558103) 25,592 $1,729k
ISHARES TR CORE S&P TTL STK (464287150) 25,351 $1,689k
ISHARES TR S&P 500 GRWT ETF (464287309) 7,737 $1,387k
Chevron Corp (166764100) 11,081 $1,379k
FIREEYE INC (31816Q101) 90,245 $1,337k
Caterpillar Inc (149123101) 9,059 $1,235k
GOLDMAN SACHS ETF TR (381430529) 10,712 $1,075k
HONEYWELL INTL INC (438516106) 5,201 $908k
3M CO (88579Y101) 4,999 $867k
CITIGROUP INC (172967424) 12,194 $854k
Applied Materials, Inc. (038222105) 18,240 $819k
ABBOTT LABS (002824100) 8,922 $750k
INTL BUSINESS MCHN (459200101) 5,232 $721k
AT&T INC (00206R102) 21,506 $721k
EVERSOURCE ENERGY (30040W108) 8,246 $625k
DUKE ENERGY CORP (26441C204) 6,728 $594k
INVESCO EXCHNG TRADED FD TR (46138E354) 10,779 $593k
CELGENE CORP (151020104) 6,385 $590k
EATON VANCE TAX MNGD GBL DV (27829F108) 71,018 $589k
CINTAS CORP (172908105) 2,374 $563k
ENTERPRISE PRODS (293792107) 18,769 $542k
ALTRIA GROUP INC (02209S103) 11,352 $538k
ANALOG DEVICES INC (032654105) 4,400 $497k
ENERGY TRANSFER LP (29273V100) 34,749 $489k
AMERICA MOVIL (02364W105) 33,275 $484k
CHEMICAL FINL CORP (163731102) 11,725 $482k
AMERICAN TOWER CORP NEW (03027X100) 2,273 $465k
INVESCO ACTIVELY MANAGD ETF (46090A887) 9,108 $459k
ISHARES TR S&P 500 VAL ETF (464287408) 3,873 $451k
GENERAL ELECTRIC CO (369604103) 41,888 $440k
AMERICA MOVIL SAB DE CV (02364W204) 30,862 $439k
INVESCO EXCHANGE TRADED FD T (46137V837) 6,830 $412k
ESSEX PPTY TR INC (297178105) 1,356 $396k
Deere & Co (244199105) 2,372 $393k
FORD MOTOR CO (345370860) 38,345 $392k
DuPont de Nemours Inc (26614N102) 4,901 $368k
AKAMAI TECH INC (00971T101) 4,560 $365k
IRON MOUNTAIN INC (46284V101) 11,400 $357k
CIGNA CORP (125523100) 2,147 $338k
ALKALINE WATER CO INC (01643A207) 154,500 $337k
ISHARES (464287234) 7,781 $334k
ABM INDS INC (000957100) 8,361 $334k
BERKSHIRE HATHAWAY (084670108) 1 $318k
HOSPITALITY PROPERTIES TRUST (44106M102) 12,200 $305k
General Motors Co (37045V100) 7,861 $303k
AABA (021346101) 4,361 $303k
EBAY INC (278642103) 7,647 $302k
GOLDMAN SACHS GROUP (38141G104) 1,450 $297k
ConocoPhillips (20825C104) 4,807 $293k
ALLSTATE CORP (020002101) 2,872 $292k
AXOS FINL INC (05465C100) 10,700 $292k
EMERSON ELEC CO (291011104) 4,333 $289k
Domino's Pizza Inc (25754A201) 1,020 $284k
Dow Inc (260557103) 5,646 $278k
HSBC HLDGS PLC (404280604) 10,000 $262k
ISHARES TR (464287457) 3,070 $260k
CANOPY GROWTH CORP (138035100) 6,345 $256k
FEDEX CORP (31428X106) 1,540 $253k
CHUBB LIMITED (H1467J104) 1,708 $252k
ADVANCED MICRO DEVICES INC (007903107) 8,202 $249k
COUSINS PROPERTIES INC (222795502) 6,783 $249k
ILLINOIS TOOL WORKS (452308109) 1,639 $247k
Eaton Vance T/A Global Dividend Income (27828S101) 14,443 $232k
IDACORP INC (451107106) 2,300 $231k
DOMINION ENERGY INC (25746U109) 2,882 $223k
GAMING AND LEISURE PROPERTIE (36467J108) 5,500 $214k
CUMMINS INC (231021106) 1,245 $213k
ADP (053015103) 1,283 $212k
AFLAC INC (001055102) 3,848 $211k
BEST BUY INC (086516101) 3,012 $210k
AURORA CANNABIS (05156X108) 26,628 $208k
Booking Holdings, Inc. (09857L108) 111 $208k
Bristol-Myers Squibb Co (110122108) 4,537 $206k
CENTURYLINK INC (156700106) 17,370 $204k
BLACKROCK MULTI-SECTOR INC T (09258A107) 11,500 $201k
CYPRESS SEMICONDUCTR (232806109) 9,000 $200k
BANC OF CALIFORNIA (05990K106) 14,001 $196k
BLACKROCK FL RT TR (091941104) 14,000 $174k
BLACKROCK FLOAT RATE OME STR (09255X100) 12,000 $154k
EATON VANCE (27828A100) 13,000 $143k
BLACKROCK MUNIYIELD CALIF FD (09254M105) 10,000 $140k
BLACKROCK CORPOR HI YLD FD I (09255P107) 13,000 $139k
COMMUNICATIONS SYS (203900105) 19,363 $58k
ATHERSYS INC COM (04744l106) 20,000 $34k
ACORDA THERAPEUTICS INC (00484MAA4) 33,000 $28k
CHESAPEAKE ENERGY (165167107) 11,000 $21k

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