EXENCIAL WEALTH ADVISORS, LLC

CIK 1576151 · Voir sur SEC EDGAR ↗

Valeur du portefeuille
$3.2B
#1 123 sur 9 443 par valeur 13F · top 11.9%
Positions
547
Au
31 décembre 2025 Données au Q4 2025

Valeur du portefeuille TQ : +17.6% Le 13F ne divulgue pas les liquidités

Poids des 10 principales participations
22,74%
Poids des 25 principales participations
40,24%
Positions supérieures à 1%
22
Nombre effectif de positions
100,8

Basé uniquement sur les positions longues en actions du 13F (liquidités, obligations, positions courtes non divulguées)

Rotation Q4 2025 : 10,18% Achats estimés $396 886 581 · Ventes $298 288 208

Nouvelles positions
97
Augmenté
209
Diminué
234
Fermé
22

Exposition notionnelle Put : 0,1% puts Le 13F rapporte les positions sur options à la valeur notionnelle sous-jacente — peut inclure des couvertures, pas nécessairement des paris baissiers

Sur cette page

Répartition sectorielle

Technology
14,4%
Healthcare
7,7%
Industrials
5,8%
Communication Services
4,1%
Financial Services
3,2%
Retail
2,7%
Financials
2,5%
Energy
2,4%
Consumer Discretionary
1,0%
Utilities
0,8%
Consumer Staples
0,7%
Communications
0,5%
Consumer products
0,3%
Real Estate
0,3%
Materials
0,3%
Telecommunication
0,2%
Logistics & Transportation
0,1%
Autre/Non mappé
53,2%

Portefeuille complet 547 positions

Type Série Tendance 8 trimestres
AAPL Apple Inc. - Common Stock $121 779 495 3,85% 447 949 $12 865 950
MSFT Microsoft Corporation - Common Stock $99 410 663 3,14% 205 555 $26 511 317
GOOG Alphabet Inc. - Class C Capital Stock $69 379 666 2,19% 221 095 $26 885 610
RSP $68 004 140 2,15% 355 002 $26 792 212
DFSV $67 953 955 2,15% 2 066 098 $32 570 352
VTV $66 501 167 2,10% 348 192 $4 595 796
SGOV iShares 0-3 Month Treasury Bond ETF $58 795 398 1,86% 585 728 $15 629 493
AMZN Amazon.com, Inc. - Common Stock $56 908 520 1,80% 246 549 $8 390 900
VBR $55 799 773 1,76% 263 467 $6 839 837
NVDA NVIDIA Corporation - Common Stock $55 243 138 1,74% 296 210 $27 303 775
VUG $49 271 544 1,56% 100 995 $13 801 974
SCHM $48 826 007 1,54% 1 623 745 $16 259 601
BRKB $46 624 772 1,47% 92 758 $-5 969 250
DFIV $45 377 842 1,43% 909 376 $18 052 557
AVGO Broadcom Inc. - Common Stock $41 123 480 1,30% 118 820 $19 261 617
IVV $35 531 868 1,12% 51 876 $3 016 379
IEMG $34 942 443 1,10% 519 822 $9 574 163
META Meta Platforms, Inc. - Class A Common Stock $34 888 900 1,10% 52 855 $-454 248
DISV $33 297 440 1,05% 876 248 $16 921 818
DFLV $32 359 443 1,02% 945 906 $14 911 782
VCSH Vanguard Short-Term Corporate Bond ETF $32 296 095 1,02% 405 068 $1 149 336
IJS $32 173 032 1,02% 282 914 $3 344 678
DUHP $31 245 852 0,99% 821 611 $9 072 578
VOO $28 253 601 0,89% 45 052 $7 631 392
VEA $27 959 767 0,88% 447 571 $6 747 240
FNDF $27 611 458 0,87% 610 738 $3 003 927
EFV $26 941 748 0,85% 377 283 $4 339 192
MA Mastercard Incorporated Common Stock $25 876 720 0,82% 45 328 $-554 910
FNDC $25 627 909 0,81% 575 262 $3 661 446
V Visa Inc. $24 047 937 0,76% 68 569 $-1 943 415
GLD $23 544 404 0,74% 59 409 $4 441 887
DFEV $22 771 040 0,72% 674 897 $9 495 858
DFAT $22 730 729 0,72% 381 772 $4 031 734
TMO Thermo Fisher Scientific Inc Common Stock $21 509 177 0,68% 37 120 $6 322 326
GOOGL Alphabet Inc. - Class A Common Stock $21 431 617 0,68% 68 472 $7 950 833
ICE Intercontinental Exchange Inc. Common Stock $20 936 223 0,66% 129 268 $-3 197 869
VBK $20 923 871 0,66% 69 259 $2 900 201
LHX L3Harris Technologies, Inc. Common Stock $20 891 016 0,66% 71 162 $-130 551
MGC $20 880 894 0,66% 83 135 $3 080 158
VYM $20 853 219 0,66% 145 298 $2 077 047
SCHD $20 760 667 0,66% 756 860 $63 668
VO $20 607 740 0,65% 71 007 $3 666 291
TSM Taiwan Semiconductor Manufacturing Company Ltd. $19 356 853 0,61% 63 697 $4 800 784
VCIT Vanguard Intermediate-Term Corporate Bond ETF $18 736 137 0,59% 223 715 $1 787 286
VWO $18 719 091 0,59% 348 197 $2 038 433
LLY Eli Lilly and Company Common Stock $18 702 538 0,59% 17 403 $12 990 528
STIP $18 205 899 0,58% 177 809 $6 514 414
DIHP $18 196 619 0,57% 574 660 $8 868 138
CGGR $17 722 781 0,56% 398 533 $3 788 271
IEFA $17 135 457 0,54% 191 543 $1 459 881
ETN Eaton Corporation, PLC Ordinary Shares $16 692 546 0,53% 52 408 $6 097 195
MLM Martin Marietta Materials, Inc. Common Stock $16 678 726 0,53% 26 786 $7 111 841
TLT iShares 20+ Year Treasury Bond ETF $16 035 540 0,51% 183 978 $-375 302
CSCO Cisco Systems, Inc. - Common Stock $15 870 717 0,50% 206 033 $6 582 100
HON Honeywell International Inc. - Common Stock $15 843 504 0,50% 81 211 $2 867 624
SPGI S&P Global Inc. Common Stock $15 264 592 0,48% 29 209 $-744 368
CNQ Canadian Natural Resources Limited Common Stock $15 174 081 0,48% 448 274 $542 751
SNPS Synopsys, Inc. - Common Stock $14 916 152 0,47% 31 755 Hausse ×1
SCZ iShares MSCI EAFE Small-Cap ETF $14 115 390 0,45% 182 064 $2 186 249
ASML ASML Holding N.V. - New York Registry Shares $13 980 980 0,44% 13 068 $3 356 348
DFAI $13 911 554 0,44% 365 037 $2 914 664
SCHR $13 870 574 0,44% 553 053 $3 358 766
PDBC Invesco Optimum Yield Diversified Commodity Strategy No K-1 ETF $13 748 473 0,43% 1 037 621 $1 054 482
ABT Abbott Laboratories Common Stock $13 726 789 0,43% 109 560 $-6 812 762
MDT Medtronic plc. Ordinary Shares $13 388 902 0,42% 139 381 $-53 112
SPY SPY $13 388 316 0,42% 19 633 $4 156 911
NVS Novartis AG Common Stock $13 166 354 0,42% 95 498 $9 593
ISRG Intuitive Surgical, Inc. - Common Stock $13 164 331 0,42% 23 244 $12 836 957
MTB M&T Bank Corporation Common Stock $12 981 300 0,41% 64 430 $1 042 894
IQV IQVIA Holdings, Inc. Common Stock $12 855 541 0,41% 57 032 $5 334 981
BND Vanguard Total Bond Market ETF $12 757 778 0,40% 172 239 $2 582 116
CRM Salesforce, Inc. Common Stock $12 586 646 0,40% 47 513 $254 374
AGG $12 513 771 0,40% 125 288 $797 356
AJG Arthur J. Gallagher & Co. Common Stock $12 287 885 0,39% 47 482 $-13 527 604
EVRG Evergy, Inc. - Common Stock $12 141 776 0,38% 167 496 $-372 505
VNQ $11 873 271 0,38% 134 176 $-484 786
ACN Accenture plc Class A Ordinary Shares (Ireland) $11 829 698 0,37% 44 091 $10 330 606
XYL Xylem Inc. Common Stock New $11 464 214 0,36% 84 184 $944 746
VXUS Vanguard Total International Stock ETF $11 389 468 0,36% 150 974 $2 314 574
COST Costco Wholesale Corporation - Common Stock $11 285 914 0,36% 13 088 $-2 667 611
WTW Willis Towers Watson Public Limited Company - Ordinary Shares $11 277 356 0,36% 34 319 $-808 301
DFAR $11 213 080 0,35% 489 628 $-507 785
QQQ Invesco QQQ Trust, Series 1 $10 854 658 0,34% 17 670 $2 943 224
DFAE $10 825 714 0,34% 332 383 $2 350 771
WAB Westinghouse Air Brake Technologies Corporation Common Stock $10 822 008 0,34% 50 700 $-4 102 358
DGX Quest Diagnostics Incorporated Common Stock $10 779 684 0,34% 62 120 $-586 946
CVX Chevron Corporation Common Stock $10 577 112 0,33% 69 399 $-3 177 174
SYK Stryker Corporation Common Stock $10 222 798 0,32% 29 086 $7 711 157
VRTX Vertex Pharmaceuticals Incorporated - Common Stock $10 146 920 0,32% 22 382 $9 353 874
FNDE $10 140 953 0,32% 281 224 $1 017 285
JPM JP Morgan Chase & Co. Common Stock $10 084 202 0,32% 31 296 $2 698 159
IVW $9 920 164 0,31% 80 482 $2 715 271
IT Gartner, Inc. Common Stock $9 526 497 0,30% 37 762
ABBV AbbVie Inc. Common Stock $9 449 329 0,30% 41 356 $571 917
CACI CACI International, Inc. Class A Common Stock $9 311 788 0,29% 17 477 $2 624 304
TSLA Tesla, Inc. - Common Stock $9 267 441 0,29% 20 607 $4 840 355
JNJ Johnson & Johnson Common Stock $8 994 070 0,28% 43 460 $2 059 694
GEHC GE HealthCare Technologies Inc. - Common Stock $8 938 056 0,28% 108 974 $-5 939 011
VB $8 461 461 0,27% 32 803 $772 834
VSS $8 368 204 0,26% 58 384 $974 519

Plus gros nouveaux paris

Nouvelles positions ouvertes ce trimestre, par ordre décroissant.

Titre Valeur Actions % du portefeuille
SNPS $14 916 152 31 755 0,47%
IT $9 526 497 37 762 0,30%
PAYX $8 195 509 73 057 0,26%
TNGY $4 972 115 550 013 0,16%
FISV $4 174 882 62 154 0,13%
UL $4 018 046 61 438 0,13%
NVDA $3 916 500 21 000 0,12%
ING $2 234 674 79 810 0,07%
NVDA $2 051 500 11 000 0,06%
FCN $1 959 762 11 472 0,06%
EXAS $1 412 903 13 912 0,04%
PWR $1 383 761 3 279 0,04%
GSEW $988 192 11 609 0,03%
ROST $982 834 5 456 0,03%
IBOC $962 583 14 488 0,03%

Principaux mouvements (T/T)

Titre Mouvement Δ Actions Δ Valeur
DFSV A acheté plus +809K +$32.6M
NVDA A acheté plus +38K +$27.3M
GOOG Réduit -51K +$26.9M
RSP A acheté plus +117K +$26.8M
MSFT A acheté plus +11K +$26.5M
UNH Réduit -38K -$24.5M
AVGO Réduit -12K +$19.3M
DFIV A acheté plus +215K +$18.1M
DISV A acheté plus +314K +$16.9M
SCHM A acheté plus +381K +$16.3M

Positions clôturées

Inclut les événements d'entreprise (fusions, retraits de la cote) — toutes les sorties ne sont pas des ventes

Les positions clôturées reflètent les changements de déclaration 13F ; pour les gestionnaires d'indices, il s'agit souvent de décisions mécaniques (radiation, fusions et acquisitions, rééquilibrage d'indices), et non de décisions actives.

TitreTrimestre Actions avant Valeur avant Prix depuis la sortie
ULTA 31 mars 2025 22 887 $9 954 387 43,0%
BIO 31 mars 2025 12 533 $4 117 216 49,7%
YUMC 31 mars 2025 40 822 $1 966 391 -7,7%
CNH 31 mars 2025 97 150 $1 100 714 -11,8%
WAT 31 mars 2025 1 387 $514 550 12,5%
ALL 31 mars 2025 2 428 $468 098 23,4%
JBHT 31 mars 2025 2 595 $442 865 82,4%
MSI 31 mars 2025 628 $290 419 10,3%
PPA 31 mars 2025 2 472 $283 564 Ne suit plus
IR 31 mars 2025 2 892 $261 636 0,7%
FFIN 31 mars 2025 6 257 $225 565 -4,9%
IT 31 mars 2025 457 $221 408 -53,6%
XYZ 31 mars 2025 2 587 $219 827 48,9%
QLD 31 mars 2025 2 000 $216 480 Ne suit plus
PWR 31 mars 2025 683 $215 957 163,9%
URI 31 mars 2025 304 $214 490 78,6%
O 31 mars 2025 3 915 $209 076 9,1%
TEX 31 mars 2025 4 515 $208 684 70,4%
LUV 31 mars 2025 5 961 $200 408 21,2%
GAB 31 mars 2025 11 393 $61 296 4,4%
PAVM 31 mars 2025 10 900 $6 840 616,5%
ONMDW 31 mars 2025 259 600 $5 244