Stephen L. Censky
0trades
$2.7Mest. assets · Termination
No published trades on file.
Asset holdings
Termination · filed —All positions
96 positions| Asset | Owner | Value | Income |
|---|---|---|---|
| American Soybean Assocation 457(b) | Self | — | — |
| Vanguard Federal Money Market Fund Investor Shares | Self | Under $1K | — |
| Principal Blue Chip R4 Fund | Self | $50K – $100K | $1K – $2.5K |
| American Soybean Association defined benefit pension (value not readily ascertainable) | Self | — | Will receive $3,338 per month beginning at age 67. |
| The Hartford Annuities – Director Non- Qualified Variable Annuity | — | — | — |
| Hartford Total Return Bond Fund | — | $1K – $15K | — |
| Hartford Dividend and Growth HLS Fund | — | $1K – $15K | — |
| Hartford Global Growth Fund | — | $1K – $15K | — |
| Hartford Stock HLS Fund | — | $1K – $15K | — |
| Hartford Capital Appreciation Fund | — | $1K – $15K | — |
| Hartford International Opportunties Fund | — | $1K – $15K | — |
| Hartford Small Cap Growth Fund | — | $1K – $15K | — |
| Hartford Disciplined Equity Fund | — | $1K – $15K | — |
| IRA #1 | — | — | — |
| U.S. Brokerage Account (cash) | — | $15K – $50K | Interest |
| Griffin Cap Essential Asset REIT | — | $15K – $50K | $1K – $2.5K |
| Kite RLTY Group TR Com New REIT | — | $15K – $50K | $1K – $2.5K |
| CD #1 | — | $50K – $100K | Interest · $201 – $1K |
| CD #2 | — | $50K – $100K | Interest · $201 – $1K |
| CD #3 | — | $50K – $100K | Interest · $201 – $1K |
| CD #4 | — | $50K – $100K | Interest · $201 – $1K |
| IRA #2 | — | — | — |
| U.S. Brokerage Account (cash) | — | $1K – $15K | — |
| Europacific Growth Fund Class F2 - American Funds N/L AEPFX | — | $100K – $250K | $1K – $2.5K |
| Lazard Emerging Markets Equity Port Institutional SHS N/L LZEMX | — | Under $1K | — |
| MFS International Growth Fund Class I N/L MQGIX | — | $50K – $100K | $201 – $1K |
| Victory Trivalent Intl Small-cap Fund Class Y N/L MYSIX | — | $50K – $100K | $1K – $2.5K |
| Causeway International Value Fund CIVIX | — | $50K – $100K | $1K – $2.5K |
| Artisan International Fund Advisor Class N/L APDIX | — | $50K – $100K | $201 – $1K |
| Harding Loevner Emerg Markets Port Fund Advisor CL N/L HLEMX | — | $50K – $100K | $201 – $1K |
| Oakmark International Fund Investor Class N/L OAKIX | — | $50K – $100K | $1K – $2.5K |
| Wells Fargo International Value Fund Class I N/L WFVIX | — | $50K – $100K | $2.5K – $5K |
| GQG Partners Emerging Markets Equity Fund Inst Class N/L GQGIX | — | $15K – $50K | — |
| Baillie Gifford Emerging Markets Equities Inst CL N/L BGEGX | — | $15K – $50K | $1K – $2.5K |
| IRA (#3) | — | — | — |
| Indexiq ETF Trust IQ Hedge Multi- Strategy Tracker ETF QAI | — | $1K – $15K | — |
| Ishares TR Core S&P MCP ETF IJH | — | $1K – $15K | — |
| Ishares TR Core Msci Eafe IEFA | — | $1K – $15K | $201 – $1K |
| Ishares TR Core S&P SCP ETF IJR | — | $1K – $15K | — |
| Ishares Incorporated Core Msci Emkt IEMG | — | $1K – $15K | — |
| Vanguard Index Funds S&P 500 ETF SHS New VOO | — | $15K – $50K | $201 – $1K |
| U.S. Brokerage Account (cash) | — | $1K – $15K | — |
| Ishares TR Min Vol USA ETF USMV | — | $1K – $15K | — |
| SPDR S&P Divident ETF SDY | — | $1K – $15K | — |
| US Savings Bonds (Child #1) | — | $1K – $15K | — |
| US Savings Bonds (Child #2) | — | $1K – $15K | — |
| U.S. bank account #1 (checking) | — | $15K – $50K | — |
| U.S. bank account #2 (savings) | — | $1K – $15K | — |
| U.S. bank account #3 (cash) | — | $1K – $15K | Interest |
| U.S. bank account #1 (checking) for Child #2 | — | $1K – $15K | — |
| Investment Account #2 | — | — | — |
| U.S. Brokerage Account (cash) | — | $15K – $50K | — |
| Indexiq ETF Trust IQ Hedge Multi- Strategy Tracker ETF QAI | — | $50K – $100K | $1K – $2.5K |
| Ishares TR Rus 1000 Val ETF IWD | — | $50K – $100K | $1K – $2.5K |
| Ishares TR Rus 1000 GRW ETF IWF | — | $50K – $100K | $201 – $1K |
| Ishares TR Russell 2000 ETF IWM | — | $15K – $50K | $201 – $1K |
| Ishares TR Core Msci Eafe IEFA | — | $100K – $250K | $5K – $15K |
| Ishares Incorporated Core Msci Emkt IEMG | — | $50K – $100K | $1K – $2.5K |
| SPDR S&P Midcap 400 ETF Trust MDY | — | Under $1K | — |
| Ishares TR Min Vol USA ETF USMV | — | $15K – $50K | $201 – $1K |
| SPDR S&P Dividend ETF SDY | — | $15K – $50K | $201 – $1K |
| Hartford 4658 Hartford Frontier 2012 Indexed Universal Life Insurance Policy | — | $15K – $50K | — |
| Hartford 4658 Hartford Frontier 2012 Indexed Universal Life insurance Policy | — | $15K – $50K | — |
| U.S. Brokerage Account CASH | — | Under $1K | — |
| IRA #4 | — | — | — |
| Chiron Capital Allocation Fund Class I N/L CCAPX | — | $1K – $15K | — |
| Western Asset Macro Opportunities Fund Class I N/L LAOIX | — | $1K – $15K | $201 – $1K |
| Aqr Style Premia Alternative Fund Class I N/L QSPIX | — | $1K – $15K | $201 – $1K |
| Aqr Managed Futures Strategy Fund Class I N/L AQMIX | — | $1K – $15K | — |
| Blackrock Event Driven Equity Fund Inst Class N/L BILPX | — | $1K – $15K | — |
| Gateway Fund Class A M/F - Natixis Advisor GATEX | — | $1K – $15K | — |
| John Hancock Global Absolute Return Strategies FD CL I N/L JHAIX | — | Under $1K | — |
| Abbey Capital Futures Strategy Value Fund Class I N/L ABYIX | — | $1K – $15K | $201 – $1K |
| Boston Partners LONG/SHORT Research Fund Inst Class N/L BPIRX | — | $1K – $15K | — |
| Vanguard Market Neutral Fund Investor N/L VMNFX | — | Under $1K | — |
| William Blair Macro Allocation Fund Class I N/L (wmcix | — | $1K – $15K | — |
| U.S. Brokerage Account | — | Under $1K | — |
| U.S. Brokerage Account (cash) | — | Under $1K | — |
| IRA #5 | — | — | — |
| Clarkston Partners Fund Institutional Class N/L CISMX | — | Under $1K | — |
| Jpmorgan Mid Cap Value Fund Class L N/L FLMVX | — | Under $1K | — |
| Hartford Midcap Fund Class I N/L HFMIX | — | $15K – $50K | — |
| John Hancock Disciplined Value Fund Class I N/L JVLIX | — | $15K – $50K | $201 – $1K |
| Clearbridge Dividend Strategy Fund Class I N/L SOPYX | — | $15K – $50K | $201 – $1K |
| Loomis Sayles Growth Fund Class Y N/L - Natixis Advisor LSGRX | — | $15K – $50K | — |
| Meridian Growth Fund Investor Class N/L MRIGX | — | $15K – $50K | — |
| Parnassus Core Equity Fund Institutional Class N/L PRILX | — | $15K – $50K | $201 – $1K |
| T. Rowe Price Small Cap Value Fund Investor Class N/L PRSVX | — | $15K – $50K | — |
| Vanguard Index Funds S&P 500 ETF SHS New VOO | — | $50K – $100K | $1K – $2.5K |
| U.S. Brokerage Account (cash) | — | $1K – $15K | — |
| American Mutual Fund Class F2 AMRFX | — | $15K – $50K | $201 – $1K |
| Janus Henderson Forty Fund Class I N/L JCAPX | — | $15K – $50K | — |
| Nuance Mid Cap Value Fund Inst N/L NMVLX | — | $15K – $50K | $201 – $1K |
| Ishares TR Msci Min Vol ETF USMV | — | $15K – $50K | $201 – $1K |
| U.S. bank account #4 CD | — | $15K – $50K | $201 – $1K |
| Franklin 529 US Government Money Portfolio Class A M/M FMFPA | — | Under $1K | — |
Values and income are the ranges the filer discloses, normalized to one form. Hover a value for the string as filed. Rows marked *** carry that marker in the filing itself, with no legend: each one is a foreign-domiciled issuer or a Reg S note.