The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F INFORMATION TABLE

OMB APPROVAL
OMB Number: 3235-0006
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COLUMN 1 COLUMN 2 COLUMN 3 COLUMN 4 COLUMN 5 COLUMN 6 COLUMN 7 COLUMN 8
VALUE SHRS OR SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY
NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DISCRETION MANAGER SOLE SHARED NONE
ALPS Alerian MLP ETF COM 00162Q452 132 5,350 SH   SOLE   5,350 0 0
AT&T Inc COM 00206R102 4 128 SH   SOLE   128 0 0
Abbott Laboratories COM 002824100 48 528 SH   SOLE   528 0 0
Abbvie Inc Com COM 00287Y109 4 42 SH   SOLE   42 0 0
Alliant Energy Corp COM 018802108 21 440 SH   SOLE   440 0 0
Alphabet Inc COM 02079K107 310 219 SH   SOLE   219 0 0
Alphabet Inc. Stock Class A COM 02079K305 1,756 1,238 SH   SOLE   1,238 0 0
Amazon.com Inc COM 023135106 295 107 SH   SOLE   107 0 0
American Express Co COM 025816109 28 291 SH   SOLE   291 0 0
American International Group Inc Warrant Exp 01/19/2021 COM 026874156 0 186 SH   SOLE   186 0 0
American International Group Inc COM 026874784 2 50 SH   SOLE   50 0 0
Amgen Inc COM 031162100 364 1,543 SH   SOLE   1,543 0 0
Anthem Inc COM 036752103 3 13 SH   SOLE   13 0 0
Apple Inc COM 037833100 3,578 9,809 SH   SOLE   9,809 0 0
Athersys Inc Common COM 04744L106 17 6,265 SH   SOLE   6,265 0 0
AvalonBay Communities Inc COM 053484101 2 12 SH   SOLE   12 0 0
BP PLC Spons ADR COM 055622104 33 1,400 SH   SOLE   1,400 0 0
Baidu Inc ADR COM 056752108 8 66 SH   SOLE   66 0 0
Bank Of America Corp COM 060505104 71 3,000 SH   SOLE   3,000 0 0
Barclays BK PLC COM 06742C723 11,104 1,023,443 SH   SOLE   1,023,443 0 0
Becton Dickinson & Co COM 075887109 368 1,539 SH   SOLE   1,539 0 0
Berkshire Hathaway Inc Cl A COM 084670108 267 1 SH   SOLE   1 0 0
Berkshire Hathaway Inc B COM 084670702 6,809 38,143 SH   SOLE   38,143 0 0
Biogen Idec Inc COM 09062X103 2,019 7,547 SH   SOLE   7,547 0 0
Blackrock Inc COM 09247X101 26 48 SH   SOLE   48 0 0
Blackstone Group Inc COM 09260D107 134 2,360 SH   SOLE   2,360 0 0
Boeing Company COM 097023105 51 279 SH   SOLE   279 0 0
Brighthouse Financial Inc COM 10922N103 5 184 SH   SOLE   184 0 0
Bristol-Myers Squibb Co COM 110122108 40 682 SH   SOLE   682 0 0
Bristol-Myers Squibb Co Contingent Value RT COM 110122157 0 89 SH   SOLE   89 0 0
C.H. Robinson Worldwide Inc COM 12541W209 2,751 34,801 SH   SOLE   34,801 0 0
CME Group Inc COM 12572Q105 2 13 SH   SOLE   13 0 0
Centurylink Inc COM 156700106 5 474 SH   SOLE   474 0 0
Chevron Corp COM 166764100 108 1,207 SH   SOLE   1,207 0 0
Cisco Systems Inc COM 17275R102 2,426 52,011 SH   SOLE   52,011 0 0
Citigroup Inc COM 172967424 38 750 SH   SOLE   750 0 0
Coca Cola Co COM 191216100 455 10,185 SH   SOLE   10,185 0 0
Cognizant Technology Solutions Corp Class A COM 192446102 1,590 27,978 SH   SOLE   27,978 0 0
Colgate-Palmolive Co COM 194162103 52 707 SH   SOLE   707 0 0
Comcast Corp Class A COM 20030N101 4 101 SH   SOLE   101 0 0
Costco Wholesale Corp COM 22160K105 71 233 SH   SOLE   233 0 0
Cyrusone Inc. Com COM 23283R100 3 38 SH   SOLE   38 0 0
Delta Airlines Inc COM 247361702 56 2,000 SH   SOLE   2,000 0 0
Deutsche Bk Ag Ldn Brh Powershares Gold Double Long Etn COM 25154H749 1,264 30,000 SH   SOLE   30,000 0 0
Disney Walt Co COM 254687106 3,042 27,281 SH   SOLE   27,281 0 0
Dish Network Corp Class A COM 25470M109 138 4,000 SH   SOLE   4,000 0 0
Duke Energy Corp COM 26441C204 27 332 SH   SOLE   332 0 0
EPR Properties REIT COM 26884U109 7 215 SH   SOLE   215 0 0
Ecolab Inc COM 278865100 39 195 SH   SOLE   195 0 0
Element Solutions Inc COM 28618M106 9 820 SH   SOLE   820 0 0
Expeditors International Washington Inc. COM 302130109 945 12,428 SH   SOLE   12,428 0 0
Extended Stay America Inc COM 30224P200 69 6,195 SH   SOLE   6,195 0 0
Exxon Mobil Corp COM 30231G102 234 5,238 SH   SOLE   5,238 0 0
FS KKR Capital COM 302635206 14 1,000 SH   SOLE   1,000 0 0
Facebook Inc Class A COM 30303M102 486 2,142 SH   SOLE   2,142 0 0
Fidelity National Information Services Inc COM 31620M106 5 39 SH   SOLE   39 0 0
Fifth Third Bancorp COM 316773100 74 3,825 SH   SOLE   3,825 0 0
First Trust Morningstar Dividend Leaders ETF COM 336917109 93 3,670 SH   SOLE   3,670 0 0
First Trust Value Line Dividend Index COM 33734H106 114 3,760 SH   SOLE   3,760 0 0
Franklin Square KKR Capital Corp. II Com COM 35952V303 63 4,874 SH   SOLE   4,874 0 0
Arthur J Gallagher & Co COM 363576109 203 2,084 SH   SOLE   2,084 0 0
General Dynamics Corp COM 369550108 1,272 8,508 SH   SOLE   8,508 0 0
Global Payments Inc COM 37940X102 47 278 SH   SOLE   278 0 0
Global X MLP & Energy Infrastructure COM 37954Y293 17,496 703,224 SH   SOLE   703,224 0 0
HCA Healthcare Inc COM 40412C101 195 2,010 SH   SOLE   2,010 0 0
Honeywell International Inc COM 438516106 3 19 SH   SOLE   19 0 0
Illinois Tool Works COM 452308109 65 369 SH   SOLE   369 0 0
International Flavors & Fragrances COM 459506101 839 6,854 SH   SOLE   6,854 0 0
Invesco Dividend Achievers ETF COM 46137V506 118 4,180 SH   SOLE   4,180 0 0
iShares Emerging Markets Dividend ETF COM 464286319 5,482 175,019 SH   SOLE   175,019 0 0
iShares Select Dividend ETF COM 464287168 93 1,155 SH   SOLE   1,155 0 0
iShares S&P 500 Growth ETF COM 464287309 104 500 SH   SOLE   500 0 0
iShares S&P 500 Value ETF COM 464287408 1,632 15,082 SH   SOLE   15,082 0 0
iShares Core S&P MidCap COM 464287507 39 220 SH   SOLE   220 0 0
iShares Russell 1000 Growth COM 464287614 424 2,211 SH   SOLE   2,211 0 0
Ishares Russell 2000 ETF COM 464287655 212 1,481 SH   SOLE   1,481 0 0
iShares MSCI ACWI Index ETF COM 464288257 1,970 26,723 SH   SOLE   26,723 0 0
iShares Core MSCI Total Intl Stock Mkt ETF COM 46432F834 841 15,432 SH   SOLE   15,432 0 0
iShares MSCI Japan ETF COM 46434G822 6 101 SH   SOLE   101 0 0
iShares Currency Hedge MSCI EAFE ETF COM 46434V803 67 2,432 SH   SOLE   2,432 0 0
iShares MSCI United Kingdom ETF COM 46435G334 71 2,741 SH   SOLE   2,741 0 0
JP Morgan Chase & Co COM 46625H100 41 433 SH   SOLE   433 0 0
JP Morgan Chase & Co Alerian MLP Index ETN COM 46625H365 11,428 865,775 SH   SOLE   865,775 0 0
Johnson & Johnson COM 478160104 1,393 9,905 SH   SOLE   9,905 0 0
Kroger Co COM 501044101 76 2,235 SH   SOLE   2,235 0 0
Lockheed Martin Corp COM 539830109 5 13 SH   SOLE   13 0 0
Lowes Companies Inc COM 548661107 6 43 SH   SOLE   43 0 0
M&T Bank Corp COM 55261F104 48 462 SH   SOLE   462 0 0
MGM Resorts International COM 552953101 97 5,787 SH   SOLE   5,787 0 0
Marsh & Mclennan Companies Inc COM 571748102 3 30 SH   SOLE   30 0 0
Medical Properties Trust Inc COM 58463J304 146 7,763 SH   SOLE   7,763 0 0
Merck & Co Inc COM 58933Y105 52 673 SH   SOLE   673 0 0
Microsoft Corp COM 594918104 2,909 14,294 SH   SOLE   14,294 0 0
Mondelez Intl Inc Com Cl A COM 609207105 195 3,812 SH   SOLE   3,812 0 0
Mr. Cooper Group Inc COM 62482R107 0 29 SH   SOLE   29 0 0
Nextera Energy Inc COM 65339F101 45 186 SH   SOLE   186 0 0
Nike Inc Cl B COM 654106103 1,749 17,835 SH   SOLE   17,835 0 0
Novo Nordisk A/S Spons Adr COM 670100205 2,294 35,026 SH   SOLE   35,026 0 0
Oracle Corp COM 68389X105 2,740 49,572 SH   SOLE   49,572 0 0
PNC Financial Services Group Inc COM 693475105 3 25 SH   SOLE   25 0 0
Packaging Corp of America COM 695156109 3 29 SH   SOLE   29 0 0
Paypal Holdings Inc COM 70450Y103 348 2,000 SH   SOLE   2,000 0 0
Pepsico Inc COM 713448108 1,657 12,525 SH   SOLE   12,525 0 0
Philip Morris International Inc COM 718172109 3 48 SH   SOLE   48 0 0
Phillips 66 COM 718546104 3 39 SH   SOLE   39 0 0
Procter & Gamble Co COM 742718109 1,479 12,370 SH   SOLE   12,370 0 0
ProShares Russell 2000 Dividend Growers ETF COM 74347B698 4,725 97,466 SH   SOLE   97,466 0 0
Prudential Financial Inc COM 744320102 11 185 SH   SOLE   185 0 0
Qualcomm Inc COM 747525103 149 1,633 SH   SOLE   1,633 0 0
Raytheon Technologies Corp COM 75513E101 2,356 38,236 SH   SOLE   38,236 0 0
Regions Financial Corp COM 7591EP100 81 7,244 SH   SOLE   7,244 0 0
Republic Services Inc COM 760759100 25 300 SH   SOLE   300 0 0
SPDR S&P 500 ETF COM 78462F103 1,729 5,608 SH   SOLE   5,608 0 0
SPDR Gold Trust COM 78463V107 648 3,874 SH   SOLE   3,874 0 0
SPDR Euro Stoxx 50 COM 78463X202 195 5,495 SH   SOLE   5,495 0 0
SPDR Bloomberg Barclays Short Term Corp Bond ETF COM 78464A474 121 3,853 SH   SOLE   3,853 0 0
SPDR S&P Midcap 400 COM 78467Y107 196 605 SH   SOLE   605 0 0
SPDR S&P Oil & Gas Equipment & Services COM 78468R549 1 28 SH   SOLE   28 0 0
Salesforce.com Inc. COM 79466L302 158 844 SH   SOLE   844 0 0
The Charles Schwab Corporation COM 808513105 2 71 SH   SOLE   71 0 0
Schwab Emerging Markets Equity ETF COM 808524706 165 6,784 SH   SOLE   6,784 0 0
Servisfirst Bancshares COM 81768T108 125 3,509 SH   SOLE   3,509 0 0
Snap Inc COM 83304A106 12 500 SH   SOLE   500 0 0
South State Corp COM 840441109 2,464 51,707 SH   SOLE   51,707 0 0
Starbucks Corp COM 855244109 1,520 20,653 SH   SOLE   20,653 0 0
Synovus Financial Corp Com COM 87161C501 21 1,002 SH   SOLE   1,002 0 0
Sysco Corp COM 871829107 67 1,226 SH   SOLE   1,226 0 0
Texas Instruments Inc COM 882508104 4 33 SH   SOLE   33 0 0
Texas Pacific Land Trust COM 882610108 20 34 SH   SOLE   34 0 0
3M Co COM 88579Y101 1,525 9,779 SH   SOLE   9,779 0 0
Under Armour Inc Class A Shs COM 904311107 3 281 SH   SOLE   281 0 0
Under Armour COM 904311206 2 282 SH   SOLE   282 0 0
Unilever Plc Sponsored ADR COM 904767704 825 15,037 SH   SOLE   15,037 0 0
Union Pacific Corp COM 907818108 4 23 SH   SOLE   23 0 0
United Community Banks Inc Blairsville Ga COM 90984P303 1 39 SH   SOLE   39 0 0
United Parcel Service Cl B COM 911312106 38 344 SH   SOLE   344 0 0
UnitedHealth Group Inc COM 91324P102 6 19 SH   SOLE   19 0 0
Vanguard Dividend Appreciation ETF COM 921908844 20,405 174,134 SH   SOLE   174,134 0 0
Vanguard S&P 500 Value ETF COM 921932703 3,591 34,361 SH   SOLE   34,361 0 0
Vanguard Short-Term Bond Fund ETF COM 921937827 678 8,159 SH   SOLE   8,159 0 0
Vanguard Total Bond Market ETF COM 921937835 894 10,123 SH   SOLE   10,123 0 0
Vanguard High Dividend Yield Index ETF COM 921946406 22,428 284,696 SH   SOLE   284,696 0 0
Vanguard International High Dividend Yield Index ETF COM 921946794 885 17,280 SH   SOLE   17,280 0 0
Vanguard Total World Stock Index ETF COM 922042742 1,292 17,276 SH   SOLE   17,276 0 0
Vanguard FTSE All-World Ex-US ETF COM 922042775 58 1,224 SH   SOLE   1,224 0 0
Vanguard Short-Term Corp Bond Index ETF COM 92206C409 665 8,050 SH   SOLE   8,050 0 0
Varian Medical Systems Inc COM 92220P105 444 3,623 SH   SOLE   3,623 0 0
Vanguard Municipal Bond Fund ETF COM 922907746 181 3,348 SH   SOLE   3,348 0 0
Vanguard S&P 500 ETF COM 922908363 1,817 6,409 SH   SOLE   6,409 0 0
Vanguard Mid-Cap ETF COM 922908629 290 1,771 SH   SOLE   1,771 0 0
Vanguard Total Stock Market (ETF) COM 922908769 2,753 17,588 SH   SOLE   17,588 0 0
Visa Inc Class A Shares COM 92826C839 716 3,707 SH   SOLE   3,707 0 0
WEC Energy Group COM 92939U106 4 43 SH   SOLE   43 0 0
Wal-Mart Stores Inc COM 931142103 1,212 10,117 SH   SOLE   10,117 0 0
Waste Management Inc COM 94106L109 35 331 SH   SOLE   331 0 0
Wells Fargo & Company COM 949746101 88 3,420 SH   SOLE   3,420 0 0
WisdomTree Europe Hedged Equity ETF COM 97717X701 58 962 SH   SOLE   962 0 0
Xilinx Inc COM 983919101 39 393 SH   SOLE   393 0 0
Yum China Holdings Inc COM 98850P109 240 5,000 SH   SOLE   5,000 0 0
Accenture Plc COM G1151C101 838 3,903 SH   SOLE   3,903 0 0
Enstar Group Ltd. COM G3075P101 50 326 SH   SOLE   326 0 0
Linde PLC COM G5494J103 4 19 SH   SOLE   19 0 0
Medtronic PLC COM G5960L103 1,539 16,784 SH   SOLE   16,784 0 0
Trane Technologies PLC COM G8994E103 3 30 SH   SOLE   30 0 0
Alcon Inc Ord COM H01301128 56 982 SH   SOLE   982 0 0
Chubb Limited COM H1467J104 3 21 SH   SOLE   21 0 0