Répartition sectorielle

04
Technology 17,3%
Industrials 13,8%
Financials 10,5%
Communication Services 5,0%
Retail 4,1%
Healthcare 1,8%
Consumer Discretionary 0,9%
Utilities 0,7%
Energy 0,4%
Materials 0,3%
Consumer products 0,2%
Consumer Staples 0,2%
Real Estate 0,1%
Autre/Non mappé 44,8%

Portefeuille complet 237 positions

05
Type Série Tendance 8 trimestres
PH Parker-Hannifin Corporation Common Stock $71 797 694 10,63% 73 404 $-10 686 128 Baisse ×1
PGR Progressive Corporation (The) Common Stock $39 195 948 5,81% 179 428 $7 808 656 Hausse ×2
SPY SPY $23 271 020 3,45% 31 162 $2 967 927 Baisse ×1
SPYG SPDR SERIES TRUST $21 960 943 3,25% 184 561 $3 848 002 Baisse ×2
GOOGL Alphabet Inc. - Class A Common Stock $20 147 070 2,98% 56 376 $4 500 489 Hausse ×2
AAPL Apple Inc. - Common Stock $19 211 890 2,85% 66 394 $2 640 810 Hausse ×2
QQQ Invesco QQQ Trust, Series 1 $19 093 609 2,83% 25 928 $4 211 013 Hausse ×2
AMD Advanced Micro Devices, Inc. - Common Stock $18 982 119 2,81% 32 677 $12 289 070 Baisse ×2
NVDA NVIDIA Corporation - Common Stock $18 665 753 2,76% 93 287 $3 404 282 Hausse ×2
IVV iShares Trust $18 096 628 2,68% 24 165 $2 886 607 Hausse ×2
SPYV SPDR SERIES TRUST $17 547 182 2,60% 288 652 $960 438 Baisse ×1
AMZN Amazon.com, Inc. - Common Stock $13 389 133 1,98% 56 177 $2 059 118 Hausse ×2
IJR iShares Trust $12 721 813 1,88% 85 779 $1 936 029 Baisse ×1
AVGO Broadcom Inc. - Common Stock $12 227 222 1,81% 32 369 $2 404 384 Hausse ×1
VTV VANGUARD INDEX FUNDS $11 549 192 1,71% 52 995 $1 038 431 Baisse ×1
MSFT Microsoft Corporation - Common Stock $10 858 623 1,61% 29 110 $1 169 963 Hausse ×2
MU Micron Technology, Inc. - Common Stock $10 297 605 1,53% 8 921 $7 270 914 Baisse ×2
IJH iShares Trust $10 127 160 1,50% 131 334 $1 600 419 Hausse ×2
QQQM Invesco NASDAQ 100 ETF $9 237 639 1,37% 30 490 $2 318 448 Hausse ×2
BND Vanguard Total Bond Market ETF $8 998 298 1,33% 122 576 $-4 297 245 Baisse ×1
VOO VANGUARD INDEX FUNDS $8 219 218 1,22% 11 967 $1 118 535 Hausse ×2
DGRO iShares Trust $7 896 952 1,17% 104 195 $264 406 Baisse ×2
VCSH Vanguard Short-Term Corporate Bond ETF $7 244 633 1,07% 91 669 $6 825 857 Hausse ×2
LGLV SPDR SERIES TRUST $7 151 566 1,06% 39 411 $59 026 Baisse ×1
COWZ Pacer Funds Trust $6 401 560 0,95% 102 919 $-175 696 Baisse ×2
VUG VANGUARD INDEX FUNDS $6 053 282 0,90% 70 273 $879 714 Hausse ×1
MA Mastercard Incorporated Common Stock $6 017 640 0,89% 11 717 $394 186 Hausse ×2
QUAL iShares Trust $5 753 689 0,85% 26 221 $695 579 Baisse ×2
META Meta Platforms, Inc. - Class A Common Stock $5 433 446 0,80% 9 646 $439 510 Hausse ×2
GOOG Alphabet Inc. - Class C Capital Stock $5 044 190 0,75% 14 276 $1 044 314 Hausse ×2
FLOT iShares Trust $4 960 582 0,73% 97 171 $546 657 Hausse ×2
JPM JP Morgan Chase & Co. Common Stock $4 871 884 0,72% 14 884 $905 364 Hausse ×2
EFA iShares Trust $4 773 541 0,71% 45 952 $484 285 Hausse ×2
TSLA Tesla, Inc. - Common Stock $4 690 866 0,69% 11 153 $568 977 Hausse ×2
COST Costco Wholesale Corporation - Common Stock $4 595 070 0,68% 4 912 $-209 947 Hausse ×2
MDYG SPDR SERIES TRUST $4 580 090 0,68% 40 861 $703 258 Hausse ×2
JNJ Johnson & Johnson Common Stock $4 560 548 0,68% 17 957 $367 706 Hausse ×2
BRK-B (déposé en tant que BRKB) Berkshire Hathaway Inc. Class B $4 212 457 0,62% 8 418 $315 915 Hausse ×2
GS Goldman Sachs Group, Inc. (The) Common Stock $4 020 268 0,60% 3 975 $974 736 Hausse ×2
XLK SELECT SECTOR SPDR TRUST $3 505 241 0,52% 18 398 $958 639 Baisse ×1
MTUM iShares Trust $3 498 132 0,52% 10 204 $1 048 539 Baisse ×2
TSM Taiwan Semiconductor Manufacturing Company Ltd. $3 433 010 0,51% 7 188 $1 009 741 Hausse ×2
IVOO VANGUARD ADMIRAL FUNDS $3 293 334 0,49% 25 256 $405 303 Baisse ×2
RKLB Rocket Lab Corporation - Common Stock $3 220 882 0,48% 31 686 $1 469 153 Hausse ×2
BSCS Invesco BulletShares 2028 Corporate Bond ETF $3 114 382 0,46% 152 928 $-329 784 Baisse ×1
LOW Lowe's Companies, Inc. Common Stock $3 104 043 0,46% 14 078 $31 235 Hausse ×2
PLTR Palantir Technologies Inc. - Class A Common Stock $3 042 361 0,45% 26 077 $-165 068 Hausse ×2
SLYG SPDR SERIES TRUST $2 999 163 0,44% 25 176 $507 522 Baisse ×1
V Visa Inc. $2 877 789 0,43% 8 388 $472 681 Hausse ×2
CRWD CrowdStrike Holdings, Inc. - Class A Common Stock $2 814 617 0,42% 3 688 $1 865 841 Hausse ×2
ITOT iShares Trust $2 608 292 0,39% 15 878 $339 943 Baisse ×2
ORLY O'Reilly Automotive, Inc. - Common Stock $2 588 711 0,38% 28 111 $-64 617 Baisse ×2
SOXX iShares Trust $2 433 843 0,36% 3 798 $1 183 490 Baisse ×1
BKLN Invesco Exchange-Traded Fund Trust II $2 253 703 0,33% 110 638 $17 715 Hausse ×1
SO Southern Company (The) Common Stock $2 213 904 0,33% 23 131 $255 048 Hausse ×2
VRT Vertiv Holdings, LLC Class A Common Stock $2 205 127 0,33% 6 586 $754 286 Hausse ×2
GEV GE Vernova Inc. Common Stock $2 077 840 0,31% 1 769 $887 748 Hausse ×2
BLK BlackRock, Inc. Common Stock $2 076 364 0,31% 2 159 $365 054 Hausse ×2
VWO VANGUARD INTERNATIONAL EQUITY INDEX FUNDS $2 049 547 0,30% 34 337 $327 675 Hausse ×2
WMT Walmart Inc. - Common Stock $2 040 341 0,30% 18 015 $15 194 Hausse ×2
BSCR Invesco BulletShares 2027 Corporate Bond ETF $2 030 310 0,30% 103 508 $-101 508 Baisse ×1
SCHD SCHWAB STRATEGIC TRUST $2 015 674 0,30% 63 566 $1 083 518 Hausse ×1
VIOG VANGUARD ADMIRAL FUNDS $2 013 984 0,30% 13 127 $376 985 Baisse ×2
XLI SELECT SECTOR SPDR TRUST $1 976 468 0,29% 10 670 $374 375 Hausse ×2
MRVL Marvell Technology, Inc. - Common Stock $1 975 124 0,29% 6 630 $1 318 915 Hausse ×2
CAT Caterpillar, Inc. Common Stock $1 859 010 0,28% 1 746 $851 091 Hausse ×2
HD Home Depot, Inc. (The) Common Stock $1 738 908 0,26% 4 931 $317 142 Hausse ×1
SHW Sherwin-Williams Company (The) Common Stock $1 705 749 0,25% 4 954 $252 995 Hausse ×1
TLT iShares 20+ Year Treasury Bond ETF $1 696 646 0,25% 19 633 $-880 604 Baisse ×1
INTC Intel Corporation - Common Stock $1 666 598 0,25% 11 936 $1 141 150 Hausse ×1
VEA VANGUARD TAX-MANAGED FUNDS $1 619 798 0,24% 22 734 $98 218 Baisse ×1
VIOO VANGUARD ADMIRAL FUNDS $1 616 655 0,24% 11 754 $270 881 Hausse ×1
IXN iShares Trust $1 613 276 0,24% 11 166 $477 043 Baisse ×2
MGK VANGUARD WORLD FUND $1 600 615 0,24% 18 207 $235 969 Hausse ×1
LLY Eli Lilly and Company Common Stock $1 589 692 0,24% 1 325 $732 852 Hausse ×2
BSCQ Invesco BulletShares 2026 Corporate Bond ETF $1 574 388 0,23% 80 634 $-73 672 Baisse ×1
PG Procter & Gamble Company (The) Common Stock $1 573 524 0,23% 10 731 $179 245 Hausse ×2
BSCT Invesco BulletShares 2029 Corporate Bond ETF $1 524 993 0,23% 82 099 $-181 253 Baisse ×1
DVY iShares Select Dividend ETF $1 487 749 0,22% 9 519 $-97 461 Baisse ×1
CEG Constellation Energy Corporation - Common Stock When-Issued $1 481 091 0,22% 5 963 $34 250 Hausse ×2
ORCL Oracle Corporation Common Stock $1 459 455 0,22% 9 959 $219 216 Hausse ×1
BUFR First Trust Exchange-Traded Fund VIII $1 399 708 0,21% 38 317 $-71 369 Baisse ×2
XLV SELECT SECTOR SPDR TRUST $1 369 174 0,20% 8 630 $93 288 Baisse ×1
AMAT Applied Materials, Inc. - Common Stock $1 355 791 0,20% 1 875 $890 275 Hausse ×2
USIG iShares Broad USD Investment Grade Corporate Bond ETF $1 346 544 0,20% 26 254 $-41 733 Baisse ×1
LHX L3Harris Technologies, Inc. Common Stock $1 338 910 0,20% 4 608 $-165 923 Hausse ×2
EFAV iShares Trust $1 321 970 0,20% 15 072 $-38 898 Hausse ×1
XLF SELECT SECTOR SPDR TRUST $1 309 888 0,19% 24 434 $118 293 Hausse ×2
XOM Exxon Mobil Corporation Common Stock $1 283 704 0,19% 9 389 $-115 983 Hausse ×2
FTNT Fortinet, Inc. - Common Stock $1 265 522 0,19% 8 238 $566 653 Baisse ×1
XMLV Invesco Exchange-Traded Fund Trust II $1 250 482 0,19% 18 852 $55 936 Baisse ×2
AXP American Express Company Common Stock $1 227 580 0,18% 3 629 $672 447 Hausse ×2
VGT VANGUARD WORLD FUND $1 220 640 0,18% 10 213 $335 193 Hausse ×1
RZG Invesco Exchange-Traded Fund Trust $1 206 921 0,18% 16 603 $233 851 Baisse ×2
VTI VANGUARD INDEX FUNDS $1 204 198 0,18% 3 254 $-130 511 Baisse ×1
IBM International Business Machines Corporation Common Stock $1 197 320 0,18% 4 258 $206 014 Hausse ×2
ETN Eaton Corporation, PLC Ordinary Shares $1 145 899 0,17% 2 689 $142 940 Baisse ×1
ANET Arista Networks, Inc. Common Stock $1 128 780 0,17% 6 645 $569 938 Hausse ×2
DDOG Datadog, Inc. - Class A Common Stock $1 116 944 0,17% 4 290 $791 598 Hausse ×2
PANW Palo Alto Networks, Inc. - Common Stock $1 104 564 0,16% 3 239 $636 911 Hausse ×2

Plus gros nouveaux paris

09

Nouvelles positions ouvertes ce trimestre, par ordre décroissant.

TitreValeurActions% du portefeuille
JMST $536 962 10 529 0,08%
NOW $468 685 4 721 0,07%
BINC $442 687 8 458 0,07%
C $386 060 2 758 0,06%
IGRO $384 267 4 370 0,06%
TAFI $364 708 14 461 0,05%
GLW $349 687 1 369 0,05%
SCHW $269 038 2 916 0,04%
HWM $261 589 973 0,04%
GILD $244 745 1 937 0,04%
AXON $241 062 430 0,04%
BROS $237 835 3 312 0,04%
CDNS $232 323 619 0,03%
IWV $229 801 539 0,03%
TJX $216 183 1 427 0,03%

Principaux mouvements (T/T)

10
TitreMouvementΔ ActionsΔ Valeur
AMD Réduit -224 +$12.3M
PH Réduit -19K -$10.7M
PGR A acheté plus +21K +$7.8M
MU Réduit -38 +$7.3M
GOOGL A acheté plus +2K +$4.5M
BND Réduit -58K -$4.3M
QQQ A acheté plus +143 +$4.2M
SPYG Réduit -435 +$3.8M
NVDA A acheté plus +6K +$3.4M
SPY Réduit -57 +$3.0M

1 position 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
RSP 31 mars 2026 2 193 $420 033 10,0%
SMCI 31 mars 2026 11 015 $322 409 91,9%
ADBE 31 mars 2026 882 $308 697 -2,2%
SLV 30 juin 2026 3 561 $242 647 2,4%
OKLO 31 mars 2026 3 349 $240 324 -27,7%
AXON 31 mars 2026 420 $238 531 -2,7%
TTD 31 mars 2026 6 238 $236 795 -47,3%
GDX 30 juin 2026 2 422 $222 270 16,3%
AON 31 mars 2026 621 $219 246 -16,5%
LMBS 31 mars 2026 4 278 $213 858
VFH 31 mars 2026 1 567 $209 186
BROS 31 mars 2026 3 312 $202 761 -23,7%
TFC 31 mars 2026 4 086 $201 070 1,0%
ISRG 31 mars 2026 355 $201 058 -15,0%
EZRA 30 juin 2026 26 377 $4 669 -32,3%