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First Affirmative Financial Network

SEC CIK
0001656282
Latest filing
May 11, 2026

Holdings in Q4 2021

Holdings as of Dec 31, 2021, filed Feb 15, 2022. Long positions only; changes compare share counts with Q3 2021.

Institution overview
Positions
156
+4 vs. Q3 2021
Portfolio value
$109.5M
+$12.4M (+12.7%) vs. Q3 2021
Filed
Feb 15, 2022
SEC
Holdings of First Affirmative Financial Network in Q4 2021
SecurityClassSharesValue% of portfolioShare changeActionHistory
CXCemex SAB de CVSPON ADR NEW14,204$96.0K0.1%+432+3.1%AddedHistory
HRZNHorizon Technology Finance CorpCOM10,683$170.0K0.2%+10,683NewHistory
TREXTrex Co IncCOM1,543$208.0K0.2%+1,543NewHistory
JPMJPMorgan Chase & CoStock1,343$213.0K0.2%+82+6.5%AddedHistory
GILDGilead Sciences, Inc.Stock2,929$213.0K0.2%+2,929NewHistory
BRK.BBerkshire Hathaway IncStock724$216.0K0.2%+724NewHistory
MSMorgan StanleyStock2,206$217.0K0.2%−155−6.6%ReducedHistory
TSCOTractor Supply CoCOM910$217.0K0.2%+910NewHistory
TJXTJX Companies IncStock2,877$218.0K0.2%−1,177−29.0%ReducedHistory
RIORio Tinto PLCADR3,279$220.0K0.2%+201+6.5%AddedHistory
TNCTennant CoCOM2,719$220.0K0.2%+5+0.2%AddedHistory
MTArcelorMittalNY REGISTRY SH6,983$222.0K0.2%−449−6.0%ReducedHistory
FISFidelity National Information Services, Inc.Stock2,063$225.0K0.2%+142+7.4%AddedHistory
SHWSherwin Williams CoCOM641$226.0K0.2%+641NewHistory
GMGeneral Motors CoCOM3,930$230.0K0.2%−80−2.0%ReducedHistory
AMDAdvanced Micro Devices IncStock1,608$231.0K0.2%+1,608NewHistory
BKNGBooking Holdings Inc.Stock97$232.0K0.2%+3+3.2%AddedHistory
CMCSAComcast CorpStock4,658$234.0K0.2%+132+2.9%AddedHistory
KOCoca Cola CoStock3,970$235.0K0.2%−37−0.9%ReducedHistory
ATVIActivision Blizzard, Inc.COM3,579$238.0K0.2%+261+7.9%AddedHistory
SONYSony Group CorpSPONSORED ADR1,895$240.0K0.2%+62+3.4%AddedHistory
DOCHealthpeak Properties, Inc.COM6,746$243.0K0.2%+302+4.7%AddedHistory
DREDuke Realty CorpCOM NEW3,706$243.0K0.2%+3,706NewHistory
VFCV F CorpStock3,327$244.0K0.2%+190+6.1%AddedHistory
SONSonoco Products CoCOM4,221$244.0K0.2%+235+5.9%AddedHistory
QCOMQualcomm IncStock1,361$249.0K0.2%+1,361NewHistory
LLYEli Lilly & CoStock905$250.0K0.2%+905NewHistory
BOHBank of Hawaii CorpCOM3,022$253.0K0.2%+323+12.0%AddedHistory
CRMSalesforce, Inc.Stock998$254.0K0.2%+99+11.0%AddedHistory
ISRGIntuitive Surgical IncCOM NEW729$262.0K0.2%+63+9.5%AddedConverted for a 3-for-1 splitHistory
HTLFHeartland Financial USA IncCOM5,196$263.0K0.2%+11+0.2%AddedHistory
iShares Tr464288323NEW YORK MUN ETF4,553$264.0K0.2%00.0%Unchanged–
CMECME Group Inc.COM1,160$265.0K0.2%−13−1.1%ReducedHistory
BDXBecton Dickinson & CoStock1,064$268.0K0.2%−71−6.3%ReducedHistory
KMBKimberly Clark CorpStock1,880$269.0K0.2%−18−0.9%ReducedHistory
WELLWelltower Inc.REIT3,180$273.0K0.2%+161+5.3%AddedHistory
SUISun Communities IncCOM1,303$274.0K0.3%+58+4.7%AddedHistory
CBChubb LtdStock1,433$277.0K0.3%+76+5.6%AddedHistory
CTASCintas CorpStock650$288.0K0.3%−128−16.5%ReducedHistory
CINFCincinnati Financial CorpCOM2,557$291.0K0.3%+83+3.4%AddedHistory
MKCMcCormick & Co IncStock3,021$292.0K0.3%+227+8.1%AddedHistory
CNICanadian National Railway CoStock2,405$296.0K0.3%−52−2.1%ReducedHistory
HEHawaiian Electric Industries IncCOM7,145$297.0K0.3%+11+0.2%AddedHistory
AVBAvalonbay Communities IncCOM1,177$297.0K0.3%+82+7.5%AddedHistory
HASIHA Sustainable Infrastructure Capital, Inc.COM5,589$297.0K0.3%+5,589NewHistory
PGProcter & Gamble CoStock1,825$299.0K0.3%+142+8.4%AddedHistory
SBUXStarbucks CorpStock2,568$300.0K0.3%−10.0%ReducedHistory
PANWPalo Alto Networks IncStock541$301.0K0.3%+67+14.1%AddedHistory
PNRPENTAIR plcSHS4,121$301.0K0.3%−66−1.6%ReducedHistory
ESSEssex Property Trust, Inc.COM858$302.0K0.3%+35+4.3%AddedHistory
STZConstellation Brands, Inc.CL B1,204$302.0K0.3%+200+19.9%AddedHistory
WYWeyerhaeuser CoCOM NEW7,360$303.0K0.3%+548+8.0%AddedHistory
PNCPNC Financial Services Group, Inc.Stock1,525$306.0K0.3%+143+10.3%AddedHistory
TROWPrice T Rowe Group IncStock1,580$311.0K0.3%+8+0.5%AddedHistory
LYBLyondellBasell Industries N.V.SHS - A -3,377$311.0K0.3%+75+2.3%AddedHistory
iShares Tr46429B333GNMA BOND ETF6,407$319.0K0.3%−482−7.0%Reduced–
PYPLPayPal Holdings, Inc.Stock1,695$320.0K0.3%+344+25.5%AddedHistory
GLTRabrdn Precious Metals Basket ETF TrustPHYSCL PRECS MET3,594$321.0K0.3%+480+15.4%AddedHistory
Vanguard World FD921910816MEGA GRWTH IND1,243$324.0K0.3%00.0%Unchanged–
RYNRayonier IncCOM8,101$327.0K0.3%+10.0%AddedHistory
GPCGenuine Parts CoStock2,340$328.0K0.3%+26+1.1%AddedHistory
PSAPublic StorageCOM876$328.0K0.3%+56+6.8%AddedHistory
SPGSimon Property Group Inc.REIT2,117$338.0K0.3%+132+6.6%AddedHistory
MRKMerck & Co., Inc.Stock4,466$342.0K0.3%−246−5.2%ReducedHistory
EXRExtra Space Storage Inc.COM1,545$350.0K0.3%+66+4.5%AddedHistory
iShares Tr464288646ISHS 1-5YR INVS6,599$356.0K0.3%+576+9.6%Added–
ITWIllinois Tool Works IncStock1,460$360.0K0.3%+86+6.3%AddedHistory
VZVerizon Communications IncStock6,928$360.0K0.3%−3,255−32.0%ReducedHistory
ECLEcolab Inc.Stock1,541$362.0K0.3%+65+4.4%AddedHistory
GWWW.W. Grainger, Inc.Stock701$363.0K0.3%−16−2.2%ReducedHistory
SCHWSchwab Charles CorpStock4,314$363.0K0.3%+363+9.2%AddedHistory
JCIJohnson Controls International plcStock4,495$365.0K0.3%+148+3.4%AddedHistory
ABBNYABB LtdSPONSORED ADR9,697$370.0K0.3%−118−1.2%ReducedHistory
PIMCO Enhanced Short Maturity Active Exchange-Traded Fund72201R833ETF3,658$372.0K0.3%−6−0.2%Reduced–
EQIXEquinix IncCOM440$372.0K0.3%+86+24.3%AddedHistory
PFEPfizer IncStock6,317$373.0K0.3%+575+10.0%AddedHistory
ELVElevance Health, Inc.Stock807$374.0K0.3%+7+0.9%AddedHistory
MUIBlackRock Municipal Credit Alpha Portfolio, Inc.COM25,047$380.0K0.3%−1,912−7.1%ReducedHistory
ULUnilever PLCSPON ADR NEW7,113$383.0K0.3%+61+0.9%AddedHistory
iShares Tr46435U697IBONDS DEC14,565$391.0K0.4%+14,565New–
ABBVAbbVie Inc.Stock2,934$397.0K0.4%+43+1.5%AddedHistory
LOWLowes Companies IncStock1,553$401.0K0.4%−369−19.2%ReducedHistory
AREAlexandria Real Estate Equities, Inc.COM1,801$401.0K0.4%+505+39.0%AddedHistory
WTRGEssential Utilities, Inc.COM7,575$407.0K0.4%−390−4.9%ReducedHistory
MAAMid America Apartment Communities Inc.COM1,794$412.0K0.4%+42+2.4%AddedHistory
SPGIS&P Global Inc.Stock878$414.0K0.4%+19+2.2%AddedHistory
LRCXLam Research CorpCOM579$417.0K0.4%+207+55.6%AddedHistory
WECWec Energy Group, Inc.Stock4,334$421.0K0.4%−35−0.8%ReducedHistory
USBUS Bancorp DECOM NEW7,567$425.0K0.4%+172+2.3%AddedHistory
iShares Tr46435G318IBONDS DEC202316,774$435.0K0.4%+1,293+8.4%Added–
GOOGLAlphabet Inc.Stock151$438.0K0.4%+29+23.8%AddedHistory
CCICrown Castle Inc.REIT2,107$440.0K0.4%+532+33.8%AddedHistory
ADPAutomatic Data Processing IncStock1,787$441.0K0.4%−48−2.6%ReducedHistory
INTUIntuit Inc.Stock694$447.0K0.4%−9−1.3%ReducedHistory
WMTWalmart Inc.Stock3,154$456.0K0.4%+92+3.0%AddedHistory
ETF Ser Solutions26922A560CHANG FIN US LRG13,073$458.0K0.4%−145−1.1%Reduced–
DLRDigital Realty Trust, Inc.COM2,604$461.0K0.4%+737+39.5%AddedHistory
PLDPrologis, Inc.REIT2,785$469.0K0.4%+542+24.2%AddedHistory
TGTTarget CorpStock2,039$472.0K0.4%−86−4.0%ReducedHistory
CATCaterpillar IncStock2,305$476.0K0.4%+190+9.0%AddedHistory

Sold out since Q3 2021 (8)

Positions held at the end of Q3 2021 that are gone from this filing.

Positions of First Affirmative Financial Network sold out since Q3 2021
SecurityClassShares in Q3 2021Value in Q3 2021% of portfolio in Q3 2021History
iShares Tr46435G789IBONDS DEC202117,482$447.0K0.5%–
TAT&T Inc.Stock13,677$369.0K0.4%History
HRCHill-Rom Holdings, Inc.COM2,262$339.0K0.3%History
MMM3M CoStock1,871$328.0K0.3%History
KRKroger CoStock7,938$321.0K0.3%History
IBMInternational Business Machines CorpStock2,264$315.0K0.3%History
BACBank of America CorpStock5,387$229.0K0.2%History
GNRCGenerac Holdings Inc.Stock521$213.0K0.2%History