Hoover Financial Advisors, Inc.
Filing Date
Global Rank
#2,784
/ 5,923
▲ 37
Top Industry
Aerospace & Defense
32.8%
3Y Alpha vs SPY
-1.8%
Period ended 4 years ago
Filed Jul 28, 2021 · 4y
6 quarters · since Mar 2020
Clone Performance
Jun 2023–Jun 2026 · vs SPYHypothetical growth of cloning every reported 13F position and rebalancing on each filing, indexed to the same start.
Cloned portfolio
+68.5%
SPY
+76.3%
Annualised alpha
-1.8%
Max drawdown
−12.1%
Estimate. 13F holdings are quarter-lagged and long-only, so the clone rebalances about 45 days after each period end — when the filing becomes public — and excludes options and short positions. Past performance does not predict future results.
Portfolio Concentration
367 positions · as of Jun 30, 2021 · Δ vs Mar 31, 2021Top Position
28.6%
−0.3 pts
Top 5
69.9%
−4.1 pts
Top 10
85.0%
−0.3 pts
HHI
1,490
Diversified−108
Portfolio Trend
6 quarters · across all stocks
Sector Breakdown
As of Jun 30, 2021| Sector | % Portfolio | Value |
|---|---|---|
| Unclassified | 31.6% | $82,256,343 |
| Industrials | 22.9% | $59,740,758 |
| Healthcare | 17.2% | $44,788,752 |
| Communication Services | 8.0% | $20,901,997 |
| Consumer Defensive | 6.3% | $16,292,646 |
| Technology | 5.9% | $15,455,943 |
| Energy | 3.6% | $9,279,094 |
| Financial Services | 2.1% | $5,518,728 |
| Consumer Cyclical | 1.0% | $2,722,580 |
| Utilities | 0.8% | $2,113,246 |
| Basic Materials | 0.4% | $1,018,934 |
| Real Estate | 0.2% | $452,681 |
Last Quarter's Activity
Export CSVAdded To
Positions the filer increased
25 positions
| Ticker | Company | Δ Shares | Shares | Value | Open |
|---|---|---|---|---|---|
| MO | Altria Group, Inc. | +191,879 | 252,613 | $12,044,587 | |
| WMB | Williams Companies, Inc. | +39,211 | 284,011 | $7,540,492 | |
| CSX | Csx Corp | +5,600 | 8,400 | $269,472 | |
| JQC | Nuveen Credit Strategies Income Fund | +3,350 | 4,350 | $29,362 | |
| AAPL | Apple Inc. | +2,771 | 53,942 | $7,387,896 | |
| PFE | Pfizer Inc | +2,688 | 17,021 | $666,542 | |
| MRK | Merck & Co., Inc. | +2,379 | 14,820 | $1,152,551 | |
| BAC | Bank Of America Corp /De/ | +2,280 | 14,059 | $579,652 | |
| BP | Bp PLC | +1,500 | 4,622 | $122,113 | |
| VZ | Verizon Communications Inc | +1,500 | 5,540 | $310,406 | |
| QCOM | Qualcomm Inc/De | +1,400 | 1,949 | $278,570 | |
| UTG | Reaves Utility Income Fund | +1,343 | 3,472 | $119,124 | |
| CSCO | Cisco Systems, Inc. | +1,260 | 5,153 | $273,109 | |
| F | Ford Motor Co | +1,000 | 2,102 | $31,235 | |
| INTC | Intel Corp | +966 | 4,633 | $260,096 | |
| AXP | American Express Co | +900 | 1,400 | $231,322 | |
| BRK-B | Berkshire Hathaway Inc | +779 | 4,462 | $1,240,079 | |
| KO | Coca Cola Co | +728 | 4,714 | $255,074 | |
| JPM | Jpmorgan Chase & Co | +708 | 2,471 | $384,339 | |
| NVDA | Nvidia Corp | +550 | 809 | $16,182 | |
| ABBV | AbbVie Inc. | +488 | 2,071 | $233,277 | |
| META | Meta Platforms, Inc. | +450 | 1,017 | $353,621 | |
| CVX | Chevron Corp | +430 | 1,410 | $147,683 | |
| DIS | Walt Disney Co | +423 | 1,804 | $317,089 | |
| KMI | Kinder Morgan, Inc. | +406 | 835 | $15,222 | |
| No positions match the current search. | |||||
Trimmed
Positions the filer reduced
25 positions
| Ticker | Company | Δ Shares | Shares | Value | Open |
|---|---|---|---|---|---|
| T | At&T Inc. | −131,935 | 885,314 | $19,244,247 | |
| QQQ | Invesco Qqq Trust, Series 1 | −4,086 | 210,538 | $74,620,983 | |
| JNJ | Johnson & Johnson | −1,034 | 85,227 | $14,040,295 | |
| AIG | American International Group, Inc. | −695 | 191 | $9,091 | |
| MDT | Medtronic plc | −352 | 5,745 | $713,126 | |
| PM | Philip Morris International Inc. | −326 | 2,791 | $276,616 | |
| MU | Micron Technology Inc | −320 | 6 | $509 | |
| DOCU | Docusign, Inc. | −274 | 158 | $44,172 | |
| XOM | Exxon Mobil Corp | −219 | 20,353 | $1,283,867 | |
| CTVA | Corteva, Inc. | −178 | 470 | $20,844 | |
| BABA | Alibaba Group Holding Ltd | −122 | 1,292 | $292,999 | |
| WST | West Pharmaceutical Services Inc | −100 | 45,435 | $16,315,708 | |
| MRBK | Meridian Corp | −93 | 3,924 | $51,502 | |
| CC | Chemours Co | −83 | 133 | $4,628 | |
| NSC | Norfolk Southern Corp | −78 | 217 | $57,593 | |
| DOC | Healthpeak Properties, Inc. | −51 | 1,535 | $51,100 | |
| NVS | Novartis AG | −49 | 457 | $41,696 | |
| RTX | RTX Corp | −38 | 206 | $17,573 | |
| TFC | Truist Financial Corp | −38 | 469 | $26,029 | |
| MS | Morgan Stanley | −36 | 64 | $5,868 | |
| GILD | Gilead Sciences, Inc. | −33 | 20 | $1,377 | |
| GLD | Spdr Gold Trust | −28 | 6,306 | $1,044,462 | |
| TGT | Target Corp | −26 | 83 | $20,064 | |
| CB | Chubb Ltd | −25 | 356 | $56,582 | |
| ED | Consolidated Edison Inc | −25 | 951 | $68,205 | |
| No positions match the current search. | |||||
New Positions
Positions the filer opened this quarter
25 positions
| Ticker | Company | Shares | Value | Open |
|---|---|---|---|---|
| BAR | GraniteShares Gold Trust | 4,321 | $76,006 | |
| CAH | Cardinal Health Inc | 1,000 | $57,090 | |
| GOF | Guggenheim Strategic Opportunities Fund | 2,607 | $56,519 | |
| WPC | W. P. Carey Inc. | 724 | $52,913 | |
| BIT | BlackRock Multi-Sector Income Trust | 2,624 | $48,963 | |
| CHI | Calamos Convertible Opportunities & Income Fund | 3,175 | $48,164 | |
| OGN | Organon & Co. | 1,423 | $43,059 | |
| SWBI | Smith & Wesson Brands, Inc. | 1,200 | $41,640 | |
| NEA | Nuveen AMT-Free Quality Municipal Income Fund | 2,641 | $41,463 | |
| ETV | Eaton Vance Tax-Managed Buy-Write Opportunities Fund | 2,516 | $40,960 | |
| EPD | Enterprise Products Partners L.P. | 1,596 | $38,511 | |
| MCK | Mckesson Corp | 200 | $38,248 | |
| NVG | Nuveen AMT-Free Municipal Credit Income Fund | 2,062 | $36,827 | |
| PTY | Pimco Corporate & Income Opportunity Fund | 1,582 | $31,307 | |
| ETJ | Eaton Vance Risk-Managed Diversified Equity Income Fund | 2,676 | $30,827 | |
| PML | Pimco Municipal Income Fund II | 1,622 | $24,459 | |
| AFL | Aflac Inc | 454 | $24,361 | |
| NZF | Nuveen Municipal Credit Income Fund | 1,402 | $24,128 | |
| OHI | Omega Healthcare Investors Inc | 607 | $22,028 | |
| ECL | Ecolab Inc. | 94 | $19,361 | |
| CHY | Calamos Convertible & High Income Fund | 1,000 | $16,320 | |
| PFL | Pimco Income Strategy Fund | 1,095 | $13,961 | |
| PFN | PIMCO Income Strategy Fund II | 1,223 | $13,428 | |
| RQI | Cohen & Steers Quality Income Realty Fund Inc | 751 | $11,798 | |
| NQP | NUVEEN PENNSYLVANIA QUALITY MUNICIPAL INCOME FUND | 779 | $11,762 | |
| No positions match the current search. | ||||
Sold Out
Positions the filer fully exited
23 positions
| Ticker | Company | Shares | Value | Open |
|---|---|---|---|---|
| CRS | Carpenter Technology Corp | 10,278 | $422,939 | |
| CPB | CAMPBELL'S Co | 2,057 | $103,405 | |
| ETSY | Etsy Inc | 350 | $70,584 | |
| FUBO | FuboTV Inc. | 250 | $66,360 | |
| SKYW | Skywest Inc | 400 | $21,792 | |
| FULT | Fulton Financial Corp | 1,000 | $17,030 | |
| VEEV | Veeva Systems Inc | 58 | $15,151 | |
| LVS | Las Vegas Sands Corp | 200 | $12,152 | |
| GDDY | GoDaddy Inc. | 75 | $5,821 | |
| SFIX | Stitch Fix, Inc. | 75 | $3,715 | |
| WAB | Westinghouse Air Brake Technologies Corp | 25 | $1,979 | |
| BCE | Bce Inc | 39 | $1,760 | |
| ERIE | Erie Indemnity Co | 7 | $1,546 | |
| COP | Conocophillips | 27 | $1,430 | |
| REYN | Reynolds Consumer Products Inc. | 43 | $1,280 | |
| HAS | Hasbro, Inc. | 13 | $1,249 | |
| TRV | Travelers Companies, Inc. | 8 | $1,203 | |
| DEO | Diageo PLC | 7 | $1,149 | |
| BIIB | Biogen Inc. | 3 | $839 | |
| CNI | Canadian National Railway Co | 7 | $811 | |
| LHX | L3harris Technologies, Inc. /De/ | 4 | $810 | |
| CRON | Cronos Group Inc. | 85 | $804 | |
| OTIS | Otis Worldwide Corp | 7 | $479 | |
| No positions match the current search. | ||||
367 positions ·
$260,541,702 total
· as of Jun 30, 2021
All sectors
Basic Materials
Communication Services
Consumer Cyclical
Consumer Defensive
Energy
Financial Services
Healthcare
Industrials
Real Estate
Technology
Utilities
Showing 1–50
of 367 positions by value
· page 1 of 8
| Ticker | Company | Type | Shares | Value (USD) | % of Portfolio | History |
|---|---|---|---|---|---|---|
| QQQ |
Invesco Qqq Trust, Series 1
|
Reduced | 210,538 | $74,620,983 | 28.64% | |
| HII |
Huntington Ingalls Industries, Inc.
Industrials
|
Held | 274,583 | $57,868,367 | 22.21% | |
| T |
At&T Inc.
Communication Services
|
Reduced | 885,314 | $19,244,247 | 7.39% | |
| WST |
West Pharmaceutical Services Inc
Healthcare
|
Reduced | 45,435 | $16,315,708 | 6.26% | |
| JNJ |
Johnson & Johnson
Healthcare
|
Reduced | 85,227 | $14,040,295 | 5.39% | |
| MO |
Altria Group, Inc.
Consumer Defensive
|
Added | 252,613 | $12,044,587 | 4.62% | |
| WMB |
Williams Companies, Inc.
Energy
|
Added | 284,011 | $7,540,492 | 2.89% | |
| SYK |
Stryker Corp
Healthcare
|
Held | 29,009 | $7,534,507 | 2.89% | |
| AAPL |
Apple Inc.
Technology
|
Added | 53,942 | $7,387,896 | 2.84% | |
| SPY |
Spdr S&P 500 ETF Trust
|
Added | 11,122 | $4,760,883 | 1.83% | |
| MSFT |
Microsoft Corp
Technology
|
Added | 8,556 | $2,317,820 | 0.89% | |
| PG |
PROCTER & GAMBLE Co
Consumer Defensive
|
Added | 16,273 | $2,195,715 | 0.84% | |
| UNH |
Unitedhealth Group Inc
Healthcare
|
Added | 3,734 | $1,495,242 | 0.57% | |
| AMGN |
Amgen Inc
Healthcare
|
Held | 5,672 | $1,382,550 | 0.53% | |
| XOM |
Exxon Mobil Corp
Energy
|
Reduced | 20,353 | $1,283,867 | 0.49% | |
| BRK-B |
Berkshire Hathaway Inc
Financial Services
|
Added | 4,462 | $1,240,079 | 0.48% | |
| MRK |
Merck & Co., Inc.
Healthcare
|
Added | 14,820 | $1,152,551 | 0.44% | |
| MDY |
Spdr S&P Midcap 400 ETF Trust
|
Held | 2,251 | $1,105,263 | 0.42% | |
| GLD |
Spdr Gold Trust
|
Reduced | 6,306 | $1,044,462 | 0.40% | |
| ADP |
Automatic Data Processing Inc
Technology
|
Added | 4,680 | $929,541 | 0.36% | |
| MDT |
Medtronic plc
Healthcare
|
Reduced | 5,745 | $713,126 | 0.27% | |
| PFE |
Pfizer Inc
Healthcare
|
Added | 17,021 | $666,542 | 0.26% | |
| SEIC |
Sei Investments Co
Financial Services
|
Held | 10,117 | $626,950 | 0.24% | |
| RPM |
Rpm International Inc/De/
Basic Materials
|
Held | 6,907 | $612,512 | 0.24% | |
| BAC |
Bank Of America Corp /De/
Financial Services
|
Added | 14,059 | $579,652 | 0.22% | |
| KMB |
Kimberly Clark Corp
Consumer Defensive
|
Added | 3,759 | $502,879 | 0.19% | |
| WTRG |
Essential Utilities, Inc.
Utilities
|
Held | 10,453 | $477,702 | 0.18% | |
| PLTR |
Palantir Technologies Inc.
Technology
|
Held | 15,976 | $421,127 | 0.16% | |
| CMCSA |
Comcast Corp
Communication Services
|
Added | 7,879 | $421,049 | 0.16% | |
| HD |
Home Depot, Inc.
Consumer Cyclical
|
Added | 1,209 | $385,538 | 0.15% | |
| JPM |
Jpmorgan Chase & Co
Financial Services
|
Added | 2,471 | $384,339 | 0.15% | |
| DIA |
Spdr Dow Jones Industrial Average ETF Trust
|
Held | 1,111 | $383,239 | 0.15% | |
| HPQ |
Hp Inc
Technology
|
Held | 12,583 | $379,880 | 0.15% | |
| META |
Meta Platforms, Inc.
Communication Services
|
Added | 1,017 | $353,621 | 0.14% | |
| ORCL |
Oracle Corp
Technology
|
Held | 4,501 | $350,357 | 0.13% | |
| IBM |
International Business Machines Corp
Technology
|
Held | 2,441 | $342,090 | 0.13% | |
| BA |
Boeing Co
Industrials
|
Added | 1,367 | $327,478 | 0.13% | |
| DIS |
Walt Disney Co
Communication Services
|
Added | 1,804 | $317,089 | 0.12% | |
| VZ |
Verizon Communications Inc
Communication Services
|
Added | 5,540 | $310,406 | 0.12% | |
| AEP |
American Electric Power Co Inc
Utilities
|
Held | 3,665 | $310,022 | 0.12% | |
| BABA |
Alibaba Group Holding Ltd
Consumer Cyclical
|
Reduced | 1,292 | $292,999 | 0.11% | |
| QCOM |
Qualcomm Inc/De
Technology
|
Added | 1,949 | $278,570 | 0.11% | |
| KEYS |
Keysight Technologies, Inc.
Technology
|
Held | 1,801 | $278,092 | 0.11% | |
| PM |
Philip Morris International Inc.
Consumer Defensive
|
Reduced | 2,791 | $276,616 | 0.11% | |
| PEG |
Public Service Enterprise Group Inc
Utilities
|
Held | 4,614 | $275,640 | 0.11% | |
| CSCO |
Cisco Systems, Inc.
Technology
|
Added | 5,153 | $273,109 | 0.10% | |
| PEP |
Pepsico Inc
Consumer Defensive
|
Held | 1,842 | $272,929 | 0.10% | |
| CSX |
Csx Corp
Industrials
|
Added | 8,400 | $269,472 | 0.10% | |
| MA |
Mastercard Inc
Financial Services
|
Added | 736 | $268,706 | 0.10% | |
| COST |
Costco Wholesale Corp /New
Consumer Defensive
|
Held | 673 | $266,285 | 0.10% |