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.

OMB APPROVAL

UNITED STATES SECURITIES AND EXCHANGE COMMISSION

OMB Number:

3235-

Washington, D.C. 20549

0006

FORM 13F

Expires:

Oct 31,

2018

FORM 13F COVER PAGE

Estimated average burden

hours per

23.8

response:

Report for the Calendar Year or Quarter Ended: 09-30-2020

Check here if AmendmentAmendment Number: This Amendment (Check only one.): is a restatement.

adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:

StoneX Group Inc.

Address:

155 East 44th Street

Suite 900

New York, NY 10017

Form 13F File

028-17573

Number:

The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:

John Calvano

Title:

CCO, SA Stone Investment Advisors Inc.

Phone:

205-414-3367

Signature, Place, and Date of Signing:

John Calvano

Birmingham, AL

11-12-2020

[Signature]

[City, State]

[Date]

Report Type (Check only one.):

X 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager are reported in this report.)

13F NOTICE. (Check here if no holdings reported are in this report, and all holdings are reported by other reporting manager(s).)

13F COMBINATION REPORT. (Check here if a portion of the holdings for this reporting manager are reported in this report and a portion are reported by other reporting manager(s).)

Form 13F Summary Page

Report Summary:

Number of Other Included Managers:

1

Form 13F

Information Table Entry Total:

0

Form 13F

Information Table Value Total:

0

(thousands)

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all institutional investment managers with respect to which this report is filed, other than the manager filing this report.

[If there are no entries in this list, state "NONE" and omit the column headings and list entries.]

No.

Form 13F File

Name

Number

  • 028-17766SA Stone Investment Advisors Inc.

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.

OMB APPROVAL

UNITED STATES SECURITIES AND EXCHANGE COMMISSION

OMB Number:

3235-

Washington, D.C. 20549

0006

FORM 13F

Expires:

Oct 31,

2018

FORM 13F INFORMATION TABLE

Estimated average burden

hours per

23.8

response:

COLUMN 1

COLUMN 2

COLUMN 3 COLUMN COLUMN 5

COLUMN 6

COLUMN

COLUMN 8

4

7

VALUE

NAME OF ISSUER

TITLE OF

CUSIP

(x$1000)

CLASS

SHRS

SH/ PUT/ INVESTMENT OTHER

VOTING AUTHORITY

OR

PRN

PRN CALL DISCRETION MANAGER SOLE SHARED NONE

AMT

ZOOM VIDEO

CL A

98980L101

1,691

COMMUNICATIONS IN

WELLS FARGO CO

PERP PFD CNV

949746804

953

NEW

A

WELLS FARGO CO

COM

949746101

399

NEW

WASTE MGMT INC DEL COM

94106L109

203

WALMART INC

COM

931142103

1,943

VISA INC

COM CL A

92826C839

645

VIRGIN GALACTIC

COM

92766K106

212

HOLDINGS INC

VICTORY PORTFOLIOS

VCSHS INTL

92647N881

415

II

HG DV

VICTORY PORTFOLIOS

VCSHS US EQ

92647N824

949

II

INCM

VICTORY PORTFOLIOS

VCSHS US

92647N873

351

II

SMCP HG

VICTORY PORTFOLIOS

VCSHS US LRG

92647N865

498

II

CAP

VERIZON

COMMUNICATIONS

COM

92343V104

1,293

INC

3,596

SH

DFND

1

0

0

3,596

710

SH

DFND

1

0

0

710

16,983

SH

DFND

1

0

0

16,983

1,790

SH

DFND

1

0

0

1,790

13,884

SH

DFND

1

0

0

13,884

3,226

SH

DFND

1

0

0

3,226

11,006

SH

DFND

1

0

0

11,006

16,072

SH

DFND

1

0

0

16,072

20,026

SH

DFND

1

0

0

20,026

9,305

SH

DFND

1

0

0

9,305

12,306

SH

DFND

1

0

0

12,306

21,742

SH

DFND

1

0

0

21,742

VANGUARD WORLD FDS

VANGUARD WORLD FDS

VANGUARD WORLD FDS

VANGUARD WORLD FD

VANGUARD WORLD FD

VANGUARD WHITEHALL FDS

VANGUARD WHITEHALL FDS

VANGUARD TAX- MANAGED INTL FD

INF TECH ETF

92204A702

595

HEALTH CAR

92204A504

208

ETF

CONSUM STP

92204A207

311

ETF

MEGA GRWTH

921910816

606

IND

MEGA CAP

921910873

2,009

INDEX

HIGH DIV YLD

921946406

5,575

INTL HIGH ETF

921946794

2,590

FTSE DEV MKT

921943858

408

ETF

1,910

SH

DFND

1

0

0

1,910

1,022

SH

DFND

1

0

0

1,022

1,906

SH

DFND

1

0

0

1,906

3,267

SH

DFND

1

0

0

3,267

16,757

SH

DFND

1

0

0

16,757

68,886

SH

DFND

1

0

0

68,886

49,742

SH

DFND

1

0

0

49,742

9,974

SH

DFND

1

0

0

9,974

VANGUARD STAR FDS

VG TL INTL

921909768

515

STK F

VANGUARD

DIV APP ETF 921908844

3,717

SPECIALIZED FUNDS

VANGUARD

VNG

92206C664

671

SCOTTSDALE FDS

RUS2000IDX

VANGUARD

INT-TERM

92206C870

699

SCOTTSDALE FDS

CORP

VANGUARD

SHRT TRM

92206C409

470

SCOTTSDALE FDS

CORP BD

9,867

SH

DFND

1

0

0

9,867

28,766

SH

DFND

1

0

0

28,766

5,545

SH

DFND

1

0

0

5,545

7,296

SH

DFND

1

0

0

7,296

5,674

SH

DFND

1

0

0

5,674

VANGUARD MUN BD

TAX EXEMPT

922907746

848

FDS

BD

VANGUARD INTL

FTSE PACIFIC

922042866

226

EQUITY INDEX F

ETF

VANGUARD INTL

FTSE EMR MKT

922042858

424

EQUITY INDEX F

ETF

VANGUARD INTL

ALLWRLD EX

922042775

1,279

EQUITY INDEX F

US

VANGUARD INTL

FTSE EUROPE

922042874

240

EQUITY INDEX F

ETF

VANGUARD INDEX

MID CAP ETF

922908629

2,259

FDS

VANGUARD INDEX

LARGE CAP

922908637

214

FDS

ETF

VANGUARD INDEX

VALUE ETF

922908744

946

FDS

VANGUARD INDEX

S&P 500 ETF

922908363

12,646

FDS

SHS

VANGUARD INDEX

MCAP GR

922908538

233

FDS

IDXVIP

VANGUARD INDEX

TOTAL STK

922908769

3,452

FDS

MKT

VANGUARD INDEX

GROWTH ETF

922908736

4,707

FDS

VANGUARD INDEX

SMALL CP ETF

922908751

4,150

FDS

VANGUARD

INTL BD IDX

92203J407

454

CHARLOTTE FDS

ETF

VANGUARD BD INDEX

INTERMED

921937819

1,513

FDS

TERM

VANGUARD BD INDEX

TOTAL BND

921937835

7,254

FDS

MRKT

VANGUARD BD INDEX

SHORT TRM

921937827

446

FDS

BOND

VANECK VECTORS ETF GOLD MINERS

92189F106

382

TR

ETF

VANECK VECTORS ETF MORNINGSTAR

92189F643

1,414

TR

WIDE

VALERO ENERGY

COM

91913Y100

246

CORP

UNIVERSAL DISPLAY

COM

91347P105

212

CORP

UNITEDHEALTH

COM

91324P102

901

GROUP INC

UNITED PARCEL

CL B

911312106

688

SERVICE INC

UNION PAC CORP

COM

907818108

268

TRINSEO S A

SHS

L9340P101

604

TIMOTHY PLAN

US LRGMD CP

887432359

592

CORE

TIMOTHY PLAN

HIG DV STK

887432326

524

ETF

THERMO FISHER

COM

883556102

261

SCIENTIFIC INC

THERATECHNOLOGIES

COM

88338H100

31

INC

TEXAS INSTRS INC

COM

882508104

246

TESLA INC

COM

88160R101

921

TERADATA CORP DEL

COM

88076W103

211

SUNOCO LP/SUNOCO

COM UT REP

86765K109

208

FIN CORP

LP

STARBUCKS CORP

COM

855244109

249

SSGA ACTIVE ETF TR

SPDR TR

78467V848

810

TACTIC

SQUARE INC

CL A

852234103

1,826

15,579

SH

DFND

1

0

0

15,579

3,327

SH

DFND

1

0

0

3,327

9,803

SH

DFND

1

0

0

9,803

25,346

SH

DFND

1

0

0

25,346

4,586

SH

DFND

1

0

0

4,586

12,819

SH

DFND

1

0

0

12,819

1,367

SH

DFND

1

0

0

1,367

9,050

SH

DFND

1

0

0

9,050

40,939

SH

DFND

1

0

0

40,939

1,296

SH

DFND

1

0

0

1,296

20,271

SH

DFND

1

0

0

20,271

20,681

SH

DFND

1

0

0

20,681

26,985

SH

DFND

1

0

0

26,985

7,810

SH

DFND

1

0

0

7,810

16,189

SH

DFND

1

0

0

16,189

82,221

SH

DFND

1

0

0

82,221

5,375

SH

DFND

1

0

0

5,375

9,757

SH

DFND

1

0

0

9,757

25,909

SH

DFND

1

0

0

25,909

5,686

SH

DFND

1

0

0

5,686

1,173

SH

DFND

1

0

0

1,173

2,889

SH

DFND

1

0

0

2,889

4,129

SH

DFND

1

0

0

4,129

1,362

SH

DFND

1

0

0

1,362

23,568

SH

DFND

1

0

0

23,568

22,069

SH

DFND

1

0

0

22,069

22,875

SH

DFND

1

0

0

22,875

590

SH

DFND

1

0

0

590

14,000

SH

DFND

1

0

0

14,000

1,721

SH

DFND

1

0

0

1,721

2,146

SH

DFND

1

0

0

2,146

9,295

SH

DFND

1

0

0

9,295

8,538

SH

DFND

1

0

0

8,538

2,896

SH

DFND

1

0

0

2,896

16,434

SH

DFND

1

0

0

16,434

11,234

SH

DFND

1

0

0

11,234

SPROTT PHYSICAL

UNIT

85207H104

476

GOLD TR

SPROTT PHYSICAL

TR UNIT

85208R101

277

GOLD & SILVE

SPDR SER TR

S&P DIVID ETF

78464A763

366

SPDR SER TR

NUVEEN

78468R739

248

BLMBRG SR

SPDR SER TR

NUVEEN BBG

78464A284

407

BRCLY

SPDR SER TR

S&P BIOTECH

78464A870

990

SPDR SER TR

AEROSPACE

78464A631

619

DEF

SPDR S&P 500 ETF TR

TR UNIT

78462F103

2,240

SPDR INDEX SHS FDS

PORTFOLIO

78463X889

407

DEVLPD

SPDR INDEX SHS FDS

PORTFOLIO

78463X509

311

EMG MK

SPDR GOLD TR

GOLD SHS

78463V107

461

SPDR DOW JONES

UT SER 1

78467X109

2,267

INDL AVERAGE

SOUTHWEST AIRLS CO COM

844741108

224

SOUTHERN CO

COM

842587107

1,167

SILVERCREST METALS

COM

828363101

119

INC

SHOPIFY INC

CL A

82509L107

2,769

SELECT SECTOR SPDR

SBI CONS

81369Y407

401

TR

DISCR

SELECT SECTOR SPDR

SBI CONS

81369Y308

341

TR

STPLS

SELECT SECTOR SPDR

TECHNOLOGY

81369Y803

3,648

TR

31,600

SH

DFND

1

0

0

31,600

15,100

SH

DFND

1

0

0

15,100

3,958

SH

DFND

1

0

0

3,958

4,966

SH

DFND

1

0

0

4,966

7,163

SH

DFND

1

0

0

7,163

8,884

SH

DFND

1

0

0

8,884

7,084

SH

DFND

1

0

0

7,084

6,664

SH

DFND

1

0

0

6,664

13,924

SH

DFND

1

0

0

13,924

8,502

SH

DFND

1

0

0

8,502

2,604

SH

DFND

1

0

0

2,604

8,152

SH

DFND

1

0

0

8,152

5,983

SH

DFND

1

0

0

5,983

21,515

SH

DFND

1

0

0

21,515

14,000

SH

DFND

1

0

0

14,000

2,707

SH

DFND

1

0

0

2,707

2,728

SH

DFND

1

0

0

2,728

5,318

SH

DFND

1

0

0

5,318

31,275

SH

DFND

1

0

0

31,275

SELECT SECTOR SPDR

ENERGY

TR

SELECT SECTOR SPDR

SBI INT-INDS

TR

SELECT SECTOR SPDR

SBI

TR

HEALTHCARE

SEA LTD

SPONSORD

ADS

SCHWAB STRATEGIC

US SML CAP

TR

ETF

SCHWAB STRATEGIC

US LCAP VA

TR

ETF

SCHWAB STRATEGIC

US LRG CAP

TR

ETF

SCHWAB STRATEGIC

US LCAP GR

TR

ETF

SALESFORCE COM INC COM

REGENERON

COM

PHARMACEUTICALS

REAVES UTIL INCOME

COM SH BEN

FD

INT

RBB FD INC

MFAM SMLCP

GRWTH

QUALCOMM INC

COM

PROSHARES TR

S&P 500 DV

ARIST

PROGRESSIVE CORP

COM

PROCTER AND

COM

GAMBLE CO

PIMCO ETF TR

ENHAN SHRT

MA AC

PIMCO ETF TR

ACTIVE BD

ETF

PHILIP MORRIS INTL

COM

81369Y506 320

81369Y704 449

81369Y209 3,063

81141R100 1,539

808524607 612

808524409 606

808524201 216

808524300 1,137

79466L302 792

75886F107 282

756158101 1,003

74933W874 266

747525103 971

74348A467 398

743315103 212

742718109 1,390

72201R833 1,074

72201R775 210

718172109 512

10,687

SH

DFND

1

0

0

10,687

5,836

SH

DFND

1

0

0

5,836

29,051

SH

DFND

1

0

0

29,051

9,994

SH

DFND

1

0

0

9,994

8,951

SH

DFND

1

0

0

8,951

11,618

SH

DFND

1

0

0

11,618

2,682

SH

DFND

1

0

0

2,682

9,873

SH

DFND

1

0

0

9,873

3,153

SH

DFND

1

0

0

3,153

504

SH

DFND

1

0

0

504

32,042

SH

DFND

1

0

0

32,042

8,646

SH

DFND

1

0

0

8,646

8,250

SH

DFND

1

0

0

8,250

5,520

SH

DFND

1

0

0

5,520

2,235

SH

DFND

1

0

0

2,235

10,004

SH

DFND

1

0

0

10,004

10,536

SH

DFND

1

0

0

10,536

1,864

SH

DFND

1

0

0

1,864

6,718

SH

DFND

1

0

0

6,718

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StoneX Group Inc. published this content on 12 November 2020 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 12 November 2020 15:34:01 UTC