SFAM, LLC

CIK 1713286 · View on SEC EDGAR ↗

Portfolio value
$122.6M
#7,975 of 9,443 by 13F value · top 84.5%
Positions
262
As of
June 30, 2026

Portfolio value QoQ: +13.7% 13F does not disclose cash

Top 10 holdings weight
80.27%
Top 25 holdings weight
90.23%
Positions above 1%
13
Effective number of positions
9.0

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

Turnover Q2 2026: 1.78% Est. buys $7,739,344 · sells $2,055,782

New positions
14
Increased
32
Decreased
15
Closed
20
On this page

Sector breakdown

Technology
2.5%
Healthcare
2.0%
Industrials
2.0%
Communication Services
1.0%
Retail
0.8%
Financials
0.6%
Financial Services
0.5%
Materials
0.4%
Consumer Discretionary
0.3%
Consumer Staples
0.3%
Utilities
0.2%
Real Estate
0.2%
Energy
0.2%
Consumer products
0.1%
Logistics & Transportation
0.0%
Telecommunication
0.0%
Communications
0.0%
Other/Unmapped
88.8%

Full portfolio 262 positions

Type Streak 8Q trend
VV $29,799,215 24.31% 86,648 $3,983,967 Up ×1
SMMD $15,514,562 12.66% 169,317 $2,106,922 Down ×2
AGG $14,311,874 11.68% 144,594 $738,953 Up ×2
DGRO $11,050,146 9.01% 145,800 $1,186,281 Up ×1
SPYG $10,591,127 8.64% 89,009 $2,117,097 Up ×1
BSV $7,970,414 6.50% 102,303 $1,538,173 Up ×2
ANGL VanEck Fallen Angel High Yield Bond ETF $2,758,678 2.25% 94,346 $202,269 Up ×2
VUG $2,512,342 2.05% 29,166 $-465,386 Up ×1
VTV $2,009,353 1.64% 9,220 $-611,502 Down ×2
SUB $1,877,439 1.53% 17,634 $111,083 Up ×2
ICF $1,613,100 1.32% 23,852 $326,223 Up ×1
VOO $1,385,117 1.13% 2,017 $565,009 Up ×2
AAPL Apple Inc. - Common Stock $1,365,362 1.11% 4,719 $170,377 Up ×2
IXUS iShares Core MSCI Total International Stock ETF $1,183,551 0.97% 12,401 $669,256 Up ×1
LLY Eli Lilly and Company Common Stock $856,393 0.70% 714 $187,720 Down ×1
GOOGL Alphabet Inc. - Class A Common Stock $707,593 0.58% 1,980 $172,731 Up ×1
SPY SPY $700,470 0.57% 938 $83,297 Down ×2
IVV $677,745 0.55% 905 $86,590
IJR $673,196 0.55% 4,539 $114,305 Up ×1
MSFT Microsoft Corporation - Common Stock $608,334 0.50% 1,631 $11,725 Up ×1
IWR $589,442 0.48% 5,343 $2,170 Down ×2
APH Amphenol Corporation Common Stock $564,224 0.46% 3,200 $159,904
ICSH $454,026 0.37% 8,976 $34,894 Up ×2
IVW $427,718 0.35% 3,110 $75,946
JMEE $407,317 0.33% 5,220 $58,778
V Visa Inc. $389,750 0.32% 1,136 $46,405
GOOG Alphabet Inc. - Class C Capital Stock $316,959 0.26% 897 $59,633
AMZN Amazon.com, Inc. - Common Stock $303,168 0.25% 1,272 $48,246 Up ×2
JPM JP Morgan Chase & Co. Common Stock $302,453 0.25% 924 $30,649
AXON Axon Enterprise, Inc. - Common Stock $293,199 0.24% 523 $49,427 Down ×1
BRKB $290,727 0.24% 581 Up ×1
COST Costco Wholesale Corporation - Common Stock $255,383 0.21% 273 $-16,642
VTWO Vanguard Russell 2000 ETF $235,365 0.19% 1,938 $164,445 Up ×1
NVDA NVIDIA Corporation - Common Stock $235,127 0.19% 1,175 $34,218 Up ×1
JNJ Johnson & Johnson Common Stock $229,081 0.19% 902 $-3,626 Down ×1
DVY iShares Select Dividend ETF $212,568 0.17% 1,360 $6,650
CAT Caterpillar, Inc. Common Stock $207,656 0.17% 195 $69,506
NUE Nucor Corporation Common Stock $207,380 0.17% 931 $49,948
MCK McKesson Corporation Common Stock $201,745 0.16% 267 $-29,306
ABBV AbbVie Inc. Common Stock $196,287 0.16% 780 $26,638
ABT Abbott Laboratories Common Stock $182,569 0.15% 2,012 $-23,199 Up ×2
ORLY O'Reilly Automotive, Inc. - Common Stock $178,194 0.15% 1,935 $-426
IEFA $178,163 0.15% 1,845 $142,675 Up ×1
DE Deere & Company Common Stock $173,172 0.14% 273 $19,391
PH Parker-Hannifin Corporation Common Stock $161,390 0.13% 165 $13,675
AMD Advanced Micro Devices, Inc. - Common Stock $155,103 0.13% 267 $100,787
ORI Old Republic International Corporation Common Stock $154,719 0.13% 3,781 $3,857
MCD McDonald's Corporation Common Stock $153,727 0.13% 569 $-22,339 Up ×2
AVGO Broadcom Inc. - Common Stock $141,983 0.12% 376 $25,761
VCSH Vanguard Short-Term Corporate Bond ETF $141,385 0.12% 1,789 $27,078 Up ×1
HD Home Depot, Inc. (The) Common Stock $136,429 0.11% 387 $9,203
SCHG $136,206 0.11% 4,025 $18,958
PG Procter & Gamble Company (The) Common Stock $130,101 0.11% 887 $1,951
TMO Thermo Fisher Scientific Inc Common Stock $122,833 0.10% 245 $2,408
ECL Ecolab Inc. Common Stock $112,001 0.09% 402 $5,061
SYK Stryker Corporation Common Stock $111,768 0.09% 355 $-4,881
META Meta Platforms, Inc. - Class A Common Stock $111,531 0.09% 198 $-1,751
PM Philip Morris International Inc Common Stock $110,898 0.09% 613 $9,545
PNC PNC Financial Services Group, Inc. (The) Common Stock $107,598 0.09% 437 $16,663
KNX Knight-Swift Transportation Holdings Inc. $103,801 0.08% 1,333 $27,047
GLW Corning Incorporated Common Stock $102,172 0.08% 400 $47,784
CEG Constellation Energy Corporation - Common Stock When-Issued $101,566 0.08% 409 $-12,627
PEP PepsiCo, Inc. - Common Stock $98,252 0.08% 726 $-13,700 Up ×1
RBA RB Global, Inc. Common Stock $92,811 0.08% 797 $16,419
VONG Vanguard Russell 1000 Growth ETF $92,790 0.08% 726 $13,155
A Agilent Technologies, Inc. Common Stock $92,450 0.08% 696 $13,120
CBRE CBRE Group Inc Common Stock Class A $89,704 0.07% 666 $-512
QCOM QUALCOMM Incorporated - Common Stock $89,254 0.07% 483 $27,053
ITT ITT Inc. Common Stock $88,992 0.07% 450 $3,253
WMT Walmart Inc. - Common Stock $84,702 0.07% 748 $-8,225
MRK Merck & Company, Inc. Common Stock (new) $83,361 0.07% 649 $5,331
UNP Union Pacific Corporation Common Stock $78,608 0.06% 289 $8,491
MAR Marriott International - Class A Common Stock $77,824 0.06% 210 $9,139
EFA $76,352 0.06% 735 $4,961
GLDM $73,940 0.06% 931 Up ×1
INTC Intel Corporation - Common Stock $73,838 0.06% 529 $50,502
AVUV $71,737 0.06% 575 $8,217
IMCG $71,661 0.06% 729 $14,238
XOM Exxon Mobil Corporation Common Stock $71,094 0.06% 520 $-17,129
MA Mastercard Incorporated Common Stock $69,850 0.06% 136 $1,896
SPG Simon Property Group, Inc. Common Stock $68,661 0.06% 307 $11,396
TSLA Tesla, Inc. - Common Stock $66,034 0.05% 157 $7,669
FCX Freeport-McMoRan, Inc. Common Stock $64,777 0.05% 1,030 $4,234
PAYX Paychex, Inc. - Common Stock $62,931 0.05% 640 $3,974
MDLZ Mondelez International, Inc. - Class A Common Stock $60,501 0.05% 1,046 $210
EXC Exelon Corporation - Common Stock $60,493 0.05% 1,298 $-3,114
SNA Snap-On Incorporated Common Stock $60,360 0.05% 150 $5,877
VT $59,170 0.05% 377 $7,023
LHX L3Harris Technologies, Inc. Common Stock $58,118 0.05% 200 $-10,912
J Jacobs Solutions Inc. Common Stock $57,960 0.05% 460 Up ×1
CVX Chevron Corporation Common Stock $56,903 0.05% 343 $-13,990
OEF $56,710 0.05% 155 $7,409
IWF $54,635 0.04% 440 $7,731 Up ×1
BKNG Booking Holdings Inc. - Common Stock $53,472 0.04% 300 $2,948 Up ×1
QQQ Invesco QQQ Trust, Series 1 $52,284 0.04% 71 $4,378 Down ×2
TGT Target Corporation Common Stock $52,244 0.04% 400 $3,764
GILD Gilead Sciences, Inc. - Common Stock $51,796 0.04% 410 $32,145 Up ×1
AKAM Akamai Technologies, Inc. - Common Stock $51,067 0.04% 432 $1,452
VRTX Vertex Pharmaceuticals Incorporated - Common Stock $49,673 0.04% 100 $5,019
CRL Charles River Laboratories International, Inc. Common Stock $48,760 0.04% 215 $11,672

Biggest new bets

New positions opened this quarter, largest first.

Security Value Shares % of portfolio
BRKB $290,727 581 0.24%
GLDM $73,940 931 0.06%
J $57,960 460 0.05%
Unknown issuer (CUSIP: 84615Q103) $45,449 266 0.04%
Unknown issuer (CUSIP: 438516205) $24,069 108 0.02%
Unknown issuer (CUSIP: 43849R105) $23,656 107 0.02%
AJG $22,957 100 0.02%
GSK $9,379 179 0.01%
SPYM $8,612 98 0.01%
Unknown issuer (CUSIP: 314352105) $4,983 33 0.00%
Unknown issuer (CUSIP: G2004J103) $2,857 100 0.00%
YSS $2,462 100 0.00%
JOBY $892 100 0.00%
SCZ $658 8 0.00%

Top movers (QoQ)

Security Action Shares Δ Value Δ
VV Bought more +266 +$4.0M
SPYG Bought more +2K +$2.1M
SMMD Trimmed -6K +$2.1M
BSV Bought more +20K +$1.5M
DGRO Bought more +5K +$1.2M
AGG Bought more +8K +$739K
IXUS Bought more +6K +$669K
VTV Trimmed -4K -$612K
VOO Bought more +645 +$565K
VUG Bought more +22K -$465K

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
NSRGY June 30, 2026 750 $74,325 No longer tracked
JXXXX June 30, 2026 460 $58,549 No longer tracked
HON June 30, 2026 215 $48,596 0.8%
ANET June 30, 2026 100 $12,278 11.1%
TTD June 30, 2026 535 $12,139 -26.2%
FDL June 30, 2026 178 $9,042 No longer tracked
HOLX June 30, 2026 100 $7,559 No longer tracked
WMMVY June 30, 2026 220 $7,157 No longer tracked
MUSA June 30, 2026 13 $6,422 6.5%
MBGAF June 30, 2026 101 $6,189 No longer tracked
KD June 30, 2026 387 $5,077 10.8%
SCHD June 30, 2026 150 $4,602 No longer tracked
BTCY June 30, 2026 18,333 $4,327 No longer tracked
HAL June 30, 2026 99 $3,860 3.6%
IRDM June 30, 2026 100 $2,774 -12.2%
CCL June 30, 2026 100 $2,588 -4.0%
DTRUY June 30, 2026 100 $2,428 No longer tracked
RDW June 30, 2026 200 $1,700 -1.7%
SPIR March 31, 2026 100 $750 5.6%
DVS March 31, 2026 112 $494 No longer tracked
WTERD June 30, 2026 14 $1 No longer tracked
MDIT June 30, 2026 1 $0 No longer tracked