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D.A. Davidson & Co.

SEC CIK
0001080107
Latest filing
Jul 24, 2026

Holdings in Q2 2021

Holdings as of Jun 30, 2021, filed Aug 10, 2021. Long positions only; changes compare share counts with Q1 2021.

Institution overview
Positions
1,186
+36 vs. Q1 2021
Portfolio value
$8.53B
+$710.9M (+9.1%) vs. Q1 2021
Filed
Aug 10, 2021
SEC
Holdings of D.A. Davidson & Co. in Q2 2021
SecurityClassSharesValue% of portfolioShare changeActionHistory
Vanguard Morningstar Value ETF922908744ETF4,739,037$651.4M7.6%+65,100+1.4%Added–
Vanguard Morningstar Growth ETF922908736ETF1,796,825$515.3M6.0%+34,359+1.9%Added–
iShares Core MSCI Total International Stock ETF46432F834ETF4,717,640$345.8M4.1%+94,519+2.0%Added–
iShares Core U.S. Aggregate Bond ETF464287226ETF1,921,102$221.6M2.6%+130,376+7.3%Added–
AAPLApple Inc.Stock1,605,113$219.8M2.6%+4,553+0.3%AddedHistory
MSFTMicrosoft CorpStock691,597$187.4M2.2%−13,268−1.9%ReducedHistory
Vanguard Ftse Developed Markets ETF921943858ETF3,349,836$172.6M2.0%+26,119+0.8%Added–
iShares Tr464287630RUS 2000 VAL ETF808,399$134.0M1.6%+16,701+2.1%Added–
Vanguard Short-Term Bond ETF921937827ETF1,507,729$123.9M1.5%+73,390+5.1%Added–
iShares Russell 1000 Growth ETF464287614ETF380,358$103.3M1.2%+7,659+2.1%Added–
iShares Russell 2000 Growth ETF464287648ETF316,190$98.6M1.2%+8,036+2.6%Added–
iShares S&P Mid-Cap 400 Growth ETF464287606ETF1,214,742$98.3M1.2%+27,422+2.3%Added–
Abrdn ETFs003261104BBRG ALL COMD K13,413,454$90.0M1.1%+45,381+1.3%Added–
JNJJohnson & JohnsonStock496,408$81.8M1.0%+10,278+2.1%AddedHistory
Vanguard Scottsdale FDS92206C409SHRT TRM CORP BD978,752$81.0M0.9%+59,750+6.5%Added–
AMZNAmazon Com IncStock22,635$77.9M0.9%+1,779+8.5%AddedHistory
VVisa Inc.Stock331,727$77.6M0.9%+304+0.1%AddedHistory
iShares Core S&P 500 ETF464287200ETF172,075$74.0M0.9%+6,482+3.9%Added–
iShares S&P Mid-Cap 400 Value ETF464287705ETF699,395$73.7M0.9%+3,037+0.4%Added–
Vanguard High Dividend Yield Index ETF921946406ETF676,540$70.9M0.8%+2,787+0.4%Added–
BRK.BBerkshire Hathaway IncStock250,067$69.5M0.8%+4,364+1.8%AddedHistory
COSTCostco Wholesale CorpStock172,779$68.4M0.8%+5,056+3.0%AddedHistory
Invesco Exch Traded FD Tr II46138G508SR LN ETF2,988,174$66.2M0.8%+128,739+4.5%Added–
DISWalt Disney CoStock354,126$62.2M0.7%+6,162+1.8%AddedHistory
PEPPepsiCo IncStock417,455$61.9M0.7%−2,852−0.7%ReducedHistory
JPMJPMorgan Chase & CoStock372,026$57.9M0.7%+9,993+2.8%AddedHistory
iShares MSCI USA Quality Factor ETF46432F339ETF402,055$53.4M0.6%+9,626+2.5%Added–
QCOMQualcomm IncStock368,420$52.7M0.6%+7,091+2.0%AddedHistory
ADPAutomatic Data Processing IncStock262,040$52.0M0.6%+8,423+3.3%AddedHistory
Schwab US Dividend Equity ETF808524797ETF686,382$51.9M0.6%+470+0.1%Added–
MMM3M CoStock258,710$51.4M0.6%−5,124−1.9%ReducedHistory
Vanguard Morningstar Total Stock Market ETF922908769ETF228,935$51.0M0.6%+26,255+13.0%Added–
INTCIntel CorpStock840,128$47.2M0.6%+17,146+2.1%AddedHistory
SPGIS&P Global Inc.Stock113,683$46.7M0.5%+1,487+1.3%AddedHistory
Invesco Exchange Traded FD T46137V613RAFI US 1000 ETF290,589$46.6M0.5%+6,796+2.4%Added–
SBUXStarbucks CorpStock415,698$46.5M0.5%+35,614+9.4%AddedHistory
RTXRTX CorpStock539,678$46.0M0.5%+3,599+0.7%AddedHistory
AMGNAmgen IncStock178,178$43.4M0.5%+12,737+7.7%AddedHistory
MRKMerck & Co., Inc.Stock558,033$43.4M0.5%+30,627+5.8%AddedHistory
TAT&T Inc.Stock1,448,532$41.7M0.5%−100,915−6.5%ReducedHistory
Vanguard Ftse Emerging Markets ETF922042858ETF758,134$41.2M0.5%+25,359+3.5%Added–
KMBKimberly Clark CorpStock303,885$40.7M0.5%+19,392+6.8%AddedHistory
CBChubb LtdStock247,237$39.3M0.5%+2,535+1.0%AddedHistory
NVSNovartis AGADR430,369$39.3M0.5%+17,893+4.3%AddedHistory
GOOGLAlphabet Inc.Stock15,576$38.0M0.4%+186+1.2%AddedHistory
CVSCVS Health CorpStock448,412$37.4M0.4%+7,546+1.7%AddedHistory
NEENextera Energy IncStock508,787$37.3M0.4%+13,830+2.8%AddedHistory
VFCV F CorpStock444,959$36.5M0.4%+33,340+8.1%AddedHistory
SPYSPDR S&P 500 ETF TrustETF84,820$36.3M0.4%−709−0.8%ReducedHistory
VanEck ETF Trust92189H409HIGH YLD MUNIETF567,526$36.1M0.4%+45,826+8.8%Added–
UNPUnion Pacific CorpStock162,428$35.7M0.4%+5,094+3.2%AddedHistory
Vanguard Total International Bond ETF92203J407ETF615,997$35.2M0.4%+27,349+4.6%Added–
ABBVAbbVie Inc.Stock305,337$34.4M0.4%+13,200+4.5%AddedHistory
Vanguard S&P 500 ETF922908363ETF82,914$32.6M0.4%−3,821−4.4%Reduced–
Invesco QQQ Trust Series I46090E103ETF91,936$32.6M0.4%−457−0.5%Reduced–
iShares Inc464286681MSCI EQUAL WEITE383,790$32.4M0.4%+9,403+2.5%Added–
TGTTarget CorpStock132,533$32.0M0.4%−5,666−4.1%ReducedHistory
iShares Core S&P Small Cap ETF464287804ETF267,101$30.2M0.4%+2,478+0.9%Added–
BRK.ABerkshire Hathaway IncCL A71$29.7M0.3%−18−20.2%ReducedHistory
VZVerizon Communications IncStock523,666$29.3M0.3%+6,645+1.3%AddedHistory
UPSUnited Parcel Service IncStock140,247$29.2M0.3%+13,044+10.3%AddedHistory
ACNAccenture plcStock95,936$28.3M0.3%+7,717+8.7%AddedHistory
PNCPNC Financial Services Group, Inc.Stock145,389$27.7M0.3%+336+0.2%AddedHistory
iShares Core S&P Mid-Cap ETF464287507ETF102,752$27.6M0.3%+121+0.1%Added–
CSCOCisco Systems, Inc.Stock517,938$27.5M0.3%−29,048−5.3%ReducedHistory
GOOGAlphabet Inc.Stock10,841$27.2M0.3%−230−2.1%ReducedHistory
PFEPfizer IncStock668,470$26.2M0.3%+14,693+2.2%AddedHistory
iShares Russell Midcap ETF464287499ETF328,236$26.0M0.3%+9,258+2.9%Added–
iShares Tr464287234MSCI EMG MKT ETF455,897$25.1M0.3%+7,194+1.6%Added–
CVXChevron CorpStock238,833$25.0M0.3%+2,044+0.9%AddedHistory
Vanguard Star FDS921909768VG TL INTL STK F379,870$24.9M0.3%+15,500+4.3%Added–
iShares Tr46435G516ESG AW MSCI EAFE314,294$24.8M0.3%+35,751+12.8%Added–
MCDMcDonalds CorpStock105,960$24.5M0.3%−3,374−3.1%ReducedHistory
PGProcter & Gamble CoStock179,735$24.3M0.3%−1,744−1.0%ReducedHistory
IBMInternational Business Machines CorpStock164,632$24.1M0.3%−20,043−10.9%ReducedHistory
ADBEAdobe Inc.Stock40,469$23.7M0.3%+3,800+10.4%AddedHistory
XOMExxonMobil Holdings CorpCOM372,651$23.5M0.3%−5,640−1.5%ReducedHistory
Vanguard Dividend Appreciation ETF921908844ETF148,387$23.0M0.3%+3,568+2.5%Added–
Swedish Expt CR Corp870297801ROG TTL ETN 223,491,416$22.2M0.3%+104,893+3.1%Added–
SYKStryker CorpStock83,421$21.7M0.3%+2,745+3.4%AddedHistory
BABoeing CoStock88,042$21.1M0.2%+857+1.0%AddedHistory
BMYBristol Myers Squibb CoStock308,729$20.6M0.2%−30,074−8.9%ReducedHistory
NKENIKE, Inc.Stock132,153$20.4M0.2%−19,145−12.7%ReducedHistory
HDHome Depot, Inc.Stock61,696$19.7M0.2%+2,284+3.8%AddedHistory
iShares Russell 2000 ETF464287655ETF85,556$19.6M0.2%+4,846+6.0%Added–
ADSKAutodesk, Inc.COM66,974$19.6M0.2%+1,565+2.4%AddedHistory
First Tr Exchange-Traded FD33734H106SHS479,952$19.1M0.2%+12,677+2.7%Added–
NVDANVIDIA CorpStock23,787$19.0M0.2%+1,125+5.0%AddedHistory
METAMeta Platforms, Inc.Stock53,703$18.7M0.2%+1,351+2.6%AddedHistory
PYPLPayPal Holdings, Inc.Stock63,560$18.5M0.2%+227+0.4%AddedHistory
USBUS Bancorp DECOM NEW319,095$18.2M0.2%−5,765−1.8%ReducedHistory
VMWVmware LLCCL A COM109,888$17.6M0.2%+7,147+7.0%AddedHistory
WMTWalmart Inc.Stock122,346$17.3M0.2%+243+0.2%AddedHistory
TROWPrice T Rowe Group IncStock85,989$17.0M0.2%−942−1.1%ReducedHistory
ABTAbbott LaboratoriesStock145,000$16.8M0.2%−1,277−0.9%ReducedHistory
GDGeneral Dynamics CorpStock86,322$16.3M0.2%−538−0.6%ReducedHistory
BACBank of America CorpStock384,476$15.9M0.2%+7,377+2.0%AddedHistory
First Tr Exchange Traded FD33738R605DORSEY WRT 5 ETF333,987$15.8M0.2%+8,860+2.7%Added–
ATVIActivision Blizzard, Inc.COM163,575$15.6M0.2%+14,252+9.5%AddedHistory
SPDR Series Trust78468R101ST SHO TREAS ETF498,273$15.3M0.2%+42,476+9.3%Added–

Sold out since Q1 2021 (43)

Positions held at the end of Q1 2021 that are gone from this filing.

Positions of D.A. Davidson & Co. sold out since Q1 2021
SecurityClassShares in Q1 2021Value in Q1 2021% of portfolio in Q1 2021History
iShares Tr464288604MRGSTR SM CP GR8,206$2.46M<0.1%–
iShares Tr464288307MRGSTR MD CP GRW6,155$2.33M<0.1%–
AHCOAdaptHealth Corp.COMMON STOCK40,293$1.48M<0.1%History
Macquarie Infrastructure Cor55608B105COM42,812$1.36M<0.1%–
DLYDoubleLine Yield Opportunities FundCOM55,000$1.05M<0.1%History
FFCFlaherty & Crumrine PREFERRED & INCOME SECURITIES FUND INCCOM41,000$961.0K<0.1%History
Invesco BulletShares 2021 HY Corp (BSJL)46138J809Exchange Traded Fund38,643$891.0K<0.1%–
Eaton Vance 2021 Target TRM27829W101COM SHS BEN INT76,035$747.0K<0.1%–
CMPCompass Minerals International IncStock10,471$657.0K<0.1%History
International FLAVORS&FRAGRA459506309UNIT 09/15/202112,750$625.0K<0.1%–
PLXProtalix BioTherapeutics, Inc.COM130,700$583.0K<0.1%History
OMEROmeros CorpCOM29,750$530.0K<0.1%History
TCF Finl Corp872307103COM10,358$481.0K<0.1%–
PETSPetmed Express IncCOM13,480$474.0K<0.1%History
U.S. Global Jets ETF26922A842ETF17,288$465.0K<0.1%–
HRLHormel Foods CorpCOM9,678$462.0K<0.1%History
KDPKeurig Dr Pepper Inc.COM13,143$452.0K<0.1%History
KPTIKaryopharm Therapeutics Inc.COM41,000$431.0K<0.1%History
DRIDarden Restaurants IncCOM2,800$398.0K<0.1%History
iShares Tr46435G755IBONDS DEC202214,879$392.0K<0.1%–
iShares Tr46435U697IBONDS DEC10,763$291.0K<0.1%–
CHYCalamos Convertible & High Income FundCOM SHS17,250$257.0K<0.1%History
Navios Maritime Containers LY62151108COM UNIT RP LP27,000$249.0K<0.1%–
JJacobs Solutions Inc.COM1,752$227.0K<0.1%History
SONYSony Group CorpSPONSORED ADR2,109$224.0K<0.1%History
AVNWAviat Networks, Inc.COM NEW3,137$223.0K<0.1%History
Flir Sys Inc302445101COM3,914$221.0K<0.1%–
iShares Tr46435G268RUSEL 2500 ETF3,485$219.0K<0.1%–
COLMColumbia Sportswear CoCOM2,061$218.0K<0.1%History
CPZCalamos Long/Short Equity & Dynamic Income TrustCOM10,600$214.0K<0.1%History
LADLithia Motors IncCOM540$211.0K<0.1%History
FTVFortive CorpStock2,950$208.0K<0.1%History
GPNGlobal Payments IncStock1,012$204.0K<0.1%History
NEUNewmarket CorpCOM534$203.0K<0.1%History
VRTXVertex Pharmaceuticals IncStock932$200.0K<0.1%History
Cantel Med Corp138098108COM2,507$200.0K<0.1%–
HPEHewlett Packard Enterprise CoCOM10,290$162.0K<0.1%History
ACBAurora Cannabis IncCOM12,636$118.0K<0.1%History
NCANuveen California Municipal Value FundCOM STK11,502$118.0K<0.1%History
DSMBNY Mellon Strategic Municipal Bond Fund, Inc.COM13,211$103.0K<0.1%History
GOROGoldgroup Mining Inc.COM31,003$82.0K<0.1%History
CORRCorEnergy Infrastructure Trust, Inc.COM NEW10,518$74.0K<0.1%History
Aethlon Med Inc00808Y307COM10,846$22.0K<0.1%–