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Front Row Advisors LLC

SEC CIK
0001729254
Latest filing
Aug 13, 2026

Holdings changes from Q2 2021 to Q3 2021

Long positions only; new, added, reduced and sold out are based on share counts. Pick any two quarters this institution filed.

Choose two quarters to compare

New
10
Est. +$223.0K
Added
99
Est. +$1.00M
Reduced
81
Est. −$31.5M
Sold out
16
Est. −$288.0K

Portfolio value went from $243.7M to $236.9M (−$6.79M (−2.8%)); positions from 967 to 961 (−6).

All Q3 2021 holdingsAll Q2 2021 holdings

In the shares, value and % of portfolio columns, the top figure is Q3 2021 and the gray one below is Q2 2021. For stocks that split between the two quarters, Q2 2021 shares are converted at the split ratio before comparing.

Holdings of Front Row Advisors LLC in Q2 2021 and Q3 2021 compared
SecurityActionSharesShare changeValueEst. bought or sold% of portfolioWeight change (pp)
AAPLApple Inc.ReducedHistory177,504177,599−95−0.1%$25.1M$26.1M−$13.4K10.6%10.7%−0.09
MSFTMicrosoft CorpReducedHistory34,62134,818−197−0.6%$9.76M$10.3M−$55.5K4.1%4.2%−0.12
NVDANVIDIA CorpReducedConverted for a 4-for-1 splitHistory39,276158,224−118,948−75.2%$8.14M$7.83M−$24.6M3.4%3.2%+0.22
FTNTFortinet, Inc.AddedHistory20,09720,082+15+0.1%$5.87M$5.94M+$4.38K2.5%2.4%+0.04
TGTTarget CorpReducedHistory21,65121,746−95−0.4%$4.95M$5.34M−$21.7K2.1%2.2%−0.10
ASMLASML Holding NVAddedHistory6,4656,448+17+0.3%$4.82M$5.04M+$12.7K2.0%2.1%−0.03
DHRDanaher CorpAddedHistory12,97912,854+125+1.0%$3.95M$4.11M+$38.1K1.7%1.7%−0.02
TMOThermo Fisher Scientific Inc.AddedHistory6,3066,262+44+0.7%$3.60M$3.46M+$25.2K1.5%1.4%+0.10
SNPSSynopsys IncReducedHistory11,88111,907−26−0.2%$3.56M$3.76M−$7.78K1.5%1.5%−0.04
TSMTaiwan Semiconductor Manufacturing Co LtdReducedHistory31,34331,372−29−0.1%$3.52M$3.47M−$3.25K1.5%1.4%+0.06
COSTCostco Wholesale CorpAddedHistory7,3277,277+50+0.7%$3.29M$3.31M+$22.5K1.4%1.4%+0.03
AVGOBroadcom Inc.ReducedHistory6,7196,720−10.0%$3.26M$3.18M−$484.891.4%1.3%+0.07
BLKBlackRock, Inc.ReducedHistory3,8783,880−2−0.1%$3.25M$3.51M−$1.68K1.4%1.4%−0.07
MDTMedtronic plcReducedHistory25,11325,223−110−0.4%$3.16M$3.25M−$13.9K1.3%1.3%0.00
VVisa Inc.AddedHistory13,94413,750+194+1.4%$3.11M$3.18M+$43.2K1.3%1.3%0.00
ABBVAbbVie Inc.ReducedHistory27,85827,901−43−0.2%$3.00M$3.29M−$4.64K1.3%1.3%−0.08
AMZNAmazon Com IncAddedHistory869858+11+1.3%$2.85M$2.73M+$36.1K1.2%1.1%+0.08
IDXXIDEXX Laboratories IncAddedHistory4,5764,541+35+0.8%$2.85M$3.10M+$21.8K1.2%1.3%−0.07
PFEPfizer IncAddedHistory65,84665,760+86+0.1%$2.83M$3.21M+$3.70K1.2%1.3%−0.12
EQIXEquinix IncReducedHistory3,5693,571−2−0.1%$2.82M$2.98M−$1.58K1.2%1.2%−0.03
KEYSKeysight Technologies, Inc.AddedHistory16,94716,937+10+0.1%$2.78M$2.82M+$1.64K1.2%1.2%+0.02
ABBNYABB LtdAddedHistory82,54082,520+200.0%$2.75M$3.09M+$667.311.2%1.3%−0.11
INTCIntel CorpReducedHistory51,47351,593−120−0.2%$2.74M$2.71M−$6.39K1.2%1.1%+0.05
ROKRockwell Automation, IncAddedHistory8,6018,586+15+0.2%$2.53M$2.70M+$4.41K1.1%1.1%−0.04
TJXTJX Companies IncReducedHistory36,63636,651−150.0%$2.42M$2.70M−$989.61.0%1.1%−0.09
CCICrown Castle Inc.ReducedHistory13,58013,635−55−0.4%$2.35M$2.70M−$9.53K1.0%1.1%−0.11
AZTAAzenta, Inc.AddedHistory22,75522,685+70+0.3%$2.33M$1.78M+$7.16K1.0%0.7%+0.25
Schwab U.S. Large-Cap ETF808524201Reduced–21,47521,524−49−0.2%$2.23M$2.29M−$5.10K0.9%0.9%0.00
Atlantica Sustainable Infr PG0751N103Added–64,56063,100+1,460+2.3%$2.23M$2.39M+$50.4K0.9%1.0%−0.04
SFMSprouts Farmers Market, Inc.AddedHistory95,53594,485+1,050+1.1%$2.21M$2.32M+$24.3K0.9%1.0%−0.02
ISRGIntuitive Surgical IncAddedHistory2,2032,177+26+1.2%$2.19M$2.30M+$25.8K0.9%0.9%−0.02
DLRDigital Realty Trust, Inc.ReducedHistory14,80914,912−103−0.7%$2.14M$2.43M−$14.9K0.9%1.0%−0.09
Mitsubishi Elec Corp ADR606776201Added–75,70375,480+223+0.3%$2.11M$2.00M+$6.22K0.9%0.8%+0.07
MUMicron Technology IncReducedHistory29,67829,847−169−0.6%$2.11M$2.10M−$12.0K0.9%0.9%+0.03
IBMInternational Business Machines CorpAddedHistory15,15615,066+90+0.6%$2.11M$2.08M+$12.5K0.9%0.9%+0.04
VZVerizon Communications IncReducedHistory38,43138,481−50−0.1%$2.08M$2.13M−$2.70K0.9%0.9%0.00
AMGNAmgen IncReducedHistory9,4239,498−75−0.8%$2.00M$2.13M−$16.0K0.8%0.9%−0.03
CRSPCRISPR Therapeutics AGAddedHistory17,76617,541+225+1.3%$1.99M$2.05M+$25.2K0.8%0.8%0.00
MEDPMedpace Holdings, Inc.AddedHistory10,40010,250+150+1.5%$1.97M$1.81M+$28.4K0.8%0.7%+0.09
ADIAnalog Devices IncReducedHistory11,57011,755−185−1.6%$1.94M$1.96M−$31.0K0.8%0.8%+0.01
DISWalt Disney CoAddedHistory11,08610,791+295+2.7%$1.88M$1.87M+$49.9K0.8%0.8%+0.02
SPYSPDR S&P 500 ETF TrustAddedHistory4,2654,260+5+0.1%$1.84M$1.87M+$2.15K0.8%0.8%+0.01
WMTWalmart Inc.AddedHistory13,14913,144+50.0%$1.83M$1.97M+$697.010.8%0.8%−0.04
Siemens A G Sponsored ADR826197501Reduced–22,12722,162−35−0.2%$1.82M$1.80M−$2.88K0.8%0.7%+0.03
MRSHMarsh & McLennan Companies, Inc.UnchangedHistory11,97611,97600.0%$1.81M$1.84M$00.8%0.8%+0.01
GLWCorning IncAddedHistory48,84548,820+25+0.1%$1.78M$2.00M+$912.070.8%0.8%−0.07
ITWIllinois Tool Works IncReducedHistory8,3619,280−919−9.9%$1.74M$2.14M−$191.0K0.7%0.9%−0.14
LOWLowes Companies IncUnchangedHistory8,4418,44100.0%$1.71M$1.71M$00.7%0.7%+0.02
CMECME Group Inc.AddedHistory8,5678,542+25+0.3%$1.66M$1.69M+$4.84K0.7%0.7%+0.01
JNJJohnson & JohnsonUnchangedHistory10,16110,16100.0%$1.64M$1.81M$00.7%0.7%−0.05
SAPSAP SEAddedHistory11,71511,535+180+1.6%$1.58M$1.70M+$24.3K0.7%0.7%−0.03
PNCPNC Financial Services Group, Inc.UnchangedHistory7,8697,86900.0%$1.54M$1.45M$00.6%0.6%+0.05
RIORio Tinto PLCReducedHistory22,68923,339−650−2.8%$1.52M$1.69M−$43.4K0.6%0.7%−0.05
JPMJPMorgan Chase & CoAddedHistory9,2239,203+20+0.2%$1.51M$1.42M+$3.27K0.6%0.6%+0.05
MKSIMKS IncAddedHistory9,6359,618+17+0.2%$1.45M$1.35M+$2.57K0.6%0.6%+0.06
CHDChurch & Dwight Co IncReducedHistory17,50417,594−90−0.5%$1.45M$1.52M−$7.43K0.6%0.6%−0.01
KOCoca Cola CoUnchangedHistory27,16027,16000.0%$1.44M$1.54M$00.6%0.6%−0.03
iShares Tr464287291ReducedConverted for a 6-for-1 split–21,426128,556−107,130−83.3%$1.21M$1.24M−$6.07M0.5%0.5%0.00
Invesco QQQ Trust Series I46090E103Unchanged–3,0913,09100.0%$1.11M$1.13M$00.5%0.5%+0.01
TNCTennant CoAddedHistory14,88214,822+60+0.4%$1.10M$1.05M+$4.44K0.5%0.4%+0.03
iShares S&P Mid-Cap 400 Growth ETF464287606Unchanged–13,83613,83600.0%$1.10M$1.10M$00.5%0.5%+0.01
TAT&T Inc.UnchangedHistory39,76239,76200.0%$1.07M$1.09M$00.5%0.4%0.00
NKENIKE, Inc.ReducedHistory7,0537,057−4−0.1%$1.03M$1.17M−$581.880.4%0.5%−0.05
CVXChevron CorpUnchangedHistory9,5319,53100.0%$967.0K$899.0K$00.4%0.4%+0.04
AGOAssured Guaranty LtdUnchangedHistory18,00618,00600.0%$843.0K$876.0K$00.4%0.4%0.00
MCDMcDonalds CorpUnchangedHistory3,4833,48300.0%$840.0K$826.0K$00.4%0.3%+0.02
Vanguard Dividend Appreciation ETF921908844Unchanged–5,4605,46000.0%$839.0K$879.0K$00.4%0.4%−0.01
BRK.ABerkshire Hathaway IncUnchangedHistory2200.0%$823.0K$858.0K$00.3%0.4%0.00
iShares S&P 500 Growth ETF464287309Unchanged–10,52810,52800.0%$778.0K$799.0K$00.3%0.3%0.00
Schwab US Dividend Equity ETF808524797Added–10,46310,462+10.0%$777.0K$800.0K+$74.260.3%0.3%0.00
PGProcter & Gamble CoReducedHistory5,4125,442−30−0.6%$757.0K$789.0K−$4.20K0.3%0.3%0.00
XOMExxonMobil Holdings CorpAddedHistory12,72712,725+20.0%$749.0K$671.0K+$117.70.3%0.3%+0.04
CMCSAComcast CorpReducedHistory12,99113,001−10−0.1%$727.0K$767.0K−$559.620.3%0.3%−0.01
Schwab International Equity ETF808524805Unchanged–18,34818,34800.0%$710.0K$720.0K$00.3%0.3%0.00
iShares S&P Small-Cap 600 Growth ETF464287887Unchanged–5,3495,34900.0%$696.0K$686.0K$00.3%0.3%+0.01
DDominion Energy, IncReducedHistory9,2709,419−149−1.6%$677.0K$745.0K−$10.9K0.3%0.3%−0.02
MMM3M CoAddedHistory3,8313,782+49+1.3%$672.0K$739.0K+$8.60K0.3%0.3%−0.02
SPDR Series Trust78468R101Unchanged–20,95020,95000.0%$642.0K$642.0K$00.3%0.3%+0.01
iShares Russell 1000 Value ETF464287598Unchanged–3,9733,97300.0%$622.0K$636.0K$00.3%0.3%0.00
iShares Core S&P 500 ETF464287200Unchanged–1,4411,44100.0%$621.0K$637.0K$00.3%0.3%0.00
DUKDuke Energy CORPUnchangedHistory6,3266,32600.0%$617.0K$676.0K$00.3%0.3%−0.02
Schwab U.S. Mid-Cap ETF808524508Unchanged–7,5727,57200.0%$580.0K$581.0K$00.2%0.2%+0.01
iShares Tr46435G425Added–5,8765,848+28+0.5%$579.0K$590.0K+$2.76K0.2%0.2%0.00
Vanguard Ftse Emerging Markets ETF922042858Unchanged–11,38211,38200.0%$569.0K$562.0K$00.2%0.2%+0.01
GOOGLAlphabet Inc.UnchangedHistory20720700.0%$553.0K$562.0K$00.2%0.2%0.00
Vanguard Morningstar Small-Cap ETF922908751Unchanged–2,3982,39800.0%$524.0K$516.0K$00.2%0.2%+0.01
XELXcel Energy IncUnchangedHistory7,7227,72200.0%$486.0K$541.0K$00.2%0.2%−0.02
Schwab U.S. Large-Cap Growth ETF808524300Unchanged–3,1563,15600.0%$467.0K$475.0K$00.2%0.2%0.00
HDHome Depot, Inc.UnchangedHistory1,3391,33900.0%$440.0K$432.0K$00.2%0.2%+0.01
Vanguard Total Bond Market ETF921937835Unchanged–4,8854,88500.0%$417.0K$423.0K$00.2%0.2%0.00
Vanguard Information Technology ETF92204A702Unchanged–1,0011,00100.0%$403.0K$411.0K$00.2%0.2%0.00
Kraneshares Tr500767736Added–14,35114,308+43+0.3%$400.0K$397.0K+$1.20K0.2%0.2%+0.01
iShares Iboxx $ Investment Grade Corporate Bond ETF464287242Unchanged–2,9882,98800.0%$397.0K$404.0K$00.2%0.2%0.00
SPDR Series Trust78464A607Unchanged–3,6583,65800.0%$386.0K$400.0K$00.2%0.2%0.00
Vanguard Ftse Developed Markets ETF921943858Unchanged–7,4877,48700.0%$378.0K$384.0K$00.2%0.2%0.00
Schwab U.S. Small-Cap ETF808524607Unchanged–3,7733,77300.0%$378.0K$368.0K$00.2%0.2%+0.01
PYPLPayPal Holdings, Inc.ReducedHistory1,3411,345−4−0.3%$349.0K$364.0K−$1.04K0.1%0.1%0.00
Vanguard World FD921910873Unchanged–2,2102,21000.0%$338.0K$346.0K$00.1%0.1%0.00
iShares Tr464287325Unchanged–3,9103,91000.0%$327.0K$346.0K$00.1%0.1%0.00
LLYEli Lilly & CoUnchangedHistory1,3991,39900.0%$323.0K$378.0K$00.1%0.2%−0.02

Estimated amounts multiply the change in shares by the quarter-end price implied by the filing (market value divided by shares): new positions use this quarter's value and sold-out positions last quarter's; positions reported only as principal (PRN) cannot be estimated. 13F shows only quarter-end holdings, not when trades happened or at what price.