13F

Investor

FIRETHORN WEALTH PARTNERS, LLC

CIK 0001845743 · filed 2026-04-09 · SEC filing

13F book

$272.7M

Positions

189

14 new · 15 sold

Largest name

9.9%

Janus Detroit Str Tr

Est. mark

−$6.25M

Price effect on 175 names still held. Flow $11.6M.
NameTickerSharesValueWeightEst. markChange
Janus Detroit Str Tr535.1K$27M9.9%−$95.9KAdded$3.87M
Dimensional Etf Trust424.7K$16.5M6.1%−$296.2KAdded$440.3K
Dimensional Etf Trust234.1K$10.6M3.9%−$373.6KAdded$155.7K
Ishares Tr38.4K$8.12M3.0%−$32.6KAdded$600.8K
Blackrock Etf Trust135.6K$7.89M2.9%−$356.7KCut−$686.9K
Spdr Series Trust100.5K$7.69M2.8%−$318.5KAdded$746.9K
Apple Inc.AAPL30K$7.62M2.8%−$514.9KAdded−$131.7K
Ishares Tr63.1K$7.14M2.6%−$621.3KAdded−$405.9K
Ishares Tr10.4K$6.8M2.5%−$322.7KAdded−$163.3K
Ishares Tr64.4K$4.78M1.8%$189.2KCut−$1.09M
Amazon Com IncAMZN20.9K$4.34M1.6%−$399KAdded$260.2K
Ishares Tr22.5K$4.32M1.6%−$153.4KCut−$1.17M
Palmer Square Funds Trust184.7K$3.78M1.4%$12.3KAdded$188.7K
Alphabet Inc12.8K$3.68M1.4%−$325.4KCut−$403.6K
Ishares Inc51.9K$3.62M1.3%$131.2KCut−$1.8M
Dimensional Etf Trust92.4K$3.6M1.3%$68KAdded$549.1K
Microsoft CorpMSFT9.62K$3.56M1.3%−$1.07MAdded−$1M
Blackrock Etf Trust88.3K$3.2M1.2%−$195.5KAdded−$24.4K
Berkshire Hathaway Inc Del6.61K$3.17M1.2%−$153.3KAdded−$121.2K
J P Morgan Exchange Traded F26.4K$3.1M1.1%−$155.4KAdded−$26.4K
Janus Detroit Str Tr62.2K$2.9M1.1%−$59.4KAdded$311.3K
Ishares Tr8.93K$2.84M1.0%−$222.2KCut−$910.2K
Ishares Tr61.5K$2.84M1.0%−$21.5KCut−$71.1K
Dimensional Etf Trust76.2K$2.71M1.0%$81.5KCut−$23.5K
Invesco Exchange Traded Fd T20.4K$2.57M0.9%−$16.7KAdded$768.5K
Blackrock Etf Trust76.5K$2.46M0.9%New
Invesco Exch Traded Fd Tr Ii20.6K$2.37M0.9%$5.71KAdded$781.8K
Ishares Tr31.3K$2.14M0.8%New
Dimensional Etf Trust60.1K$2.11M0.8%$129.2KCut$79.5K
Blackrock Etf Trust63.9K$2.11M0.8%−$21.3KAdded$82.7K
Dimensional Etf Trust57.1K$2.1M0.8%−$72.5KCut−$101.9K
Nvidia CorpNVDA11.8K$2.06M0.8%−$131KAdded$44.9K
Schwab Us Aggregate Bond85.7K$1.99M0.7%−$12.8KAdded$535
Dimensional Etf Trust34.1K$1.84M0.7%−$2.73KCut−$71.4K
SoFi Technologies, Inc.SOFI106.7K$1.69M0.6%−$1.1MCut−$1.16M
Dimensional Etf Trust49.6K$1.69M0.6%$61.6KCut$5K
Invesco Exch Traded Fd Tr Ii14.9K$1.67M0.6%−$98.9KAdded$28.7K
Caterpillar IncCAT2.3K$1.63M0.6%$312.8KCut$236.6K
Victory Portfolios Ii35.8K$1.6M0.6%−$93.8KAdded$23.9K
Invesco Exch Trd Slf Idx Fd50.4K$1.6M0.6%$64.2KAdded$561.8K
Csx CorpCSX38.7K$1.59M0.6%$185.6KCut$149K
American Centy Etf Tr18.8K$1.52M0.6%$60.6KAdded$208.7K
Blackrock Etf Trust36.1K$1.48M0.5%New
Dimensional Etf Trust30.7K$1.47M0.5%−$2.02KAdded$74.4K
Global X Fds20K$1.42M0.5%$85.8KAdded$498.5K
Walmart Inc.WMT11.2K$1.39M0.5%$144.3KCut$134.5K
Ishares Tr5.78K$1.39M0.5%−$45.2KAdded$292.2K
Alphabet Inc4.81K$1.38M0.5%−$129.6KCut−$165.4K
Johnson & JohnsonJNJ5.58K$1.37M0.5%$209KAdded$211.5K
Southern Co13.9K$1.34M0.5%$128.7KAdded$133.4K
Schwab Strategic Tr52.5K$1.32M0.5%−$59.4KCut−$63.4K
Spdr Series Trust10.1K$1.29M0.5%$58.7KCut$52.7K
Ishares Tr24.6K$1.23M0.5%$719Added$72.1K
Jpmorgan Chase & Co.4.17K$1.23M0.4%−$99.6KAdded$84K
Broadcom Inc.AVGO3.93K$1.22M0.4%−$141KAdded−$117.5K
Ishares Tr12.8K$1.21M0.4%−$3.36KAdded$3.28K
Dimensional Etf Trust35.1K$1.19M0.4%$43.5KAdded$88.9K
Ishares Tr10.2K$1.13M0.4%−$22.2KAdded$141.7K
Ishares Tr47.5K$1.09M0.4%−$1.38KAdded$814.3K
Tesla, Inc.TSLA2.9K$1.08M0.4%−$226.4KCut−$330.3K
Blackrock Etf Trust Ii20.7K$1.07M0.4%−$17.4KCut−$256.5K
Bondbloxx Etf Trust23K$1.05M0.4%−$8KAdded$24.9K
Ishares Tr26.3K$1.05M0.4%$42.7KAdded$47.3K
Ishares Tr7.3K$1.03M0.4%−$55.2KCut−$65.7K
Ishares Gold Tr11.7K$1.03M0.4%$81.7KCut−$163.1K
Aflac IncAFL9.38K$1.03M0.4%−$5.23KCut−$20.2K
Stock Yds Bancorp Inc14.9K$987.6K0.4%$20KHeld
Dimensional Etf Trust28.6K$986.4K0.4%$42KCut−$6.84K
Vanguard Mun Bd Fds19.1K$955.1K0.4%−$7.65KCut−$49.6K
Ishares Tr9.35K$941.6K0.3%−$8.91KCut−$240.4K
Ishares Tr2.63K$935.9K0.3%−$44.4KCut−$67.9K
Exxon Mobil Corp5.51K$935.3K0.3%$271.8KCut$266.8K
Invesco Mortgage Capital Inc115.6K$934K0.3%−$24KAdded$321.7K
Ishares Tr5.13K$931.5K0.3%−$93.7KCut−$149.4K
Meta Platforms, Inc.META1.58K$904.2K0.3%−$135.5KAdded−$115.5K
J P Morgan Exchange Traded F11.8K$890.4K0.3%$10.1KCut−$15.1K
Dimensional Etf Trust12.4K$890.3K0.3%−$19.1KCut−$71.5K
Starboard Invt Tr32.6K$867K0.3%−$56.1KAdded$40.9K
RTX CorpRTX4.43K$854.5K0.3%$42KCut$9.71K
Bank America Corp17K$829.7K0.3%−$106.4KCut−$137.7K
Dimensional Etf Trust20.1K$791.9K0.3%$28.9KCut$6.03K
Dimensional Etf Trust18.6K$786.3K0.3%−$6.31KCut−$49.6K
Dimensional Etf Trust14.4K$776.9K0.3%−$1.47KAdded$3.24K
Edison Intl10.5K$766.7K0.3%$137.9KCut−$33.6K
Honeywell Intl Inc3.33K$753.5K0.3%$102.4KAdded$108.7K
Chubb Limited2.3K$750.2K0.3%$28.7KAdded$100K
Agnc Invt Corp73.8K$740K0.3%−$38.5KAdded$142K
Dimensional Etf Trust22.1K$711.9K0.3%$12.3KCut−$6.37K
Chevron Corp NewCVX3.38K$698.4K0.3%$181.1KAdded$191.9K
Duke Energy Corp New5.17K$677K0.2%$55.9KAdded$199.7K
Dimensional Etf Trust25.2K$669.2K0.2%$4.01KCut−$6.17K
Boeing Co3.33K$663.8K0.2%−$23KAdded$388.7K
Procter And Gamble CoPG4.48K$646.8K0.2%$5.02KCut−$1.15K
Annaly Capital Management In29.7K$628.1K0.2%−$23.1KAdded$201.4K
Home Depot, Inc.HD1.83K$602.4K0.2%−$28.1KAdded−$26.1K
AbbVie Inc.ABBV2.74K$595.1K0.2%−$30KCut−$34.5K
Ishares Tr5.49K$583.1K0.2%−$5.25KCut−$8.57K
Dimensional Etf Trust13.9K$578K0.2%$2.28KCut−$9.77K
Lowes Cos Inc2.44K$577.6K0.2%−$12.1KCut−$17.1K
Invesco Exch Traded Fd Tr Ii21.3K$573.4K0.2%$13.1KAdded$266.7K
J P Morgan Exchange Traded F6.68K$564.8K0.2%−$55.3KCut−$92.1K
Global X Fds7.16K$559.8K0.2%−$27.9KAdded−$2.87K
Kkr & Co Inc6.04K$558.6K0.2%−$211.2KCut−$264.9K
Vanguard Index Fds1.71K$547.8K0.2%−$24.8KAdded−$24.1K
Bitmine Immersion Tecnologie27.5K$543.6K0.2%−$83.4KAdded$236.2K
Dell Technologies Inc.DELL3.29K$539.6K0.2%$125.6KCut$97.3K
J P Morgan Exchange Traded F7.45K$534.7K0.2%$213Cut−$12.1K
Invesco Exchange Traded Fd T11.6K$530.9K0.2%−$94Added$257.5K
Cisco Sys Inc6.75K$524.1K0.2%$3.77KAdded$6.33K
Lockheed Martin CorpLMT850$513.6K0.2%$102.3KAdded$104.1K
Coca Cola CoKO6.75K$513.2K0.2%$41.4KCut−$22.8K
J P Morgan Exchange Traded F7.82K$510.6K0.2%−$18.8KCut−$19.2K
Uber Technologies, IncUBER6.95K$500K0.2%−$68KCut−$169.9K
Pimco Etf Tr4.94K$496.8K0.2%New
Philip Morris Intl Inc2.95K$488.1K0.2%$9.7KAdded$175.5K
Altria Group, Inc.MO7.37K$486K0.2%$56.2KAdded$96.6K
Ishares Tr4.89K$485.7K0.2%−$3KCut−$244.4K
Deere & CoDE844$475.2K0.2%$81.1KAdded$87.9K
Ishares Tr6.93K$471K0.2%−$4.58KCut−$4.64K
Ishares Tr4.14K$470K0.2%−$31.8KAdded−$31.7K
Eaton Corp PlcETN1.3K$465.4K0.2%$51.1KCut$7.83K
Shopify Inc.SHOP3.81K$451.9K0.2%New
Mastercard IncMA904$451.6K0.2%−$64.6KCut−$94.3K
ServisFirst Bancshares, Inc.SFBS6.2K$451.2K0.2%$6.44KAdded$6.59K
Visa Inc.V1.48K$445.7K0.2%−$71.5KCut−$72.6K
Costco Whsl Corp New441$439.6K0.2%$57.2KAdded$70.1K
Spdr Series Trust5.47K$432.7K0.2%−$18.1KAdded$676
J P Morgan Exchange Traded F9.13K$429.9K0.2%−$2.36KAdded$23K
Dimensional Etf Trust11.6K$416.5K0.2%$23.8KCut$6.07K
Ishares Inc5.29K$416.3K0.2%$31.6KCut$17.2K
Dimensional Etf Trust12.2K$410.8K0.2%$18.7KCut$1.36K
Dominion Energy, IncD6.31K$390.3K0.1%$19.9KAdded$29.3K
Select Sector Spdr Tr2.9K$385.7K0.1%−$25.1KAdded$60.6K
Timothy Plan10.2K$367K0.1%$13.9KCut−$38K
Berkley W R Corp5.5K$364.3K0.1%−$21.1KCut−$22.1K
Ge Aerospace1.24K$351.4K0.1%−$30KCut−$57.4K
Ishares Tr7.02K$350.3K0.1%New
J P Morgan Exchange Traded F6.5K$349.3K0.1%New
Angel Oak Funds Trust6.72K$343K0.1%−$759Added$3.07K
Ishares Tr3.37K$342.8K0.1%$9.06KAdded$71.9K
Invesco Exchange Traded Fd T6.25K$341.2K0.1%−$29.6KCut−$3.03M
Chicago Atlantic BDC, Inc.LIEN35.7K$333.2K0.1%−$31.5KAdded$4.23K
Ishares Silver Tr4.88K$332.3K0.1%$18.1KCut−$201.1K
Vanguard Intl Equity Index F2.25K$328.7K0.1%$3.95KAdded$99K
Goldman Sachs Group Inc378$319.9K0.1%−$12.6KCut−$30.1K
World Gold Tr3.44K$318.4K0.1%$25.1KCut−$335.6K
Ishares Tr7.17K$317.6K0.1%−$1.49KCut−$3.32K
Ge Healthcare Technologies I4.45K$316.5K0.1%−$48.2KCut−$60.2K
Ishares Tr3.51K$312.8K0.1%New
Brookfield Corp7.69K$311.2K0.1%−$41.7KCut−$55.2K
Cornerstone Strategic Invest40.3K$293.1K0.1%−$21.3KAdded$127.9K
J P Morgan Exchange Traded F5.39K$280.7K0.1%$15.6KAdded$28.1K
Northrop Grumman Corp411$280.6K0.1%$46.1KCut$15.3K
STERIS plcSTE1.26K$277.8K0.1%−$40.7KCut−$46.5K
Ishares Tr3.78K$265.5K0.1%$2.86KCut$2.79K
Vanguard Specialized Funds1.23K$265.3K0.1%−$5.5KAdded$96
Eli Lilly & CoLLY288$265K0.1%−$44.6KCut−$47.9K
Ishares Inc4.3K$259.9K0.1%$11.1KCut$8.14K
Blackrock Etf Trust7.93K$259.4K0.1%New
Spdr Index Shs Fds5.68K$259.3K0.1%$7.04KCut$5.4K
Spdr Series Trust4.48K$253.5K0.1%−$1.03KCut−$32.7K
Dimensnl Ultrashrt Fixed4.98K$252.5K0.1%$259Added$24.6K
Firstenergy CorpFE4.98K$252.3K0.1%$29.3KCut$13.2K
Ishares Tr2.65K$249.3K0.1%−$6.26KCut−$157.4K
Thermo Fisher Scientific Inc.TMO495$243.2K0.1%−$43.6KAdded−$41.6K
GE Vernova Inc.GEV277$241.6K0.1%New
Ishares Tr1.7K$241.6K0.1%−$9.99KAdded$3.97K
Cornerstone Total Return Fd34.3K$238.2K0.1%−$34.6KAdded−$23.6K
Ford Mtr Co20.3K$234.1K0.1%−$32KCut−$33.7K
Schwab Strategic Tr7.57K$232.3K0.1%$23.9KAdded$30.2K
Morgan Stanley1.38K$226.3K0.1%−$17.9KCut−$26.4K
Invesco Exch Trd Slf Idx Fd3.69K$221.7K0.1%−$3.72KCut−$15.6K
HCA Healthcare, Inc.HCA460$217.5K0.1%$2.85KCut−$37.3K
First Majestic Silver CorpAG9.99K$214.7K0.1%New
Starwood Ppty Tr Inc12.3K$211.8K0.1%−$9.45KAdded−$3.63K
Wells Fargo Co New2.64K$210.1K0.1%−$35.9KCut−$41.8K
Kimberly Clark CorpKMB2.16K$208.4K0.1%−$9.38KAdded−$5.61K
Guggenheim Strategic Opportu18.9K$208.1K0.1%−$33.6KAdded−$24.3K
Ishares Tr2.02K$207K0.1%−$604Added$214
Spdr Dow Jones Indl Average438$202.8K0.1%−$7.92KCut−$12.7K
Allstate Corp976$202.4K0.1%−$773Cut−$1.19K
J P Morgan Exchange Traded F2.36K$201.8K0.1%New
Pimco Dynamic Income Fd11.3K$193K0.1%−$6.52KAdded$371
Nokia Corp24K$193K0.1%$37.7KHeld
Dynex Cap Inc14.9K$190.7K0.1%−$18.7KCut−$26.2K
Huntington Bancshares Inc10.5K$164.6K0.1%New
Soundhound Ai Inc19K$130.5K0.0%−$58.9KHeld
ImmunityBio, Inc.IBRX12.2K$93.7K0.0%New
Nuvation Bio Inc.NUVB20.4K$87.5K0.0%−$95.3KHeld

Positions as of Q1 2026. 13F filings arrive up to 45 days after quarter-end and omit shorts. Values are quarter-end marks, as filed. Estimated mark is the price effect on shares still held — not realized P&L or investment advice.