13F

Investor

Focus Financial Network, Inc.

CIK 0002010942 · filed 2026-04-14 · SEC filing

13F book

$2.79B

Positions

729

55 new · 51 sold

Largest name

10.1%

Nvidia Corp · NVDA

Est. mark

−$76.6M

Price effect on 674 names still held. Flow −$6.48M.
NameTickerSharesValueWeightEst. markChange
Nvidia CorpNVDA1.62M$282.9M10.1%−$19.6MCut−$20.8M
Schwab Strategic Tr—4.73M$137.8M4.9%−$16.5MCut−$17.5M
Invesco Qqq Tr—159.4K$92M3.3%−$5.92MCut−$9.96M
Apple Inc.AAPL339.3K$86.1M3.1%−$6.13MCut−$7.09M
Ishares Tr—113K$73.8M2.6%−$3.37MAdded$949.1K
Amazon Com IncAMZN306.9K$63.9M2.3%−$6.92MCut−$7.52M
Schwab Strategic Tr—1.98M$60.8M2.2%$6.45MCut$946.8K
Ishares Tr—608.4K$60.4M2.2%−$357.5KAdded$1.87M
Vanguard Index Fds—277.2K$54.4M1.9%$1.2MAdded$10.2M
Schwab Strategic Tr—776.4K$38M1.4%$2.44MAdded$8.28M
Ishares Tr—383.6K$36.6M1.3%−$266.7KAdded$992.4K
Proshares Tr—599.5K$36.6M1.3%−$5.64MAdded−$5.63M
Vanguard Star Fds—468.3K$36.1M1.3%$782.1KCut$586.8K
Invesco Exchange Traded Fd T—343.1K$35.5M1.3%$313.1KAdded$1.7M
Vanguard Whitehall Fds—239.1K$35.4M1.3%$1.06MAdded$2.08M
Berkshire Hathaway Inc Del—59.8K$28.6M1.0%−$1.4MCut−$4.89M
Alphabet Inc—99.4K$28.6M1.0%−$2.53MCut−$5.21M
Fidelity Covington Trust—727.8K$27.7M1.0%$13.4KAdded$25.4M
Vanguard Tax-Managed Fds—423K$27.1M1.0%$651.5KAdded$1.83M
Spdr S&P 500 Etf Tr—38.9K$25.3M0.9%−$1.23MCut−$11.5M
Vanguard Specialized Funds—109.3K$23.5M0.8%−$499KAdded$259.5K
Microsoft CorpMSFT62.3K$23.1M0.8%−$7.07MCut−$9.17M
Ishares Tr—221.9K$21.6M0.8%$212.9KCut−$125.4K
Profesionally Managed Portfo—391.9K$20.7M0.7%—New
Schwab Strategic Tr—636.8K$19.4M0.7%$566.8KCut−$1.74M
Ishares Inc—234.8K$18.5M0.7%$1.38MAdded$1.71M
Invesco Exchange Traded Fd T—241K$18.1M0.7%$33.5KAdded$146.5K
Select Sector Spdr Tr—136K$18.1M0.6%−$1.51MCut−$2.66M
Invesco Exchange Traded Fd T—124K$18M0.6%$784.3KAdded$1.42M
Schwab Strategic Tr—699.7K$17.6M0.6%−$747.8KAdded$204.3K
Vanguard Intl Equity Index F—323.7K$17.5M0.6%$92.4KAdded$372.8K
Invesco Exchange Traded Fd T—222K$16.9M0.6%$843.1KAdded$1.74M
Ishares Tr—147.2K$16.7M0.6%−$1.49MCut−$3.64M
First Tr Exchange-Traded Fd—415.1K$16.4M0.6%$439.4KAdded$1.2M
Spdr Series Trust—213.1K$16.3M0.6%−$784.1KCut−$3.63M
Etfs Gold Tr—358.4K$16M0.6%$1.27MAdded$1.28M
Schwab Strategic Tr—613.4K$15.7M0.6%−$779KCut−$1.57M
Wisdomtree Tr—177.7K$15.6M0.6%−$279.5KAdded−$115.4K
Schwab Strategic Tr—485.6K$15M0.5%$380KAdded$2.2M
Ishares Tr—77.8K$14.9M0.5%−$530.1KCut−$6.91M
Invesco Exch Traded Fd Tr Ii—59.8K$14.2M0.5%−$915.1KCut−$5.07M
Vanguard Index Fds—46.9K$14.2M0.5%$6.56KAdded$329.4K
Spdr Gold Tr—30.1K$12.9M0.5%$1.02MCut−$336.7K
Invesco Actively Managed Exc—272.6K$12.8M0.5%−$160.8KCut−$1.91M
Ishares Tr—259.4K$12.5M0.4%$12.4KAdded$502.4K
Ishares Tr—254.2K$12.4M0.4%−$174.6KAdded$382.8K
Schwab Strategic Tr—492.5K$12.2M0.4%$339.3KAdded$698.5K
Schwab Strategic Tr—414.1K$12M0.4%$248.4KCut−$141.9K
Ishares Tr—250.6K$11.6M0.4%$156.6KAdded$2.46M
Blackrock Etf Trust—194.8K$11.3M0.4%−$487.1KAdded$71.6K
Vanguard Index Fds—33.5K$10.7M0.4%−$463.6KAdded−$4.48K
Vanguard Bd Index Fds—135.7K$10.6M0.4%−$54.3KCut−$2.32M
Costco Whsl Corp New—10.3K$10.2M0.4%$1.38MCut$883.5K
Ishares Tr—217K$10M0.4%−$57.1KAdded$2.43M
Sandisk CorpSNDK15.3K$9.72M0.3%—New
Vanguard World Fd—35.3K$9.6M0.3%−$547.2KCut−$1.25M
Unitedhealth Group IncUNH34.5K$9.34M0.3%−$2.05MCut−$3.12M
Jpmorgan Chase & Co.—31.7K$9.34M0.3%−$890.5KCut−$1.27M
Spdr Series Trust—189.1K$9.14M0.3%$276.1KCut−$25.9M
First Tr Exchange Traded Fd—131.2K$8.96M0.3%−$153.8KAdded−$19.1K
Schwab Us Tips Etf—336.2K$8.95M0.3%$38.9KAdded$349.7K
Nvent Electric PlcNVT73.5K$8.69M0.3%$1.2MCut$1.12M
Vanguard Index Fds—13.9K$8.28M0.3%−$356.6KAdded$725K
Ishares Tr—38.8K$8.19M0.3%−$35.6KCut−$4.82M
Ishares Tr—108.9K$8.1M0.3%$320.2KCut−$4.5M
3M COMMM53.3K$7.73M0.3%−$791.9KCut−$1.6M
Ishares Tr—71.5K$7.59M0.3%−$60.9KAdded$807K
Schwab Strategic Tr—297.2K$7.21M0.3%−$29.7KCut−$556.9K
Caterpillar IncCAT9.88K$7M0.3%$1.34MCut$973K
Blackrock Etf Trust—212.8K$6.84M0.2%—New
Johnson & JohnsonJNJ27.9K$6.83M0.2%$1.05MCut$436K
J P Morgan Exchange Traded F—110.7K$6.79M0.2%−$204.3KAdded−$155.1K
Broadcom Inc.AVGO20.9K$6.46M0.2%−$764.3KCut−$1.77M
Xcel Energy Inc—80.3K$6.38M0.2%$448KCut−$483K
Delta Air Lines Inc DelDAL95.6K$6.35M0.2%−$278.7KAdded−$271K
Eli Lilly & CoLLY6.89K$6.34M0.2%−$1.07MCut−$1.46M
PENTAIR plcPNR72.6K$6.33M0.2%−$1.24MAdded−$1.24M
Blackrock Etf Trust Ii—121.7K$6.32M0.2%−$69.1KAdded$1.98M
Ishares Tr—75.4K$6.23M0.2%−$18.9KCut−$1.78M
Tesla, Inc.TSLA16.1K$5.99M0.2%−$1.26MCut−$1.7M
Invesco Exchange Traded Fd T—30.8K$5.9M0.2%$11KCut−$191.3K
Select Sector Spdr Tr—94.8K$5.81M0.2%$1.57MCut$1.55M
Invesco Exchange Traded Fd T—113.3K$5.79M0.2%−$46.7KCut−$57.1K
J P Morgan Exchange Traded F—123.9K$5.71M0.2%−$49.6KAdded$372.8K
Vanguard Growth Etf—12.9K$5.64M0.2%−$608.5KAdded−$176K
Meta Platforms, Inc.META9.8K$5.61M0.2%−$862KCut−$989.4K
First Tr Exchange-Traded Fd—128K$5.59M0.2%$695.2KAdded$1.04M
Ishares Tr—115.9K$5.49M0.2%−$35.6KAdded$762.9K
First Tr Exchange Traded Fd—47K$5.21M0.2%$562.5KAdded$767K
Vanguard Bd Index Fds—69.9K$5.15M0.2%−$30KAdded−$14.8K
Schwab Us Aggregate Bond—220.9K$5.13M0.2%−$33.1KCut−$4.19M
Vertiv Holdings CoVRT20.3K$5.08M0.2%$1.55MAdded$2.25M
Vanguard Index Fds—17.5K$5.03M0.2%−$45.2KAdded$719K
Ionq Inc—174.3K$5.03M0.2%−$2.75MAdded−$2.68M
Vanguard Scottsdale Fds—90.1K$4.99M0.2%−$37KAdded$350.1K
Ishares Inc—71.4K$4.98M0.2%$180.7KCut−$2.78M
Vanguard World Fd—7.12K$4.97M0.2%−$398.5KCut−$958.6K
Taiwan Semiconductor Mfg Ltd—14.6K$4.95M0.2%$220.7KAdded$3.04M
Walmart Inc.WMT39.8K$4.95M0.2%$512.6KCut$345.6K
J P Morgan Exchange Traded F—70.2K$4.84M0.2%$194.7KAdded$562.8K
Ishares Tr—33K$4.81M0.2%$153KAdded$208.1K
J P Morgan Exchange Traded F—89K$4.79M0.2%−$35.8KAdded$767.6K
Blackrock Etf Trust—131.9K$4.78M0.2%−$235.7KAdded$892.7K
Goldman Sachs Group Inc—5.63K$4.76M0.2%−$185.6KCut−$1.07M
Schwab Strategic Tr—170.9K$4.76M0.2%$109.4KCut$87.3K
Spdr Series Trust—84K$4.75M0.2%—New
Putnam Etf Trust—541.6K$4.73M0.2%—New
Capital Group Dividend Value—110.8K$4.72M0.2%−$67.8KAdded$1.73M
Blackrock Etf Trust—137.8K$4.54M0.2%−$19.2KAdded$2.71M
Select Sector Spdr Tr—90.2K$4.45M0.2%−$487.3KCut−$880.5K
Ishares Tr—24.5K$4.44M0.2%−$446.8KCut−$4.13M
Legg Mason Etf Invt—109.1K$4.42M0.2%$405.7KCut−$456K
Ishares Tr—31.1K$4.42M0.2%$169.8KCut−$666.3K
Invesco Exch Traded Fd Tr Ii—39.3K$4.41M0.2%−$221KAdded$753.1K
Exxon Mobil Corp—24.9K$4.23M0.2%$1.23MCut$965.9K
ServiceNow, Inc.NOW40K$4.18M0.1%−$1.95MCut−$4.03M
Ishares Tr—45K$4.17M0.1%−$63.9KCut−$506.3K
Ishares Tr—33K$4.1M0.1%$136.3KCut−$121.8K
Alphabet Inc—14.3K$4.1M0.1%−$385.2KCut−$470.2K
Ishares Tr—43.1K$4.09M0.1%−$11.6KCut−$76.2K
Invesco Exchange Traded Fd T—184K$4.09M0.1%$45.3KCut−$935.3K
Vanguard Bd Index Fds—82.1K$4.09M0.1%−$4.51KCut−$96.1K
Columbia Etf Tr Ii—99.6K$4.07M0.1%$209KAdded$793.9K
First Tr Exchange-Traded Fd—18.6K$4.02M0.1%−$229KAdded$313.7K
Abbott LabsABT38.8K$3.99M0.1%−$878.2KCut−$1.01M
J P Morgan Exchange Traded F—78.4K$3.97M0.1%−$11.1KAdded$434.2K
J P Morgan Exchange Traded F—68.6K$3.89M0.1%−$67.7KCut−$320.4K
Wisdomtree Tr—76.8K$3.87M0.1%$1.55KCut−$532.1K
Invesco Exchange Traded Fd T—69.9K$3.81M0.1%−$330.5KCut−$1.57M
Ecolab Inc.ECL14.1K$3.75M0.1%$49.3KCut−$17.4K
Vanguard World Fd—31K$3.75M0.1%−$378.4KAdded−$234.7K
Invesco Exchange Traded Fd T—124K$3.75M0.1%−$200.2KAdded−$103.7K
Mcdonalds CorpMCD11.8K$3.66M0.1%$60.6KCut−$130.1K
Select Sector Spdr Tr—79.6K$3.65M0.1%$254.6KCut$243.3K
Honeywell Intl Inc—16.1K$3.63M0.1%$496.6KCut$356.8K
Wells Fargo Co New—45.3K$3.6M0.1%−$615.1KCut−$780.4K
Visa Inc.V11.9K$3.6M0.1%−$577.5KCut−$724.8K
Invesco Exch Traded Fd Tr Ii—49.2K$3.6M0.1%$84.6KCut−$415.1K
Ishares Gold Tr—40.8K$3.59M0.1%$243.5KAdded$765.3K
Select Sector Spdr Tr—24.4K$3.58M0.1%−$200.1KCut−$362.7K
AbbVie Inc.ABBV16.5K$3.58M0.1%−$181.3KCut−$365K
Vanguard Scottsdale Fds—31.5K$3.45M0.1%−$379.3KCut−$456K
Ishares Tr—10.3K$3.37M0.1%$282.2KCut$75.3K
Morgan Stanley Etf Trust—64.9K$3.31M0.1%−$7.95KAdded$2.55M
Ishares U S Etf Tr—64.9K$3.3M0.1%−$12.6KAdded$860.7K
Vanguard Scottsdale Fds—41.5K$3.29M0.1%−$4.15KAdded$2.56M
Spdr Index Shs Fds—89.8K$3.29M0.1%$60.2KCut$36.9K
Spdr Series Trust—35.5K$3.25M0.1%$9.24KCut−$1.2M
Invesco Exchange Traded Fd T—19.3K$3.21M0.1%$168.1KAdded$301.8K
Netflix IncNFLX33.1K$3.18M0.1%$64.5KAdded$647.8K
Chevron Corp NewCVX15.2K$3.14M0.1%$827.1KCut$507.9K
American Centy Etf Tr—38.3K$3.08M0.1%—New
Global X Fds—43.5K$3.08M0.1%$48.9KAdded$2.53M
T Rowe Price Etf Inc—86.2K$3.07M0.1%−$226.6KCut−$1.72M
Fastenal CoFAST64.5K$2.99M0.1%$404.1KCut$241.3K
Select Sector Spdr Tr—35.7K$2.93M0.1%$153.5KCut−$384.4K
Spdr Series Trust—31.6K$2.89M0.1%$73.2KCut−$89.1K
Vanguard Index Fds—15.6K$2.87M0.1%$73KAdded$997.7K
Franklin Templeton Etf Tr—52.2K$2.87M0.1%−$61.9KAdded$251.9K
Invesco Exch Traded Fd Tr Ii—24K$2.86M0.1%−$193.7KAdded−$106.1K
Medtronic PlcMDT32.9K$2.85M0.1%−$309.7KCut−$537.5K
Ishares Tr—13.2K$2.83M0.1%$44KCut−$43.5K
Ishares U S Etf Tr—32.7K$2.8M0.1%−$18KAdded$159K
Target CorpTGT22.7K$2.75M0.1%$532.2KCut$476.9K
Ishares Tr—22.7K$2.75M0.1%−$129.5KCut−$1.5M
Bondbloxx Etf Trust—59.6K$2.73M0.1%−$30.9KCut−$2.83M
Dimensional Etf Trust—73.8K$2.71M0.1%−$87.1KAdded$104.8K
Cisco Sys Inc—34.5K$2.68M0.1%$19.3KCut−$180.7K
Ishares Tr—24.2K$2.66M0.1%−$10.4KAdded$541.8K
Shopify Inc.SHOP22.2K$2.63M0.1%−$822.6KAdded−$494.7K
Janus Detroit Str Tr—53.6K$2.63M0.1%−$3.45KAdded$762.1K
Vanguard Bd Index Fds—37.9K$2.61M0.1%−$21.8KAdded$561.8K
Ishares Tr—26.6K$2.59M0.1%$29.3KAdded$30.8K
Home Depot, Inc.HD7.86K$2.59M0.1%−$119.7KCut−$407.4K
Us Bancorp Del—49.5K$2.58M0.1%−$66.9KCut−$219.3K
Ishares Tr—18.2K$2.57M0.1%−$137.7KCut−$365.5K
Ishares Tr—6.01K$2.56M0.1%−$281.6KCut−$854.8K
Innovator Etfs Trust—76.2K$2.55M0.1%−$3.33KAdded$69.1K
Vanguard Index Fds—9.72K$2.55M0.1%$38.5KCut$35.9K
DONALDSON Co INCDCI29.9K$2.54M0.1%−$113.5KCut−$322.8K
Uscf Etf Tr—93.2K$2.54M0.1%$483.6KAdded$493.9K
Ishares Tr—10.5K$2.52M0.1%−$80.1KAdded$577.2K
Ishares Tr—11.3K$2.48M0.1%$43.5KAdded$174.9K
Pimco Etf Tr—48.5K$2.47M0.1%−$44.3KAdded−$31.9K
Palantir Technologies Inc.PLTR16.8K$2.45M0.1%−$527.9KCut−$3.85M
Procter And Gamble CoPG16.9K$2.45M0.1%$19.1KCut−$200.6K
Ea Series Trust—21K$2.45M0.1%$25KCut−$492.7K
Advanced Micro Devices IncAMD12K$2.43M0.1%−$72.7KAdded$980.3K
Api Group CorpAPG58.7K$2.38M0.1%$132.7KCut−$128.2K
J P Morgan Exchange Traded F—45.9K$2.34M0.1%−$2.82KAdded$184K
Ishares Silver Tr—34.3K$2.34M0.1%$127.6KCut$386
Rbb Fund Trust—49.1K$2.31M0.1%$25.9KAdded$1.09M
Ishares Tr—22.8K$2.3M0.1%−$6.75KAdded$1.57M
Spdr Series Trust—23.5K$2.27M0.1%$57.1KCut−$41.4K
Main Str Cap Corp—42.8K$2.27M0.1%−$288.3KAdded−$75.3K
Select Sector Spdr Tr—20.7K$2.26M0.1%−$216KCut−$1.1M
Bank America Corp—45.8K$2.23M0.1%−$286.5KCut−$418.1K
Boeing Co—11.2K$2.22M0.1%−$202.2KCut−$291.4K
Travelers Companies, Inc.TRV7.59K$2.21M0.1%$12.3KCut−$161.4K
Ishares Tr—8.88K$2.21M0.1%−$249.5KCut−$699.8K
T Rowe Price Etf Inc—44.3K$2.2M0.1%−$3.02KAdded$700.9K
Schwab Strategic Tr—66.4K$2.19M0.1%$12.8KAdded$90.9K
Blackrock Etf Trust—52.6K$2.16M0.1%—New
American Centy Etf Tr—19.4K$2.15M0.1%—New
Franklin Templeton Etf Tr—64.2K$2.13M0.1%−$307.5KAdded−$75.6K
Spdr Series Trust—14.6K$2.13M0.1%$98.9KCut−$135.3K
Innovator Etfs Trust—43K$2.12M0.1%−$19.3KCut−$234.3K
Spdr Series Trust—21.9K$2.07M0.1%$79.2KCut−$16.5K
Epr Pptys—40.9K$2.04M0.1%$2.27KAdded$172.2K
Global X Fds—40.1K$2.04M0.1%$108.2KCut$94.4K
Ishares Tr—21.3K$2.03M0.1%−$181.9KCut−$709.4K
J P Morgan Exchange Traded F—23.4K$2M0.1%$125.4KCut−$560.8K
Coca Cola CoKO26K$1.99M0.1%$173.7KCut−$3.19K
Innovator Etfs Trust—43.9K$1.97M0.1%$2.53KHeld
Janus Detroit Str Tr—38.8K$1.96M0.1%−$325Cut−$279.9K
Ishares Tr—7.9K$1.96M0.1%$14.4KCut−$181.3K
Vanguard Charlotte Fds—40.7K$1.96M0.1%−$2.88KAdded$1.44M
Graco IncGGG23K$1.95M0.1%$61.6KCut$37.7K
Wisdomtree Tr—40.2K$1.94M0.1%−$20.5KCut−$274.2K
Ishares Tr—17.3K$1.93M0.1%−$44.2KCut−$4.23M
Ishares Tr—6.01K$1.91M0.1%−$101.3KAdded$516.8K
Vanguard Intl Equity Index F—13.7K$1.89M0.1%−$33.8KAdded$151.3K
Danaher Corporation—9.97K$1.89M0.1%−$387.5KAdded−$366.7K
Mastercard IncMA3.75K$1.87M0.1%−$267.4KCut−$378.2K
Spdr Dow Jones Indl Average—4.04K$1.87M0.1%−$70.5KCut−$207.9K
Ishares Tr—5.19K$1.85M0.1%−$87KAdded−$74.9K
Ishares Tr—22.2K$1.84M0.1%−$208.6KCut−$242.3K
Schwab Strategic Tr—73.4K$1.83M0.1%−$12.5KCut−$373.8K
Pacer Fds Tr—28.8K$1.8M0.1%$51.2KCut−$34.3K
First Tr Exchange-Traded Alp—14.8K$1.8M0.1%$49KCut$21.1K
Pimco Dynamic Income Fd—102.9K$1.78M0.1%−$59.8KAdded−$5.97K
Ge Aerospace—6.27K$1.78M0.1%−$141.8KAdded−$19.5K
Fidelity Covington Trust—8.45K$1.76M0.1%−$140.4KCut−$237.4K
Dimensional Etf Trust—33.2K$1.75M0.1%—New
Southern Co—18K$1.74M0.1%$168KCut$75.8K
Duke Energy Corp New—13.3K$1.74M0.1%$182.4KCut$164.9K
Altria Group, Inc.MO26.2K$1.73M0.1%$218.1KCut$27.9K
Invesco Exchange Traded Fd T—36.5K$1.71M0.1%$2.17KAdded$162.3K
Vanguard Index Fds—7.84K$1.7M0.1%$41.7KAdded$83.4K
Micron Technology IncMU5.02K$1.7M0.1%$201.3KAdded$599.6K
Putnam Etf Trust—36.2K$1.68M0.1%—New
J P Morgan Exchange Traded F—26.9K$1.67M0.1%$35.2KAdded$143.1K
Ishares Tr—33K$1.67M0.1%$5.59KCut−$1.53M
Boston Scientific CorpBSX26.6K$1.67M0.1%−$866.7KCut−$1.13M
Ishares Tr—25.8K$1.66M0.1%−$11.1KAdded$564.5K
Schwab Strategic Tr—35.3K$1.65M0.1%$42.8KCut$27.7K
Crowdstrike Hldgs Inc—4.2K$1.64M0.1%−$251.2KAdded$136.1K
International Business Machs—6.64K$1.61M0.1%−$357.4KCut−$677K
Vanguard Index Fds—18K$1.6M0.1%$3.77KCut−$477.6K
Reddit, Inc.RDDT11.8K$1.59M0.1%−$1.13MCut−$1.42M
Vaneck Etf Trust—16.4K$1.59M0.1%−$112.8KCut−$221.5K
Spdr S&P Midcap 400 Etf Tr—2.56K$1.58M0.1%$34.2KCut−$108.8K
Invesco Exchange Traded Fd T—34.7K$1.57M0.1%−$8.69KCut−$332.5K
Ishares Tr—19.4K$1.53M0.1%−$20.8KCut−$292.8K
Victory Portfolios Ii—32.5K$1.53M0.1%−$11KCut−$41.8K
Otter Tail CorpOTTR16.9K$1.49M0.1%$109.3KAdded$217.5K
Schwab Charles Corp—15.7K$1.47M0.1%−$93KCut−$201.4K
Thermo Fisher Scientific Inc.TMO2.98K$1.46M0.1%−$261.5KCut−$396.5K
Ishares Tr—16.1K$1.46M0.1%$17.3KCut−$150.2K
Omega Healthcare Invs Inc—33.3K$1.46M0.1%−$17.3KCut−$72.5K
World Gold Tr—15.7K$1.46M0.1%$115.2KCut−$1.01M
Applied Matls Inc—4.26K$1.45M0.1%$347.4KAdded$401.1K
Ishares Tr—9.44K$1.43M0.1%$97KCut$19.4K
Invesco Exchange Traded Fd T—11.3K$1.42M0.1%−$13.3KCut−$30.2K
Corning Inc—10.4K$1.41M0.1%$501.8KCut$155.9K
RTX CorpRTX7.23K$1.39M0.1%$68.8KCut−$41K
Ssga Active Tr—29.6K$1.39M0.1%−$4.45KCut−$1.53M
Pepsico IncPEP8.91K$1.38M0.1%$86.4KCut$36.1K
Palo Alto Networks IncPANW8.52K$1.37M0.0%−$203.5KCut−$327.7K
First Tr Exchange-Traded Fd—28.9K$1.36M0.0%$27.4KCut−$113.1K
Ishares Tr—25.8K$1.35M0.0%−$8.25KCut−$2.57M
Alps Etf Tr—25.7K$1.35M0.0%$143.2KAdded$155.8K
Ishares Tr—27K$1.35M0.0%$797Cut−$1.16M
Amgen IncAMGN3.81K$1.34M0.0%$93.5KCut−$3.38K
Verizon Communications IncVZ26.5K$1.33M0.0%$251.4KCut$161.6K
Enbridge Inc—24.4K$1.32M0.0%$113.2KAdded$465.4K
Ishares Tr—12.7K$1.32M0.0%$11.9KAdded$138.3K
Dbx Etf Tr—29.4K$1.31M0.0%−$12.5KAdded$340.4K
Waste Mgmt Inc Del—5.68K$1.3M0.0%$57.3KCut−$70.4K
Ishares Tr—9.15K$1.3M0.0%−$57.3KCut−$144.9K
Ishares 0-3 Month—12.9K$1.3M0.0%$3.6KCut−$51K
Merck & Co., Inc.MRK10.7K$1.3M0.0%$170.2KCut−$1.42K
American Express CoAXP4.24K$1.28M0.0%−$286.2KCut−$542.2K
Deere & CoDE2.27K$1.28M0.0%$222KCut−$200.2K
Innovator Etfs Trust—23.9K$1.27M0.0%−$30.3KAdded$198.5K
Quantum Computing Inc.QUBT181.4K$1.24M0.0%−$618.6KCut−$2.73M
Iron Mtn Inc Del—11.9K$1.23M0.0%$228.8KCut$121.7K
Aim Etf Products Trust—36.6K$1.22M0.0%−$8.95KAdded$595.3K
Ishares Tr—9.89K$1.2M0.0%−$75.5KCut−$223.9K
Pfizer IncPFE42.7K$1.2M0.0%$135.7KCut−$208.5K
Nuveen Minn Quality Mun Inm—97.4K$1.19M0.0%$44KAdded$222.6K
Union Pac Corp—4.91K$1.19M0.0%$55.6KCut$46.1K
Vanguard World Fd—3.79K$1.18M0.0%$9.56KAdded$977.8K
Vaneck Etf Trust—3K$1.15M0.0%$69.7KCut$61.1K
Ishares Tr—12.5K$1.14M0.0%$53.3KAdded$245.6K
Aim Etf Products Trust—33.8K$1.13M0.0%−$17.9KCut−$55.1K
Oneok Inc /New/OKE12.5K$1.13M0.0%$210.4KCut$176.1K
Sunoco Lp/Sunoco Fin Corp—16.9K$1.1M0.0%$211.9KCut$111.6K
Oracle Corp—7.39K$1.09M0.0%−$353.2KCut−$951.8K
Ishares Tr—35.9K$1.09M0.0%−$22.9KCut−$189.3K
Global X Fds—22.3K$1.08M0.0%$80.7KCut$20.7K
Vanguard World Fd—5.41K$1.07M0.0%$59.1KAdded$237.9K
Lockheed Martin CorpLMT1.76K$1.06M0.0%$212.6KCut−$22.9K
Invesco Exchange Traded Fd T—14.9K$1.06M0.0%−$105.7KCut−$337.1K
Aim Etf Products Trust—27.2K$1.06M0.0%−$8.4KCut−$9.53K
Ishares Tr—6.22K$1.05M0.0%$529Cut−$143.1K
Vanguard Index Fds—3.44K$1.03M0.0%−$49.2KAdded$56K
Innovator Etfs Trust—22.5K$1.02M0.0%$12.7KCut−$13.5K
Ishares Tr—21.3K$1.01M0.0%−$6.41KCut−$29.4K
Celcuity Inc.CELC8.83K$1.01M0.0%$127.1KCut$76.7K
Fidelity Covington Trust—27.1K$1.01M0.0%—New
Select Sector Spdr Tr—9.06K$1M0.0%−$62.2KCut−$96.6K
Ishares Tr—14.9K$1M0.0%$22.7KCut−$115.5K
Vanguard World Fd—5.79K$1M0.0%$272.9KCut$222.5K
Sherwin Williams CoSHW3.08K$986.1K0.0%−$10.7KAdded−$7.45K
Schwab Strategic Tr—25.7K$982.4K0.0%$55.8KAdded$68.5K
Spdr Index Shs Fds—11.7K$979K0.0%$182.3KAdded$214.1K
GE Vernova Inc.GEV1.11K$970K0.0%$225.6KAdded$298.1K
Vanguard Malvern Fds—19.1K$954.9K0.0%$9.26KAdded$24.1K
Mercadolibre IncMELI547$945.8K0.0%−$156KCut−$289K
Franklin Templeton Etf Tr—40.5K$932.4K0.0%−$14.8KAdded$108.8K
Northern Lts Fd Tr Iv—19.7K$930.8K0.0%$39.3KAdded$131.8K
Cambria Etf Tr—22.4K$926.9K0.0%$38KAdded$454.2K
First Tr Exchange-Traded Fd—9.98K$925.8K0.0%$2.51KCut−$83.5K
Ishares Tr—20.7K$919.3K0.0%−$4.35KCut−$934K
Realty Income CorpO14.9K$910.1K0.0%$71.6KCut$44.4K
First Tr Exchng Traded Fd Vi—17.2K$908.5K0.0%−$11.2KCut−$50.7K
Wisdomtree Tr—17.2K$902.5K0.0%$15.4KCut$7.22K
Spdr Series Trust—17K$901.5K0.0%−$53.6KAdded−$52.3K
Aim Etf Products Trust—28.5K$901.4K0.0%−$9.41KCut−$74.5K
Disney Walt Co—9.33K$898.9K0.0%−$162.1KCut−$245.5K
Select Sector Spdr Tr—5.53K$894.3K0.0%$36.6KCut−$79.2K
Innovator Etfs Trust—21.3K$891.1K0.0%−$1.14KCut−$13.7K
Invesco Exchange Traded Fd T—7.34K$886.3K0.0%$31.9KCut$24.4K
United Parcel Service IncUPS9.01K$886.1K0.0%−$6.62KAdded$73.7K
Ishares Tr—8.12K$884.6K0.0%−$9.77KCut−$77.3K
Eaton Corp PlcETN2.47K$882.7K0.0%$84.9KAdded$191.9K
Innovator Etfs Trust—19.1K$879.4K0.0%−$17KCut−$36.9K
First Tr Exchange Trad Fd Vi—30.3K$871.2K0.0%$166.3KCut$160.6K
Nxg Cushing Midstream Energy—19.4K$865.3K0.0%$65.8KAdded$392.7K
Ishares Tr—15.2K$860.9K0.0%$12.4KAdded$533.4K
Nextera Energy Inc—9.23K$857.1K0.0%$116.2KCut$99.9K
Vanguard World Fd—5.89K$854K0.0%$8.85KAdded$522.9K
Innovator Etfs Trust—20K$853.9K0.0%−$10.6KHeld
Booking Holdings Inc.BKNG202$850.8K0.0%−$229.8KHeld
Aim Etf Products Trust—23.9K$845K0.0%$12.3KCut−$26.9K
Autodesk, Inc.ADSK3.52K$843.9K0.0%−$199.6KCut−$316.2K
Vaneck Etf Trust—33.3K$835.8K0.0%−$22KAdded$35.8K
Aim Etf Products Trust—25.8K$829.8K0.0%−$9.91KCut−$39.3K
Philip Morris Intl Inc—5K$826.9K0.0%$24.7KCut−$121.3K
Innovator Etfs Trust—19.1K$821.8K0.0%−$15.4KCut−$21.4K
Ishares Tr—11.7K$819.8K0.0%$8.63KAdded$35.5K
Tidal Trust I—22.4K$812.7K0.0%$2.46KAdded$5.61K
Innovator Etfs Trust—18.8K$808.4K0.0%−$12.4KHeld
Vanguard Index Fds—3.88K$798.9K0.0%−$12.8KCut−$86.8K
Vaneck Etf Trust—40.2K$793.2K0.0%−$6.36KAdded$2.98K
Innovator Etfs Trust—19.8K$792.7K0.0%−$9.99KAdded$135.7K
Texas Instrs Inc—4.04K$783.6K0.0%$83.5KCut$30.9K
Qualcomm Inc—6.08K$783.4K0.0%−$257.3KCut−$497.4K
Parker-Hannifin CorpPH873$781.3K0.0%$13.3KAdded$71.5K
Eaton Vance Tax-Managed Buy-—56.6K$773.4K0.0%−$38.5KAdded−$28.8K
Ishares Tr—2.46K$771.5K0.0%−$22.8KCut−$133.6K
Vanguard World Fd—2.1K$770.7K0.0%−$94.9KCut−$244.3K
Cvs Health CorpCVS10.7K$768.8K0.0%−$77.2KAdded−$43.9K
Innovator Etfs Trust—13.6K$765.5K0.0%−$21.1KCut−$22.7K
Guggenheim Strategic Opportu—69.3K$763.7K0.0%−$128.3KAdded−$124.6K
Spdr Series Trust—2.97K$755.4K0.0%$34.6KAdded$101.6K
Innovator Etfs Trust—18.9K$752.9K0.0%$6.6KHeld
Fidelity Covington Trust—16.8K$752.7K0.0%$9.06KAdded$74.7K
Innovator Etfs Trust—10.5K$752.1K0.0%−$12.7KCut−$13.9K
Prudential Finl Inc—7.66K$747.8K0.0%−$116.3KCut−$153.4K
Fiserv IncFISV13.4K$747.1K0.0%−$148.6KAdded−$130.5K
Innovator Etfs Trust—13.9K$742.8K0.0%−$24KCut−$117.8K
Southern Copper Corp/SCCO4.31K$740.8K0.0%$77KAdded$354.3K
Listed Fds Tr—12.8K$740K0.0%−$102.4KCut−$224.5K
Illinois Tool Wks Inc—2.81K$734.9K0.0%$43.8KCut−$101.5K
First Tr Exch Trd Alphdx Fd—24.5K$732.9K0.0%—New
Sprott Asset Management Lp—20.6K$729.6K0.0%$38.6KAdded$203.6K
Starbucks CorpSBUX8.07K$723K0.0%$43.4KCut$15.6K
Ishares Tr—7.15K$719.2K0.0%$26.8KCut−$7.24K
Spdr Series Trust—7.34K$718.6K0.0%−$64.5KCut−$173.7K
Spdr Series Trust—7.46K$715.9K0.0%$25.4KAdded$53.3K
Sea LtdSE8.54K$707.4K0.0%—New
Proshares Tr—6.67K$707.2K0.0%$12.9KCut−$150.2K
Automatic Data Processing In—3.45K$706.4K0.0%−$186.5KCut−$207.8K
Phillips 66PSX3.88K$706K0.0%$206KCut$135.5K
Arm Holdings Plc—4.65K$702.8K0.0%$168.3KAdded$264.4K
Nushares Etf Tr—15.4K$698.7K0.0%$6.91KCut−$44.4K
Wec Energy Group, Inc.WEC6.03K$698.5K0.0%$61.5KAdded$69.5K
Fedex CorpFDX1.94K$695.1K0.0%$130.7KCut$127.8K
Ishares Tr—4.96K$673.4K0.0%$69.9KCut$20.6K
Oreilly Automotive Inc—7.27K$670.8K0.0%$7.99KHeld
Abrdn Silver Etf TrustSIVR9.35K$669.4K0.0%$21KAdded$311.3K
Delek Logistics Partners, LPDKL13.4K$668K0.0%$69KCut$45.2K
Pimco Etf Tr—25.4K$666.2K0.0%—New
Norfolk Southn Corp—2.31K$664.2K0.0%−$3.96KAdded−$3.67K
New York Life Investments Et—18.1K$659.5K0.0%$10.2KCut−$43.6K
Fidelity Covington Trust—11.9K$659.4K0.0%−$16.8KAdded$344
Dimensional Etf Trust—10.5K$657.8K0.0%$30.2KAdded$38.7K
Davis Fundamental Etf Tr—12.9K$653.4K0.0%−$5.03KCut−$20.3K
J P Morgan Exchange Traded F—16.6K$652.1K0.0%−$21.9KCut−$104.3K
Mastec IncMTZ2.01K$646.1K0.0%$209.6KCut$207K
Ford Mtr Co—55.7K$642.7K0.0%−$88KCut−$132.5K
Dbx Etf Tr—13K$642.5K0.0%$16.8KCut−$31.8K
Kimberly Clark CorpKMB6.56K$641.8K0.0%−$27.1KAdded$2.65K
Intuitive Surgical IncISRG1.38K$636.8K0.0%−$145.5KCut−$170.5K
Rockwell Automation, IncROK1.77K$636.7K0.0%−$53.3KCut−$59.6K
Intuit Inc.INTU1.47K$635.6K0.0%−$338.2KCut−$719.1K
Ishares Tr—6.75K$633.8K0.0%−$15.8KCut−$414K
Blackrock Science & Technolo—17.4K$633.8K0.0%−$73.3KCut−$74.6K
Schwab Strategic Tr—29.2K$626.8K0.0%$17.5KCut−$19.4K
Innovator Etfs Trust—13.5K$625.6K0.0%−$6.59KHeld
At&T Inc—21.4K$620.9K0.0%$88.9KCut$19.4K
Schwab Strategic Tr—19.1K$619.6K0.0%$17.6KCut−$182.9K
Independence Rlty Tr Inc—41K$610.2K0.0%−$106.1KCut−$147.2K
Cigna GroupCI2.28K$608.9K0.0%−$18.6KAdded$11.3K
Vaneck Etf Trust—5.04K$605.3K0.0%$30.4KAdded$52.7K
Ishares Tr—11.9K$605.2K0.0%$1.08KCut−$72.9K
Pimco Etf Tr—11.6K$604.6K0.0%−$4.3KCut−$7.67K
Ishares Tr—6.91K$599K0.0%−$2.75KAdded$82.9K
Aim Etf Products Trust—14.8K$592.2K0.0%−$16.5KCut−$61.4K
First Tr Exchng Traded Fd Vi—10.5K$589.1K0.0%−$8.12KCut−$67.5K
Blackstone Inc.BX5.07K$583.5K0.0%−$198.6KCut−$211.5K
Vanguard World Fd—5.18K$581.8K0.0%−$45.1KCut−$106.6K
American Elec Pwr Co Inc—4.43K$580.3K0.0%$69.9KCut$3.47K
Innovator Etfs Trust—12.6K$577.3K0.0%−$5.81KCut−$96.5K
Audioeye IncAEYE90.4K$575.7K0.0%−$266.2KAdded−$158.8K
Direxion Shs Etf Tr—5.84K$575.1K0.0%−$21.5KAdded−$5.59K
Solventum CorpSOLV8.79K$574.1K0.0%−$122.5KCut−$211.2K
APA CorpAPA13.5K$573K0.0%$196.4KAdded$305.8K
Entergy Corp New—5.08K$571.1K0.0%$97.8KAdded$117.5K
Alibaba Group Hldg Ltd—4.55K$570.5K0.0%−$96KCut−$659.3K
ConocophillipsCOP4.32K$570.2K0.0%$165.8KCut$55.6K
Vanguard World Fd—2.53K$568.9K0.0%$18.6KAdded$273.1K
Ishares Tr—7.08K$563K0.0%−$7.59KCut−$66K
Fidelity Covington Trust—6.46K$558.7K0.0%—New
Reaves Util Income Fd—14.2K$556.6K0.0%$35.4KAdded$76.7K
Ishares Tr—8.12K$555.8K0.0%$10.9KCut−$125K
Aim Etf Products Trust—14.4K$554.6K0.0%−$7.64KCut−$53K
Fidelity Merrimack Str Tr—12.1K$552.8K0.0%−$6.15KCut−$19K
Aim Etf Products Trust—16.5K$549.1K0.0%−$8.76KAdded$11.5K
Select Sector Spdr Tr—13.3K$544.7K0.0%$6.38KCut−$63.9K
Ishares Tr—12.9K$540.5K0.0%$2.47KAdded$209.5K
Spdr Series Trust—16.1K$539.9K0.0%−$4.33KCut−$10.7K
Invesco Exchange Traded Fd T—9.35K$538.2K0.0%$8.79KAdded$13.7K
Nushares Etf Tr—5.9K$536.5K0.0%−$40.5KCut−$43.2K
Hubbell IncHUBB1.08K$531K0.0%$50.5KCut−$317.3K
Ishares Inc—11.6K$526.4K0.0%$15.1KCut−$53.3K
First Tr Exchange Traded Fd—3.22K$526.3K0.0%$20.3KAdded$230.7K
Comcast Corp New—18.3K$526K0.0%−$21.6KCut−$43.6K
Accenture Plc Ireland—2.62K$519.9K0.0%−$183.6KCut−$364.7K
Ondas Hldgs IncONDS56.8K$513.8K0.0%—New
Ishares Tr—22K$508.3K0.0%−$5.06KAdded$28.8K
First Tr Exchange-Traded Fd—2.15K$504.1K0.0%−$75.7KCut−$351.4K
General Mls IncGIS13.5K$501.5K0.0%−$125KCut−$171.4K
Dell Technologies Inc.DELL3.05K$501K0.0%$103.8KAdded$159K
Ishares Tr—4.92K$501K0.0%$16.2KCut−$20.6K
Bloom Energy CorpBE3.7K$500.8K0.0%—New
Entegris IncENTG4.27K$500.4K0.0%$140.8KHeld
Principal Financial Group In—5.5K$495.9K0.0%$9.96KAdded$37.2K
BlackRock, Inc.BLK513$493.8K0.0%−$55.3KCut−$82.1K
Mplx Lp—8.59K$490.4K0.0%$30.3KAdded$53.1K
Innovator Etfs Trust—12.3K$490.3K0.0%$8.38KCut−$43.5K
J P Morgan Exchange Traded F—8.82K$489.7K0.0%−$28KCut−$156.8K
Arista Networks, Inc.ANET3.97K$487.2K0.0%−$27KAdded$59K
Aim Etf Products Trust—13.3K$485.7K0.0%−$7.06KCut−$46.3K
Ishares Tr—3.03K$483.7K0.0%$5.78KCut−$73.1K
Pimco Etf Tr—4.79K$482.1K0.0%−$633Cut−$84K
Vanguard Admiral Fds Inc—4.2K$481.7K0.0%$16.2KCut−$2.97K
Citigroup Inc—4.25K$481.6K0.0%−$14KCut−$345.4K
Blackrock Science & Technolo—21.6K$477.8K0.0%−$10.1KCut−$23K
Ishares Tr—20.8K$476.7K0.0%−$1.51KAdded$173.7K
Cloudflare, Inc.NET2.31K$476.6K0.0%$14.6KAdded$164.2K
Wisdomtree Tr—13.1K$472.3K0.0%$32.6KAdded$34.4K
Innovator Etfs Trust—10.5K$469.7K0.0%−$2.47KAdded$124.3K
First Tr Exchange Traded Fd—8.29K$466.1K0.0%−$31.7KAdded$6.84K
Saratoga Invt Corp—21.2K$463.1K0.0%−$23.3KAdded$14.3K
First Tr Exchange Traded Fd—7.35K$460.7K0.0%−$64.4KCut−$73.2K
Ishares Tr—2.42K$458.4K0.0%$20.2KCut−$79.3K
Wp Carey Inc—6.74K$458.4K0.0%$24.3KCut−$42.4K
Ametek Inc/AME2.13K$455.9K0.0%$19.3KHeld
Valero Energy Corp—1.84K$455.4K0.0%$155.4KCut$126.6K
Kinder Morgan Inc Del—13.5K$451.1K0.0%$81.3KCut$49.9K
Sprott Asset Management Lp—18.4K$448.1K0.0%$13.6KCut−$10K
Innovator Etfs Trust—8.2K$448K0.0%$7.55KCut−$42.8K
Litman Gregory Fds Tr—14.8K$447.4K0.0%$24.7KAdded$115.8K
Analog Devices IncADI1.41K$447.2K0.0%$66KCut$65.2K
Innovator Etfs Trust—9.3K$446.5K0.0%−$14.5KHeld
Ishares Tr—6.6K$442.1K0.0%$15.6KHeld
Hawkins IncHWKN2.88K$441.8K0.0%$31.5KAdded$54.2K
Alps Etf Tr—7.92K$441K0.0%−$16KAdded−$14.4K
Adobe Inc.ADBE1.81K$440.1K0.0%−$193.6KCut−$251.7K
First Tr Exchng Traded Fd Vi—10.1K$440.1K0.0%−$7.32KAdded−$4.71K
Intel CorpINTC9.97K$439.8K0.0%$72KCut$41.7K
Occidental Pete Corp—6.75K$438.7K0.0%$161.2KCut$161.1K
Lowes Cos Inc—1.85K$436.6K0.0%−$8.97KCut−$39.6K
Ishares Tr—3.38K$433.3K0.0%−$29.9KCut−$73.4K
Seagate Technology Hldngs Pl—1.1K$431.8K0.0%—New
Invesco Db Multi-Sector Comm—3.9K$428.6K0.0%$28.2KCut−$403.8K
Wheaton Precious Metals Corp.WPM3.27K$428K0.0%$44.1KCut$39.6K
Emerson Elec Co—3.24K$424K0.0%−$5.61KCut−$42.1K
Chubb Limited—1.28K$418.3K0.0%$17.4KCut−$24K
Freeport-Mcmoran IncFCX7.06K$414.9K0.0%$47.8KAdded$110.9K
Ishares Tr—3.5K$414.1K0.0%$16.5KCut−$33.9K
Innovator Etfs Trust—8.63K$411.8K0.0%−$8.31KHeld
Innovator Etfs Trust—10.1K$410.8K0.0%−$9.25KHeld
Becton Dickinson & CoBDX2.6K$409.5K0.0%−$95.9KCut−$141.3K
Vaneck Etf Trust—5.65K$409.2K0.0%$63.2KAdded$101K
Vaneck Etf Trust—4.46K$409.2K0.0%$26.5KAdded$30.3K
Vanguard Intl Equity Index F—4.18K$408.2K0.0%$30.6KCut$19.2K
Energy Transfer L P—21.1K$407.8K0.0%$59.4KCut−$20.3K
Ishares Tr—4.54K$407.5K0.0%−$20.5KCut−$59.4K
Morgan Stanley—2.47K$406.5K0.0%−$32KCut−$138.7K
Starwood Ppty Tr Inc—23.6K$405.9K0.0%−$18.3KAdded−$12.4K
Advanced Drain Sys Inc Del—2.95K$404.8K0.0%−$22.8KAdded−$22.7K
C. H. Robinson Worldwide, Inc.CHRW2.42K$403.5K0.0%$12.9KCut−$5.39K
D-Wave Quantum Inc.QBTS27.9K$403.1K0.0%−$202.4KAdded−$48.6K
Pgim Etf Tr—8.12K$402.1K0.0%−$2.48KAdded$10.8K
Jackson Financial Inc—3.8K$402K0.0%−$3.53KAdded−$3.11K
Novartis Ag—2.63K$401.7K0.0%$39.1KCut−$6.36K
Constellation Energy CorpCEG1.43K$400.5K0.0%−$106.2KCut−$165.3K
Rio Tinto Plc—4.29K$400.4K0.0%$56.9KCut−$20.7K
Northern Lts Fd Tr Iv—10.7K$398.6K0.0%$14.4KHeld
Ishares Tr—3.38K$398.1K0.0%−$38.1KCut−$60.4K
Invesco Exchange Traded Fd T—3.2K$397.8K0.0%$11.5KAdded$148.8K
Republic Svcs Inc—1.81K$397.5K0.0%$12.9KHeld
Ishares Tr—16.4K$396.4K0.0%$163Held
First Tr Exch Traded Fd Iii—22.3K$396.4K0.0%−$10.5KCut−$70.8K
Ishares Tr—17.1K$391.9K0.0%−$2.22KHeld
First Tr Exchng Traded Fd Vi—13.2K$391K0.0%−$5.87KAdded$16K
Invesco Actvely Mngd Etc Fd—22.5K$390K0.0%$91.7KCut$60.4K
Invesco Exchange Traded Fd T—4.12K$389K0.0%—New
Nyli Cbre Gbl Infr Megtrnds—26.4K$387.9K0.0%$24.5KAdded$25.2K
Corteva, Inc.CTVA4.6K$384.8K0.0%$76.7KCut$66.9K
First Solar, Inc.FSLR1.95K$384.1K0.0%−$61.9KAdded$131.5K
Ark Etf Tr—5.66K$382.8K0.0%−$52.8KCut−$133.6K
Aim Etf Products Trust—11K$382.1K0.0%−$8.7KHeld
Franklin Templeton Etf Tr—8.93K$381.3K0.0%—New
Aim Etf Products Trust—8.65K$380.1K0.0%−$7.94KHeld
Super Micro Computer Inc—16.7K$379.2K0.0%−$108.3KCut−$2.75M
Progressive Corp—1.91K$378.7K0.0%−$53.7KAdded−$36.8K
Salesforce, Inc.CRM2.03K$378.4K0.0%−$158.6KCut−$472.3K
Bp Plc—8.05K$378.1K0.0%$98.7KCut$81.5K
Packaging Corp Amer—1.78K$376.9K0.0%$10.6KCut−$136.4K
Rubrik, Inc.RBRK7.67K$375.6K0.0%—New
Global X Fds—21.9K$374.8K0.0%−$11.2KAdded−$6.08K
Applovin CorpAPP941$374.5K0.0%−$195.6KAdded−$103.2K
Vaneck Etf Trust—925$373.9K0.0%$103.3KAdded$127.6K
Aim Etf Products Trust—10.9K$370.1K0.0%−$2.75KCut−$61.5K
Innovator Etfs Trust—8.67K$368.6K0.0%−$7.21KAdded$13.4K
Vanguard Scottsdale Fds—4.45K$368.3K0.0%−$4.36KAdded$4.08K
Mckesson CorpMCK424$367.5K0.0%$18.5KAdded$29.8K
Slb Limited/NvSLB7.05K$364.2K0.0%$93.7KCut$38K
Invesco Exchange Traded Fd T—3.15K$363.3K0.0%−$8.82KAdded$5.01K
Blackrock Etf Trust—5.18K$363.1K0.0%−$19.1KAdded$5.03K
Ishares Tr—5.31K$361.8K0.0%−$8.5KCut−$15.9K
Spotify Technology S.A.SPOT742$359.8K0.0%−$71.1KCut−$82.7K
Aim Etf Products Trust—10.8K$359.6K0.0%−$408Held
Marriott Intl Inc New—1.1K$359.5K0.0%$18.5KCut−$63.1K
Brookfield Infrast Partners—9.89K$357.2K0.0%$12.9KAdded$32.8K
Dow Inc.DOW8.54K$355.6K0.0%—New
L3harris Technologies Inc—1.02K$353.3K0.0%$52.5KAdded$53.6K
Vanguard Scottsdale Fds—5.91K$351.8K0.0%−$2.2KCut−$26.3K
Zscaler, Inc.ZS2.5K$350.2K0.0%—New
Dbx Etf Tr—9.68K$349.9K0.0%−$6.48KCut−$184.5K
Best Buy Co IncBBY5.41K$347.5K0.0%−$20.5KCut−$47.9K
Ishares Tr—3.62K$346.2K0.0%$1.92KCut−$10.3K
Asml Holding N V—262$346.1K0.0%$65.8KCut$33.7K
Vanguard World Fd—958$344K0.0%−$33.5KCut−$33.9K
Cummins IncCMI638$343.5K0.0%$17.9KCut−$85.7K
Capital Group Core Balanced—9.88K$341.1K0.0%—New
First Tr Exchange Traded Fd—19.1K$340.5K0.0%$40.2KAdded$52K
Spdr Index Shs Fds—7.42K$338.5K0.0%$9.19KCut−$49.8K
Ishares Inc—2.83K$337.8K0.0%$2.1KCut−$63.9K
Marvell Technology, Inc.MRVL3.37K$333.4K0.0%$47.4KCut−$14.3K
Invesco Exchange Traded Fd T—3.4K$331.6K0.0%$12.4KAdded$101.3K
Snowflake Inc.SNOW2.2K$331.2K0.0%—New
Ishares Tr—5.33K$328.3K0.0%−$18.5KCut−$52K
Innovator Etfs Trust—11.4K$327.9K0.0%−$5.16KAdded$15.4K
Aim Etf Products Trust—7.71K$326.5K0.0%−$9.21KHeld
Spdr Index Shs Fds—6.94K$325.7K0.0%$694Added$741
Invesco Exchange Traded Fd T—11K$325.5K0.0%$5.24KCut−$77.8K
Willis Towers Watson PlcWTW1.11K$322.1K0.0%—New
First Tr Exchange-Traded Fd—6.46K$321.9K0.0%−$1.16KCut−$19.7K
Wisdomtree Tr—4.72K$321.3K0.0%−$13KCut−$20.1K
Novo-Nordisk A S—8.33K$316.3K0.0%−$99.8KAdded−$77.1K
First Tr Exchng Traded Fd Vi—10.2K$315.1K0.0%−$2.86KCut−$17.8K
First Tr Exchng Traded Fd Vi—13.1K$314.6K0.0%$3.69KCut−$26K
Federated Hermes Etf Trust—10.2K$314.2K0.0%—New
United Rentals, Inc.URI430$313.3K0.0%−$34.7KCut−$42.8K
Select Sector Spdr Tr—6.27K$313.2K0.0%$28.2KAdded$36.9K
Prologis Inc.—2.36K$312.2K0.0%$10.7KCut−$3.88K
Etf Ser Solutions—2.9K$311.5K0.0%—New
Huntington Bancshares Inc—19.7K$311.5K0.0%−$33.4KCut−$39.8K
MSCI Inc.MSCI576$310.7K0.0%−$14.5KAdded$64.2K
Spdr Series Trust—1.81K$309.9K0.0%−$4.59KHeld
Vanguard Admiral Fds Inc—751$306.1K0.0%−$27.7KCut−$28.6K
J P Morgan Exchange Traded F—2.34K$304.2K0.0%$14.6KAdded$15.6K
Ameriprise Finl Inc—678$301.2K0.0%−$31.1KCut−$92.8K
Aim Etf Products Trust—7.08K$300.9K0.0%$6.13KCut−$4.58K
Ishares Tr—2.7K$297.8K0.0%$1.22KCut−$176.9K
Fidelity Covington Trust—8.52K$296.5K0.0%—New
Invesco Exch Traded Fd Tr Ii—5.94K$294.8K0.0%$9.48KAdded$13.1K
Carnival Corp Ltd.CCL11.4K$294.6K0.0%−$36.6KAdded$54.5K
Vanguard World Fd—1.23K$290.5K0.0%−$18.2KCut−$51.1K
Ishares Tr—2.2K$290.3K0.0%−$15.9KCut−$26.6K
Hilton Worldwide Hldgs Inc—951$289.3K0.0%$15.8KAdded$20.1K
Genuine Parts CoGPC2.69K$287.4K0.0%−$46.1KCut−$52.7K
Shell Plc—3.09K$287K0.0%$53.9KAdded$84.1K
AST SpaceMobile, Inc.ASTS3.46K$286.6K0.0%$35.4KCut$25.8K
Oklo Inc.OKLO5.76K$285.7K0.0%−$127.7KCut−$166K
Global X Fds—15.5K$284.7K0.0%−$9.43KCut−$11.8K
Eaton Vance Tax-Managed Glob—32.8K$283.8K0.0%−$28.1KAdded−$24.2K
Spdr Series Trust—2.96K$283.7K0.0%−$4.43KCut−$26.7K
Innovator Etfs Trust—11.7K$281.5K0.0%—New
Schwab Strategic Tr—11.4K$281.3K0.0%−$2KCut−$29.1K
Lam Research CorpLRCX1.28K$274.7K0.0%$51.8KAdded$65.7K
Soundhound Ai Inc—39.7K$272.8K0.0%−$80.4KAdded$14.4K
Qnity Electronics, Inc.Q2.36K$272K0.0%—New
Fidelity Covington Trust—7.25K$271.9K0.0%—New
Etf Ser Solutions—9.02K$271.5K0.0%$27Cut−$26.6K
Solstice Advanced Matls Inc—3.55K$270.4K0.0%—New
Hershey CoHSY1.28K$266.2K0.0%$33.3KCut$32.6K
Vaneck Etf Trust—1.99K$265.3K0.0%—New
Eog Res Inc—1.82K$263.3K0.0%$72KCut$41.5K
Allstate Corp—1.26K$262.7K0.0%−$974Cut−$480.7K
Bristol-Myers Squibb Co—4.3K$260.6K0.0%$28.8KCut−$18.4K
Ishares Tr—2.94K$260.2K0.0%−$3.15KCut−$18.2K
Ishares Tr—3.13K$260.2K0.0%$1.77KCut−$13.3K
Totalenergies SeTTE2.85K$259.1K0.0%—New
Listed Fds Tr—4.96K$258.3K0.0%$37.6KAdded$38K
Aim Etf Products Trust—6.83K$255.8K0.0%−$4.36KAdded−$2.3K
International Paper Co—7.12K$254.3K0.0%−$26.3KCut−$65.7K
Copa Holdings Sa—2.24K$254.3K0.0%−$15.4KAdded−$10.2K
Autozone IncAZO75$253.3K0.0%−$1.03KHeld
Fortinet, Inc.FTNT3.08K$251.4K0.0%$7.11KCut−$54K
Ishares Tr—1.43K$250.9K0.0%$31.4KCut$29.5K
Lincoln Natl Corp Ind—7.04K$250K0.0%−$63.6KCut−$98.2K
Veralto CorpVLTO2.83K$250K0.0%−$32.1KCut−$33.5K
American Tower Corp New—1.45K$249.9K0.0%−$4.34KCut−$33.7K
Williams Cos Inc—3.41K$248.2K0.0%$43.2KCut$42.8K
Rocket Lab CorpRKLB3.85K$247.6K0.0%−$21.4KCut−$33K
DuPont de Nemours, Inc.DD5.4K$247.4K0.0%$30.2KCut$27.1K
Ishares Tr—3.3K$246.4K0.0%$298Cut−$70.1K
First Tr Exchng Traded Fd Vi—8.2K$245.6K0.0%−$3.44KAdded$2.34K
Crown Castle Inc.CCI3.01K$244.7K0.0%−$22.7KCut−$35.5K
Invesco Exch Traded Fd Tr Ii—2.47K$243.3K0.0%$4.17KCut−$26.8K
Cintas CorpCTAS1.42K$240.7K0.0%−$26.9KCut−$38K
Toro CoTTC2.58K$240.7K0.0%$37.9KCut$36.8K
Roundhill Etf Trust—9.07K$240.5K0.0%—New
Nasdaq, Inc.NDAQ2.83K$240.1K0.0%−$34.6KHeld
Invesco Exchange Traded Fd T—4.13K$239.8K0.0%−$5.81KCut−$23.6K
CARRIER GLOBAL CorpCARR4.25K$239.3K0.0%$14.7KCut$8.96K
Insulet CorpPODD1.14K$239.2K0.0%−$84.8KCut−$181.7K
Conagra Brands Inc.CAG15.2K$238.4K0.0%—New
Coinbase Global, Inc.COIN1.36K$237.5K0.0%−$70.1KCut−$70.8K
Sanofi Sa—4.86K$234K0.0%—New
Northern Lts Fd Tr Iv—5.25K$233.5K0.0%$6.5KHeld
Nucor CorpNUE1.37K$231.3K0.0%$8.2KCut−$5.17K
Mccormick & Co Inc—4.53K$228.5K0.0%−$80KHeld
Spdr Series Trust—11.1K$228.1K0.0%—New
Pnc Finl Svcs Group Inc—1.09K$227.7K0.0%−$701Cut−$9.68K
Victory Portfolios Ii—4.17K$227.3K0.0%$7.13KAdded$7.73K
Aim Etf Products Trust—6.3K$226.5K0.0%−$2.48KHeld
Vanguard World Fd—3.15K$226.2K0.0%$367Cut−$18.5K
Quanta Svcs Inc—411$225.9K0.0%—New
Air Prods & Chems Inc—774$224.8K0.0%—New
Ishares Tr—4.75K$223.4K0.0%$4.9KAdded$5.46K
Leidos Holdings, Inc.LDOS1.43K$222.8K0.0%−$35.7KCut−$82.5K
Sila Realty Trust Inc—9.36K$221.7K0.0%$3.46KCut−$40.9K
Halozyme Therapeutics, Inc.HALO3.42K$221.2K0.0%−$9.14KCut−$25K
Cardinal Health IncCAH1.04K$220.7K0.0%$6.11KCut$1.59K
First Tr Exchng Traded Fd Vi—4.6K$220.2K0.0%−$4.29KHeld
Vertex Pharmaceuticals Inc—493$220.1K0.0%−$3.36KCut−$17.4K
Aim Etf Products Trust—6.37K$218.7K0.0%−$5.17KHeld
Gsk Plc—3.92K$218.7K0.0%$26.2KCut−$9.62K
Marathon Pete Corp—895$218.5K0.0%$72.9KCut$6.72K
Ishares Tr—3.94K$217.3K0.0%−$9.04KAdded−$1.47K
Mondelez Intl Inc—3.77K$217.2K0.0%$14.3KCut−$1.09K
Paypal Hldgs Inc—4.79K$216.8K0.0%−$56.9KAdded−$35.7K
Ishares Tr—2.24K$216.7K0.0%−$13.9KCut−$131.6K
Robinhood Mkts Inc—3.13K$216.6K0.0%−$133.8KAdded−$128.8K
Virtus Invt Partners Inc—1.6K$215.2K0.0%—New
Ishares Tr—8.3K$215.1K0.0%$3.07KHeld
Ishares Tr—9.33K$213.8K0.0%$373Held
T-Mobile Us Inc—1.02K$213.6K0.0%$7.11KCut−$48.7K
Inventrust Pptys Corp—6.96K$212.2K0.0%$15.7KCut−$6.92K
Vanguard Intl Equity Index F—4.76K$211.5K0.0%−$6.62KCut−$7.77K
Uber Technologies, IncUBER2.93K$210.6K0.0%−$28.6KCut−$42.9K
Aim Etf Products Trust—5.48K$210.3K0.0%—New
General Dynamics CorpGD612$210.1K0.0%$4.02KCut−$4.74K
Centerpoint Energy IncCNP4.85K$209.3K0.0%$23.4KCut−$9.44K
Innovator Etfs Trust—4.35K$209K0.0%−$5.07KHeld
Invesco Exchange Traded Fd T—2.57K$208.7K0.0%$16.2KCut−$5.38K
Cheniere Energy Partners LpCQP3.23K$208.7K0.0%—New
First Tr Exchange Traded Fd—3.45K$208.4K0.0%−$8.58KCut−$71.3K
Yum Brands IncYUM1.33K$207.3K0.0%—New
Invesco Exchange Traded Fd T—4.32K$205.2K0.0%$2.63KHeld
Spdr Series Trust—1.61K$205.1K0.0%$9.31KCut−$13.9K
Sysco CorpSYY2.87K$204.5K0.0%−$6.77KAdded−$6.48K
Vaneck Etf Trust—1.09K$204.4K0.0%−$1.35KHeld
Nordson CorpNDSN765$204.2K0.0%—New
Schwab Strategic Tr—7.5K$204K0.0%—New
Astrazeneca Plc OrdAZN1.03K$203.9K0.0%—New
Calamos Etf Tr—7.5K$203.8K0.0%−$354Held
Kenvue Inc.KVUE11.8K$203.3K0.0%−$115Added$4.13K
Innovator Etfs Trust—4.09K$203.2K0.0%−$4.38KAdded−$3.34K
MongoDB, Inc.MDB827$202.4K0.0%—New
Innovative Indl Pptys Inc—3.99K$200.3K0.0%—New
Archer-Daniels-Midland CoADM2.75K$200K0.0%—New
Global X Fds—10.4K$195.8K0.0%$15.1KAdded$17.8K
Neuberger Next Generation—14.7K$188.8K0.0%−$21.1KAdded−$5.5K
Healthcare Rlty Tr—10.8K$183.1K0.0%$431Held
Hancock John Pfd Income Fd I—12.5K$178.2K0.0%−$2.13KCut−$5.01K
Doubleline Income Solutions—16K$173.2K0.0%−$7.03KCut−$66.2K
Nokia Corp—21.2K$170.1K0.0%$33.2KCut$13K
SoFi Technologies, Inc.SOFI10.6K$168.9K0.0%−$109.5KCut−$127.4K
Duff & Phelps Utlity And Inf—11.3K$163.6K0.0%$19.6KCut$9.53K
Nu Hldgs Ltd—11.4K$163.2K0.0%−$26.9KCut−$95.3K
Mobileye Global Inc.MBLY23.7K$162.8K0.0%—New
Alphatec Hldgs Inc—13.7K$149K0.0%−$139.2KHeld
Direxion Shs Etf Tr—31K$128.3K0.0%—New
Nuveen Mun High Income Oppor—10.5K$109.5K0.0%—New
Archer Aviation Inc—14.1K$72.7K0.0%−$25.1KAdded−$7.5K
Aurora Innovation Inc—15.1K$62.4K0.0%$4.23KAdded$4.36K
Sleep Number CorpSNBRQ20.6K$37K0.0%−$70.9KAdded−$52.9K
AMERICAN BATTERY TECHNOLOGY CoABAT11.6K$32.4K0.0%—New
Neuroone Med Technologies Co—34.7K$27K0.0%$643Held
ZenaTech, Inc.ZENA10K$22.9K0.0%−$9.1KCut−$10.2K

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.