Cassady Wealth & Retirement Planning, LLC

CIK 2121075 · View on SEC EDGAR ↗

Portfolio value
$215.0M
#6,216 of 9,443 by 13F value · top 65.8%
Positions
104
As of
June 30, 2026

Portfolio value QoQ: +11.4% 13F does not disclose cash

Top 10 holdings weight
37.03%
Top 25 holdings weight
66.21%
Positions above 1%
36
Effective number of positions
42.2

Based on 13F long-equity holdings only (cash, bonds, shorts not disclosed)

Turnover Q2 2026: 0.78% Est. buys $17,226,012 · sells $1,594,481

New positions
4
Increased
50
Decreased
39
Closed
1
On this page

Sector breakdown

Consumer Discretionary
2.5%
Technology
1.1%
Retail
0.2%
Utilities
0.1%
Logistics & Transportation
0.1%
Healthcare
0.0%
Other/Unmapped
96.0%

Full portfolio 104 positions

Type Streak 8Q trend
SGOV iShares 0-3 Month Treasury Bond ETF $14,246,440 6.63% 141,516 $240,050 Up ×2
CGDV $9,733,120 4.53% 197,506 $1,092,032 Up ×2
PAPR $8,849,551 4.12% 209,705 $115,630 Down ×1
VEA $8,396,931 3.90% 117,852 $852,715 Up ×2
PFEB $8,294,217 3.86% 192,620 $171,432
PJUN $7,012,554 3.26% 162,215 $5,132,155 Up ×1
SCHG $6,361,385 2.96% 187,984 $115,619 Down ×1
PMAR $5,863,743 2.73% 122,750 $111,463 Down ×1
LVHI $5,469,110 2.54% 134,757 $41,037 Up ×2
SMH SMH $5,397,456 2.51% 8,229 $1,465,203 Up ×2
PMAY $5,304,407 2.47% 128,436 $1,931,722 Up ×1
DIVO $5,300,150 2.46% 115,977 $459,307 Up ×2
QDPL $4,850,026 2.26% 107,611 $590,233 Up ×2
BND Vanguard Total Bond Market ETF $4,843,365 2.25% 65,977 $237,163 Up ×1
JOET $4,467,478 2.08% 96,521 $821,340 Up ×2
PWRD TCW Transform Systems ETF $4,461,034 2.07% 36,280 $812,951 Up ×2
CGGR $4,346,236 2.02% 92,081 $731,276 Up ×2
CGBL $4,190,516 1.95% 110,393 $248,761 Up ×2
SCHV $3,723,104 1.73% 106,955 $151,404 Down ×2
XBI XBI $3,704,894 1.72% 23,412 $928,418 Up ×2
VUG $3,663,066 1.70% 42,525 $420,816 Up ×2
PDEC $3,565,515 1.66% 77,697 $66,833 Down ×2
PNOV $3,538,509 1.65% 79,786 $80,095 Down ×1
XMHQ $3,421,996 1.59% 30,315 $264,424 Up ×2
CALF $3,366,916 1.57% 66,527 $489,242 Up ×2
COWZ $3,274,625 1.52% 52,647 $-106,200 Down ×1
POCT $3,121,165 1.45% 67,252 $42,495 Down ×2
PJAN $3,113,416 1.45% 62,910 $67,179 Up ×2
BUG Global X Cybersecurity ETF $3,048,713 1.42% 79,830 $1,186,041 Up ×2
PAUG $2,843,281 1.32% 62,298 $56,728 Down ×2
SEIX $2,842,174 1.32% 122,878 $456,503 Up ×2
PJUL $2,730,431 1.27% 55,940 $48,076 Up ×1
GDX GDX $2,688,697 1.25% 35,635 $-105,548 Up ×2
CGMS $2,675,836 1.24% 97,908 $413,384 Up ×2
IDEV $2,483,290 1.15% 27,899 $-15,584 Down ×2
VCIT Vanguard Intermediate-Term Corporate Bond ETF $2,294,486 1.07% 27,761 $366,776 Up ×2
PPH VanEck Pharmaceutical ETF $2,062,642 0.96% 18,863 $325,208 Up ×2
PSEP $1,913,746 0.89% 41,558 $25,597 Down ×2
PFF iShares Preferred and Income Securities ETF $1,715,261 0.80% 56,257 $173,684 Up ×2
QDVO $1,710,188 0.80% 57,312 $337,177 Up ×2
BNDX Vanguard Total International Bond ETF $1,608,658 0.75% 33,216 $92,296 Up ×1
PFXF $1,558,554 0.72% 87,363 $196,869 Up ×2
SCHX $1,396,424 0.65% 47,449 $70,217 Up ×2
IEMG $1,147,831 0.53% 13,856 $-30,618 Down ×2
DDFD $1,026,104 0.48% 51,363 $59,619 Up ×2
SPHY $1,015,775 0.47% 43,335 $42,820 Up ×1
SEIM $963,871 0.45% 17,166 $38,473 Down ×2
SEIV $939,696 0.44% 19,577 $37,254 Down ×2
VTIP Vanguard Short-Term Inflation-Protected Securities Index Fund ETF Shares $914,882 0.43% 18,214 $30,863 Up ×1
VWO $868,131 0.40% 14,544 $-13,226 Down ×2
AAPL Apple Inc. - Common Stock $839,244 0.39% 2,900 $141,781 Up ×1
VYM $830,953 0.39% 5,258 $-44,127 Down ×2
XLV XLV $754,655 0.35% 4,756 $4,001 Down ×2
SCHD $747,878 0.35% 23,585 $-35,994 Down ×2
SCHA $720,685 0.34% 19,947 $33,705 Down ×2
VTEB $714,594 0.33% 14,128 $-251,962 Down ×2
XLF XLF $691,220 0.32% 12,893 $-32,558 Down ×1
JEPI $683,682 0.32% 12,105 $-77,184 Down ×2
VBK $666,093 0.31% 1,821 $10,458 Down ×2
VBR $649,927 0.30% 2,675 $26,181 Down ×2
IWM $623,434 0.29% 2,075 $46,646
DDFJ $598,833 0.28% 30,290 $14,603 Up ×1
MSFT Microsoft Corporation - Common Stock $587,773 0.27% 1,576 $-67,413 Down ×1
PAAA $559,971 0.26% 10,922 $21,734 Up ×1
SCHP $522,262 0.24% 19,708 $26,215 Up ×2
VWOB Vanguard Emerging Markets Government Bond ETF $517,748 0.24% 7,700 $28,824 Up ×1
EMLC $511,072 0.24% 19,995 $33,407 Up ×1
JAJL $486,247 0.23% 16,257 $-420 Down ×1
DDFF $462,044 0.21% 23,152 $6,181
SEIQ $453,530 0.21% 11,508 $26,439 Up ×2
IBB IBB $440,670 0.20% 2,317 $49,815
IAI $438,026 0.20% 2,498 $-2,811
SPY SPY $435,367 0.20% 583 $70,288 Up ×1
ACWV $423,450 0.20% 3,522 $19,001 Up ×2
GLD $397,114 0.18% 1,078 $-82,045 Down ×1
NVDA NVIDIA Corporation - Common Stock $394,579 0.18% 1,972 $54,910 Up ×1
BCI $372,721 0.17% 16,684 $-80,455 Down ×1
ZNOV $366,094 0.17% 13,332 $252 Down ×1
QQQ Invesco QQQ Trust, Series 1 $362,510 0.17% 492 $48,490 Up ×2
VIG $356,586 0.17% 1,507 $-33,822 Down ×1
JEPQ JPMorgan Nasdaq Equity Premium Income ETF $347,038 0.16% 5,647 $8,434 Down ×1
AMZN Amazon.com, Inc. - Common Stock $339,873 0.16% 1,426 $-31,476 Up ×2
DDFO $333,283 0.15% 14,806 $44,794 Up ×1
KJAN $319,638 0.15% 7,005 $10,640
NEE NextEra Energy, Inc. Common Stock $313,251 0.15% 3,569 $-36,083
AVGO Broadcom Inc. - Common Stock $299,934 0.14% 794 $-31,505
MBB iShares MBS ETF $294,241 0.14% 3,113 $-1,473 Down ×2
IEFA $270,675 0.13% 2,803 $-769 Down ×1
BRKB $270,211 0.13% 540 $40,515 Up ×1
USIG iShares Broad USD Investment Grade Corporate Bond ETF $254,604 0.12% 4,964 $9,680 Up ×2
MUB $251,185 0.12% 2,334 $-63,027 Down ×1
SCHO $248,787 0.12% 10,306 $-3,049 Down ×2
JANT $244,281 0.11% 5,551 $-4,822 Down ×2
IBM International Business Machines Corporation Common Stock $243,528 0.11% 866
VB $241,383 0.11% 796 $15,009
FOCT $240,325 0.11% 4,596 $-4,731 Down ×1
Unknown issuer (CUSIP: 45784N379) $227,711 0.11% 11,530 Up ×1
DDFL $227,034 0.11% 10,694 Up ×1
JULT $225,641 0.10% 4,723 $-3,271 Down ×2
APRT $224,689 0.10% 4,898 $-4,497 Down ×2

Biggest new bets

New positions opened this quarter, largest first.

Security Value Shares % of portfolio
IBM $243,528 866 0.11%
Unknown issuer (CUSIP: 45784N379) $227,711 11,530 0.11%
DDFL $227,034 10,694 0.11%
VGT $211,311 1,768 0.10%

Top movers (QoQ)

Security Action Shares Δ Value Δ
PJUN Bought more +119K +$5.1M
PMAY Bought more +45K +$1.9M
SMH Bought more +469 +$1.5M
BUG Bought more +10K +$1.2M
CGDV Bought more +11K +$1.1M
XBI Bought more +2K +$928K
VEA Bought more +8K +$853K
JOET Bought more +11K +$821K
PWRD Bought more +4K +$813K
CGGR Bought more +11K +$731K

Exited positions

Includes corporate events (mergers, delistings) — not all exits are sells

Closed positions reflect 13F reporting changes; for index managers these are often mechanical (delisting, M&A, index rebalancing), not active decisions.

SecurityQuarter Shares before Value before Price since exit
VNQ June 30, 2026 2,353 $226,664 No longer tracked
IBM March 31, 2026 720 $213,271 -3.6%