Répartition sectorielle

04
Technology 4,6%
Communication Services 1,8%
Retail 0,9%
Industrials 0,7%
Financials 0,6%
Utilities 0,6%
Consumer Discretionary 0,2%
Healthcare 0,2%
Real Estate 0,1%
Energy 0,1%
Consumer Staples 0,1%
Consumer products 0,0%
Materials 0,0%
Autre/Non mappé 90,1%

Portefeuille complet 543 positions

05
Type Série Tendance 8 trimestres
QQQM Invesco NASDAQ 100 ETF $44 055 514 12,55% 145 412 $19 745 224 Hausse ×4
JQUA J.P. Morgan Exchange-Traded Fund Trust $38 683 799 11,02% 535 194 $5 914 629 Hausse ×4
RECS Columbia ETF Trust I $37 088 249 10,56% 856 938 $4 769 303 Hausse ×2
FLCC Federated Hermes ETF Trust $29 484 713 8,40% 839 198 Hausse ×1
MFSI MFS Active Exchange Traded Funds Trust $19 242 302 5,48% 592 436 $7 959 567 Hausse ×2
JHMD John Hancock Exchange-Traded Fund Trust $18 956 990 5,40% 426 864 $7 099 128 Hausse ×3
QQQ Invesco QQQ Trust, Series 1 $18 486 032 5,27% 25 103 $3 794 285 Baisse ×6
RDVY First Trust Rising Dividend Achievers ETF $17 378 802 4,95% 214 395 $-18 948 887 Baisse ×2
FLXR TCW Flexible Income ETF $15 515 078 4,42% 395 692 $-1 178 399 Baisse ×1
AAPL Apple Inc. - Common Stock $9 448 852 2,69% 32 654 $1 387 985 Hausse ×2
IUSG iShares Core S&P U.S. Growth ETF $8 570 225 2,44% 45 564 $1 490 278 Baisse ×4
SPTI SPDR SERIES TRUST $6 725 391 1,92% 236 893 $5 396 440 Hausse ×1
XMHQ Invesco Exchange-Traded Fund Trust $6 333 422 1,80% 56 108 $466 047 Baisse ×4
SDVY First Trust SMID Cap Rising Dividend Achievers ETF $6 010 057 1,71% 139 316 $1 991 085 Hausse ×1
DGS WisdomTree Trust $5 537 532 1,58% 85 575 $216 538 Baisse ×3
VNLA Janus Detroit Street Trust $3 540 028 1,01% 72 445
XMMO Invesco Exchange-Traded Fund Trust $3 506 534 1,00% 20 610 $468 263 Baisse ×6
CIBR First Trust NASDAQ Cybersecurity ETF $3 500 135 1,00% 38 955 $1 036 621 Baisse ×6
SPY SPY $3 392 881 0,97% 4 543 $412 197 Baisse ×1
CWB SPDR SERIES TRUST $3 080 991 0,88% 28 575 $-4 755 371 Baisse ×1
GOOGL Alphabet Inc. - Class A Common Stock $2 435 724 0,69% 6 816 $626 899 Hausse ×3
FPX First Trust Exchange-Traded Fund $2 322 631 0,66% 11 265 $516 636 Baisse ×2
GOOG Alphabet Inc. - Class C Capital Stock $2 169 781 0,62% 6 141 $492 351 Hausse ×3
AMZN Amazon.com, Inc. - Common Stock $2 157 217 0,61% 9 051 $257 792 Baisse ×1
XAGG Eaton Vance Income Opportunities ETF $2 047 040 0,58% 40 949 Hausse ×1
UCON First Trust Exchange-Traded Fund VIII $1 906 935 0,54% 76 645 $-405 319 Baisse ×4
SPGP Invesco Exchange-Traded Fund Trust $1 620 427 0,46% 13 251 $168 659 Baisse ×5
MSFT Microsoft Corporation - Common Stock $1 510 268 0,43% 4 049 $219 374 Hausse ×1
VOO VANGUARD INDEX FUNDS $1 488 368 0,42% 2 167 $213 947 Hausse ×1
FDL First Trust Exchange-Traded Fund $1 439 110 0,41% 29 575 $-98 135 Baisse ×6
NVDA NVIDIA Corporation - Common Stock $1 402 174 0,40% 7 008 $225 238 Hausse ×5
FVD First Trust Exchange-Traded Fund $1 191 368 0,34% 24 728 $-2 916 Baisse ×6
XCEM Columbia ETF Trust II $1 074 781 0,31% 20 325 Hausse ×1
GD General Dynamics Corporation Common Stock $981 993 0,28% 2 772 $45 002 Hausse ×1
SPLB SPDR SERIES TRUST $893 830 0,25% 39 903 $-1 988 249 Baisse ×2
PHYL PGIM ETF Trust $876 160 0,25% 25 119 $-2 939 256 Baisse ×1
SLV iShares Silver Trust $871 989 0,25% 16 308 $-240 057 Baisse ×2
QLD ProShares Ultra QQQ $808 913 0,23% 8 360 $298 953
MTUM iShares Trust $779 393 0,22% 2 273 $215 156 Baisse ×2
AMAT Applied Materials, Inc. - Common Stock $766 387 0,22% 1 060 $404 089
JPIB J.P. Morgan Exchange-Traded Fund Trust $725 013 0,21% 14 995 $-3 669 228 Baisse ×1
GLD SPDR Gold Shares $716 499 0,20% 1 945 $-120 416
FXH First Trust Exchange-Traded AlphaDEX Fund $706 114 0,20% 5 769 $72 860
AFLG First Trust Exchange-Traded Fund VIII $650 914 0,19% 14 991 Hausse ×1
DIS Walt Disney Company (The) Common Stock $568 033 0,16% 5 902 $-10 405 Baisse ×1
QQQE Direxion NASDAQ-100 Equal Weighted Index Shares $549 904 0,16% 4 507 Hausse ×1
XMLV Invesco Exchange-Traded Fund Trust II $545 648 0,16% 8 226 $27 981 Hausse ×1
AVGO Broadcom Inc. - Common Stock $543 338 0,15% 1 438 $105 371 Hausse ×1
XAR SPDR SERIES TRUST $530 848 0,15% 1 871 $65 928 Hausse ×2
JPM JP Morgan Chase & Co. Common Stock $514 006 0,15% 1 570
PLTR Palantir Technologies Inc. - Class A Common Stock $499 349 0,14% 4 280 $-126 729
FTCS First Trust Capital Strength ETF $491 811 0,14% 5 237 $6 491 Hausse ×1
BAC Bank of America Corporation Common Stock $478 967 0,14% 8 406 Hausse ×1
TSLA Tesla, Inc. - Common Stock $467 708 0,13% 1 112 $-46 796 Baisse ×1
NEE NextEra Energy, Inc. Common Stock $456 404 0,13% 5 200 $-29 823 Baisse ×1
COST Costco Wholesale Corporation - Common Stock $416 225 0,12% 445 $-40 721 Baisse ×2
JAAA Janus Detroit Street Trust $382 622 0,11% 7 578 $-97 899 Baisse ×1
VGT VANGUARD WORLD FUND $372 466 0,11% 3 116 $101 005 Hausse ×1
DGRW WisdomTree U.S. Quality Dividend Growth Fund $370 265 0,11% 3 872 $30 130
SO Southern Company (The) Common Stock $347 373 0,10% 3 629 $-2 318 Hausse ×2
IBM International Business Machines Corporation Common Stock $302 874 0,09% 1 077 $59 030 Hausse ×2
CSCO Cisco Systems, Inc. - Common Stock $302 156 0,09% 2 572 Hausse ×1
VTI VANGUARD INDEX FUNDS $297 408 0,08% 804 $42 301 Hausse ×1
META Meta Platforms, Inc. - Class A Common Stock $272 828 0,08% 484 $31 251 Hausse ×1
AXON Axon Enterprise, Inc. - Common Stock $246 668 0,07% 440
AMD Advanced Micro Devices, Inc. - Common Stock $245 725 0,07% 423 Hausse ×1
D Dominion Energy, Inc. Common Stock $232 817 0,07% 3 409 $22 071
INTC Intel Corporation - Common Stock $231 306 0,07% 1 657 Hausse ×1
FDT First Trust Developed Markets Ex-US AlphaDEX Fund $227 532 0,06% 2 403 Hausse ×1
SSO ProShares Trust $211 601 0,06% 3 140 Hausse ×1
ILCG iShares Trust $206 072 0,06% 1 761
AMT American Tower Corporation (REIT) Common Stock $202 112 0,06% 1 236 Hausse ×1
MU Micron Technology, Inc. - Common Stock $200 860 0,06% 174 Hausse ×1
BRK-B (déposé en tant que BRKB) Berkshire Hathaway Inc. Class B $196 153 0,06% 392 Hausse ×1
GEV GE Vernova Inc. Common Stock $192 840 0,05% 164 Hausse ×1
FTC First Trust Large Cap Growth AlphaDEX Fund $191 832 0,05% 990 Hausse ×1
MA Mastercard Incorporated Common Stock $188 497 0,05% 367
XSLV Invesco Exchange-Traded Fund Trust II $179 043 0,05% 3 416 Hausse ×1
DUK Duke Energy Corporation (Holding Company) Common Stock $176 174 0,05% 1 392
ABBV AbbVie Inc. Common Stock $171 020 0,05% 680 Hausse ×1
MMM 3M Company Common Stock $168 064 0,05% 1 038 Hausse ×1
LOW Lowe's Companies, Inc. Common Stock $158 464 0,05% 719 Hausse ×1
ROBT First Trust Nasdaq Artificial Intelligence and Robotics ETF $149 443 0,04% 2 656 Hausse ×1
TEAM Atlassian Corporation - Class A Common Stock $143 524 0,04% 1 845 Hausse ×1
FTA First Trust Large Cap Value AlphaDEX Fund $141 519 0,04% 1 462 Hausse ×1
XOM Exxon Mobil Corporation Common Stock $139 489 0,04% 1 020 Hausse ×1
AVUV AMERICAN CENTURY ETF TRUST $138 221 0,04% 1 108
PEG Public Service Enterprise Group Incorporated Common Stock $137 099 0,04% 1 689 $-74 919 Baisse ×1
RTX RTX Corporation Common Stock $133 198 0,04% 702 Hausse ×1
GE GE Aerospace Common Stock $130 913 0,04% 350 Hausse ×1
PANW Palo Alto Networks, Inc. - Common Stock $125 495 0,04% 368 Hausse ×1
MRSH Marsh Common Stock $124 336 0,04% 746
WMT Walmart Inc. - Common Stock $124 045 0,04% 1 095 Hausse ×1
TMO Thermo Fisher Scientific Inc Common Stock $122 834 0,03% 245 Hausse ×1
MRK Merck & Company, Inc. Common Stock (new) $122 342 0,03% 952 Hausse ×1
NET Cloudflare, Inc. Class A Common Stock $121 413 0,03% 495 Hausse ×1
PG Procter & Gamble Company (The) Common Stock $117 899 0,03% 804
CAT Caterpillar, Inc. Common Stock $113 957 0,03% 107 Hausse ×1
CRWD CrowdStrike Holdings, Inc. - Class A Common Stock $112 944 0,03% 148 Hausse ×1
ANET Arista Networks, Inc. Common Stock $111 442 0,03% 656 Hausse ×1

Participations à forte conviction

08

Positions augmentées pendant 3 trimestres consécutifs ou plus.

Les nombres d'actions sont tels que rapportés dans les dépôts 13F (non ajustés des divisions)

TitreValeur% du portefeuilleSérie
QQQM $44 055 514 12,55% en hausse ×4
JQUA $38 683 799 11,02% en hausse ×4
JHMD $18 956 990 5,40% en hausse ×3
GOOGL $2 435 724 0,69% en hausse ×3
GOOG $2 169 781 0,62% en hausse ×3
NVDA $1 402 174 0,40% en hausse ×5

Plus gros nouveaux paris

09

Nouvelles positions ouvertes ce trimestre, par ordre décroissant.

TitreValeurActions% du portefeuille
FLCC $29 484 713 839 198 8,40%
VNLA $3 540 028 72 445 1,01%
XAGG $2 047 040 40 949 0,58%
XCEM $1 074 781 20 325 0,31%
AFLG $650 914 14 991 0,19%
QQQE $549 904 4 507 0,16%
JPM $514 006 1 570 0,15%
BAC $478 967 8 406 0,14%
CSCO $302 156 2 572 0,09%
AXON $246 668 440 0,07%
AMD $245 725 423 0,07%
INTC $231 306 1 657 0,07%
FDT $227 532 2 403 0,06%
SSO $211 601 3 140 0,06%
ILCG $206 072 1 761 0,06%

Principaux mouvements (T/T)

10
TitreMouvementΔ ActionsΔ Valeur
QQQM A acheté plus +43K +$19.7M
RDVY Réduit -318K -$18.9M
MFSI A acheté plus +213K +$8.0M
JHMD A acheté plus +147K +$7.1M
JQUA A acheté plus +798 +$5.9M
RECS A acheté plus +28K +$4.8M
CWB Réduit -57K -$4.8M
QQQ Réduit -351 +$3.8M
PHYL Réduit -85K -$2.9M
SDVY A acheté plus +37K +$2.0M

2 positions hidden — reported move looks larger than the position itself (data completeness check)

Positions clôturées

11

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.

TitreTrimestreActions avantValeur avantPrix depuis la sortie
QCON 30 septembre 2025 11 721 $557 063
MA 31 décembre 2025 976 $555 218 -3,3%
MRSH 31 décembre 2025 2 457 $495 159 -8,3%
HON 31 décembre 2025 1 798 $378 472 9,7%
OMC 31 décembre 2025 4 201 $342 545 -8,2%
PG 31 décembre 2025 2 085 $320 361 1,1%
LLY 30 juin 2025 312 $257 685 46,6%
AXON 31 mars 2026 440 $249 889 -2,7%
JPM 31 mars 2026 726 $233 823 13,0%
AVUV 30 septembre 2025 2 491 $226 973
VNLA 31 mars 2026 4 496 $220 946
ILCG 31 décembre 2025 2 040 $212 772 13,3%
D 31 décembre 2025 3 384 $206 999 4,6%
DUK 31 décembre 2025 1 624 $201 029 -2,6%
V 31 décembre 2025 586 $200 103 2,8%
CHGG 31 décembre 2025 54 070 $81 646 -20,6%