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Reported Holdings Of The
E & G Advisors LP

Legal Name: E & G ADVISORS, LP

Period of report: Jun 30, 2019
Effectiveness Date: Jul 12, 2019

Security Shares Held / Principal Amount Market Value Option
ISHARES TR RUS 1000 GRW ETF (464287614) 115,756 $18,213k
ISHARES TR 20 YR TR BD ETF (464287432) 65,602 $8,713k
ISHARES TR CORE US AGGBD ET (464287226) 65,015 $7,239k
SPDR SERIES TRUST (78464A649) 221,600 $6,464k
ISHARES (464287242) 50,497 $6,280k
JPMORGAN CHASE & CO (46625H100) 43,553 $4,869k
ALPHABET INC (02079K305) 3,550 $3,844k
ISHARES TR (464287176) 32,731 $3,780k
DELTA AIR LINES (247361702) 64,358 $3,652k
Apple Inc (037833100) 16,737 $3,313k
SPDR S&P 500 ETF TR TR UNIT (78462F103) 10,482 $3,071k
COMCAST CORP (20030N101) 55,974 $2,367k
SPDR SERIES TRUST (78464A854) 68,410 $2,363k
ISHARES INC (46434G822) 42,161 $2,301k
ENTERPRISE PRODS (293792107) 79,095 $2,283k
CITIGROUP INC (172967424) 31,296 $2,192k
Amazon.com Inc (023135106) 1,111 $2,104k
DOUBLELINE INCOME (258622109) 104,250 $2,082k
Bank of America Corp. (060505104) 70,738 $2,051k
AT&T INC (00206R102) 59,543 $1,995k
Berkshire Hathaway, Inc. (084670702) 8,753 $1,866k
PIMCO DYN CR& MORTGA (72202D106) 75,182 $1,796k
Nuveen Preferred Income Opportunities Fund (67073B106) 175,500 $1,739k
GILEAD SCIENCES INC (375558103) 25,432 $1,718k
GOLDMAN SACHS ETF TR (381430503) 28,625 $1,682k
BLACKROCK MULTI-SECTOR INC T (09258A107) 94,500 $1,649k
MICROSOFT CORP (594918104) 11,353 $1,521k
SPDR SERIES TRUST (78464A409) 38,638 $1,496k
PFIZER INC (717081103) 33,205 $1,438k
MERCK & CO INC (58933Y105) 16,139 $1,353k
JOHNSON & JOHNSON (478160104) 9,576 $1,334k
Facebook Inc (30303M102) 6,725 $1,298k
General Motors Co (37045V100) 33,027 $1,273k
GOLDMAN SACHS GROUP (38141G104) 6,100 $1,248k
Exxon Mobil Corp (30231G102) 15,610 $1,196k
Nuveen Preferred & Income Term Fund (67075A106) 49,275 $1,167k
PRUDENTIAL FINL (744320102) 11,400 $1,151k
HOME DEPOT INC (437076102) 5,491 $1,142k
NEXTERA ENERGY INC (65339F101) 5,300 $1,086k
S&P WRLD EX US (78463X889) 36,173 $1,070k
ISHARES TR CORE S&P500 ETF (464287200) 3,613 $1,065k
CISCO SYSTEMS INC (17275R102) 19,385 $1,061k
BlackRock, Inc. (09247X101) 2,230 $1,047k
SPDR SERIES TRUST (78464A508) 32,887 $1,029k
FIRST TR EXCHANGE TRADED FD (33733E302) 6,959 $1,001k
ISHARES (464287234) 22,700 $974k
DISNEY WALT CO (254687106) 6,800 $950k
DUKE ENERGY CORP (26441C204) 10,600 $935k
SPDR SERIES TRUST (78464A300) 15,275 $927k
Chevron Corp (166764100) 7,420 $923k
EMERSON ELEC CO (291011104) 13,800 $921k
ENERGY TRANSFER LP (29273V100) 63,374 $892k
Alphabet Inc (02079K107) 819 $885k
SPDR Portfolio Emerging Market (78463X509) 24,599 $880k
AAL (02376R102) 26,560 $866k
SPDR GOLD TR GOLD (78463V107) 6,410 $854k
LAM RESEARCH CORP (512807108) 4,500 $845k
LOWES CO (548661107) 8,200 $827k
Pioneer Natural Resources Co (723787107) 5,300 $815k
INTEL CORP (458140100) 16,224 $777k
INTL BUSINESS MCHN (459200101) 5,500 $758k
Lockheed Martin Corp (539830109) 2,000 $727k
Occidental Petroleum Corp (674599105) 14,267 $717k
EATON VANCE FLTNG RATE 2022 (27831H100) 75,500 $701k
MORGAN STANLEY EM MKTS DM DE (617477104) 97,000 $670k
ALLIANZGI CONVERTIBLE & INCOME CEF (018828103) 115,436 $652k
CBS CORPORATION (124857202) 13,028 $650k
BROADCOM INC (11135F101) 2,250 $648k
Caterpillar Inc (149123101) 4,700 $641k
INVESCO QQQ TR UNIT SER 1 (46090E103) 3,425 $640k
NOVARTIS AG (66987V109) 6,918 $632k
Nucor Corp (670346105) 11,400 $628k
AMGEN INC (031162100) 3,400 $627k
NUVEEN SR INCOME FD (67067Y104) 105,600 $626k
CALAMOS CONV OPP AND INC FD (128117108) 57,950 $609k
BLACKROCK MUNI INTER DR FD I (09253X102) 43,000 $604k
DXC TECHNOLOGY CO (23355L106) 10,500 $579k
CARLYLE GROUP L P (14309L102) 24,990 $565k
RAYTHEON (755111507) 3,245 $564k
PNC FINL SVCS GRP (693475105) 4,075 $559k
ALTRIA GROUP INC (02209S103) 11,346 $537k
PHILIP MORRIS INTL (718172109) 6,800 $534k
PROSHARES TR (74347B383) 17,200 $528k
FEDEX CORP (31428X106) 3,000 $493k
Applied Materials, Inc. (038222105) 10,900 $490k
DOMINION ENERGY INC (25746U109) 6,317 $488k
PROCTER & GAMBLE CO (742718109) 4,333 $475k
MASTERCARD INC (57636Q104) 1,750 $463k
DISCOVER FINL SVCS (254709108) 5,800 $450k
Deere & Co (244199105) 2,600 $431k
PLAINS ALL AMERN PIP (726503105) 17,600 $429k
AGNC INVT CORP (00123Q104) 25,200 $424k
PINNACLE WEST CAP (723484101) 4,500 $423k
ALIBABA GROUP HLDG LTD (01609W102) 2,464 $418k
IRON MOUNTAIN INC (46284V101) 13,300 $416k
QUALCOMM INC (747525103) 5,423 $413k
CAPITAL ONE FINL CO (14040H105) 4,544 $412k
CONSTELLATION BRANDS (21036P108) 2,050 $404k
MORGAN STANLEY (617446448) 9,000 $394k
LILLY ELI & CO (532457108) 3,500 $388k
LENNAR CORP (526057104) 7,800 $378k
AEP (025537101) 4,300 $378k
RADIAN GROUP INC (750236101) 16,500 $377k
HUMANA INC (444859102) 1,400 $371k
O'REILLY AUTOMOTIVE (67103H107) 1,000 $369k
MOTOROLA SOLUTIONS (620076307) 2,200 $367k
Bristol-Myers Squibb Co (110122108) 8,100 $367k
Phillips 66 (718546104) 3,800 $355k
ISHARES TR (46434VBD1) 13,500 $346k
ISHARES TR (464288687) 9,325 $344k
KKR & CO INC (48251W104) 13,500 $341k
BLACKSTONE MORTGAGE (09257W100) 9,500 $338k
ISHARES TR RUS MID CAP ETF (464287499) 6,000 $335k
CVS HEALTH CORP (126650100) 6,071 $331k
ROYAL DUTCH SHELL (780259107) 4,800 $316k
CIGNA CORP (125523100) 2,000 $315k
NEUBERGER BERMAN RE (64190A103) 60,500 $311k
ENTERGY CORP (29364G103) 3,000 $309k
KLA-TENCOR CORP (482480100) 2,550 $301k
ABBVIE INC (00287Y109) 4,000 $291k
THE HERSHEY COMPANY (427866108) 2,100 $281k
SPDR SERIES TRUST (78468R622) 2,528 $275k
BIOGEN INC (09062X103) 1,165 $272k
AVALONBAY COMMUNTIES (053484101) 1,300 $264k
DTE ENERGY CO (233331107) 2,050 $262k
HONEYWELL INTL INC (438516106) 1,500 $262k
CUMMINS INC (231021106) 1,400 $240k
Callon Petroleum Co (13123X102) 34,950 $230k
AllianzGI Convertible & Income 2024 Target Term Fund (01883H102) 24,500 $226k
GAMING AND LEISURE PROPERTIE (36467J108) 5,700 $222k
ORACLE CORP (68389X105) 3,900 $222k
SPDR SERIES TRUST (78464A102) 2,934 $213k
AMPHENOL CORPORATION (032095101) 2,200 $211k
EOG Resources Inc (26875P101) 2,185 $204k
INVESCO EXCHNG TRADED FD TR (46138G698) 3,800 $203k
Ares Dynamic Credit Allocation (04014F102) 12,300 $186k
QEP RESOURCES (74733V100) 10,300 $74k
EATON VANCE SR INCOME TR (27826S103) 10,500 $65k

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