Suddivisione settoriale

04
Technology 19,0%
Energy 9,7%
Financials 3,8%
Healthcare 3,7%
Communication Services 2,6%
Consumer Staples 2,0%
Retail 2,0%
Real Estate 1,7%
Utilities 1,1%
Industrials 0,8%
Consumer products 0,5%
Materials 0,3%
Consumer Discretionary 0,2%
Altro/Non mappato 52,7%

Portafoglio completo 95 posizioni

05
Tipo Sequenza Tendenza 8 trim.
IVV iShares Trust $10.195.730 7,99% 13.614 $1.666.513 Su ×6
XLK SELECT SECTOR SPDR TRUST $9.383.921 7,35% 49.254 $3.217.759 Su ×3
AAPL Apple Inc. - Common Stock $9.070.059 7,11% 31.345 $-870.378 Giù ×1
UTF Cohen & Steers Infrastructure Fund, Inc Common Stock $7.631.946 5,98% 276.620 $453.610 Giù ×1
CVX Chevron Corporation Common Stock $5.903.705 4,63% 35.616 $-1.485.931 Giù ×1
MSFT Microsoft Corporation - Common Stock $5.889.339 4,61% 15.788 $-212.641 Giù ×1
IWM iShares Trust $5.619.895 4,40% 18.705 $598.941 Giù ×5
IBM International Business Machines Corporation Common Stock $5.264.621 4,12% 18.721 $727.562 Su ×3
IJH iShares Trust $3.595.071 2,82% 46.623 $294.096 Giù ×5
ETY Eaton Vance Tax-Managed Diversified Equity Income Fund Common Shares of Beneficial Interest, $3.345.567 2,62% 230.094 $172.571
VEA VANGUARD TAX-MANAGED FUNDS $3.125.096 2,45% 43.861 $250.403 Giù ×3
EPD Enterprise Products Partners L.P. Common Stock $2.431.527 1,91% 66.146 $-71.438
NVDA NVIDIA Corporation - Common Stock $2.362.463 1,85% 11.807 $1.052.196 Su ×3
AGG iShares Trust $2.255.853 1,77% 22.791 $-52.671 Giù ×1
IJK iShares Trust $2.180.918 1,71% 18.561 $223.356 Giù ×1
IJJ iShares Trust $1.936.445 1,52% 13.108 $84.890 Giù ×1
PM Philip Morris International Inc Common Stock $1.855.775 1,45% 10.258 $159.717
VWO VANGUARD INTERNATIONAL EQUITY INDEX FUNDS $1.801.265 1,41% 30.177 $132.363 Giù ×6
GSLC Goldman Sachs ETF Trust $1.714.031 1,34% 12.080 $164.922 Giù ×2
IVW iShares Trust $1.519.982 1,19% 11.052 $269.890
HYLB DBX ETF Trust $1.369.427 1,07% 37.498 $25.251 Su ×1
IEMG iShares, Inc. $1.314.257 1,03% 15.865 $186.748 Giù ×6
PTY Pimco Corporate & Income Opportunity Fund $1.303.872 1,02% 108.385 $-10.487 Giù ×1
XLY XLY $1.277.883 1,00% 10.896 $68.641 Giù ×2
SYK Stryker Corporation Common Stock $1.259.360 0,99% 4.000 $-55.000
MPLX MPLX LP Common Units Representing Limited Partner Interests $1.257.342 0,99% 22.321 $-16.517
XLF SELECT SECTOR SPDR TRUST $1.230.510 0,96% 22.953 $85.472 Giù ×3
WFC Wells Fargo & Company Common Stock $1.181.154 0,93% 14.293 $124.949 Su ×2
QQQ Invesco QQQ Trust, Series 1 $1.155.363 0,91% 1.569 $290.208 Su ×2
ARCC Ares Capital Corporation - Closed End Fund $1.034.900 0,81% 55.850 $28.483
ABBV AbbVie Inc. Common Stock $1.020.635 0,80% 4.056 $138.961 Su ×2
STX Seagate Technology Holdings PLC - Ordinary Shares (Ireland) $965.000 0,76% 1.000 $573.240
USMV iShares Trust $951.578 0,75% 9.865 $8.876 Giù ×1
LLY Eli Lilly and Company Common Stock $947.550 0,74% 790 $220.932
AMZN Amazon.com, Inc. - Common Stock $915.702 0,72% 3.842 $115.529
BAC Bank of America Corporation Common Stock $893.081 0,70% 15.674 $112.209 Giù ×1
XLE SELECT SECTOR SPDR TRUST $885.769 0,69% 16.678 $-135.925
XOM Exxon Mobil Corporation Common Stock $871.454 0,68% 6.374 $-209.960
OHI Omega Healthcare Investors, Inc. Common Stock $825.341 0,65% 17.310 $66.817
IVE iShares Trust $749.752 0,59% 3.302 $36.910 Giù ×1
WPC W. P. Carey Inc. REIT $685.589 0,54% 9.589 $34.574 Su ×2
OKE ONEOK, Inc. Common Stock $677.436 0,53% 7.792 $-26.883
META Meta Platforms, Inc. - Class A Common Stock $656.233 0,51% 1.165 $22.885 Su ×1
CSCO Cisco Systems, Inc. - Common Stock $654.135 0,51% 5.569 $222.036
VZ Verizon Communications Inc. Common Stock $644.622 0,51% 15.225 $-127.639 Giù ×6
BRK-B (depositato come BRKB) Berkshire Hathaway Inc. Class B $585.456 0,46% 1.170 $24.792
GOOGL Alphabet Inc. - Class A Common Stock $536.770 0,42% 1.502 $112.044 Su ×3
TRGP Targa Resources, Inc. Common Stock $531.990 0,42% 1.984 $34.542
WMT Walmart Inc. - Common Stock $509.670 0,40% 4.500 $-49.590
V Visa Inc. $481.012 0,38% 1.402 $57.272
BA Boeing Company (The) Common Stock $454.587 0,36% 2.100 $36.624
WELL Welltower Inc. Common Stock $453.940 0,36% 2.000 $58.520
AMGN Amgen Inc. - Common Stock $450.839 0,35% 1.245 $12.786
INCM Franklin Income Focus ETF $447.252 0,35% 15.500 $102.252 Su ×2
LIN Linde plc - Ordinary Shares $444.213 0,35% 856 $19.842
MRSH Marsh Common Stock $430.009 0,34% 2.580 $-17.492
DTE DTE Energy Company Common Stock $419.170 0,33% 2.751 $16.919
NJR NewJersey Resources Corporation Common Stock $416.041 0,33% 7.424 $8.315
ET Energy Transfer LP Common Units $410.946 0,32% 21.493 $-48.336 Giù ×1
TGT Target Corporation Common Stock $398.360 0,31% 3.050 $28.700
COST Costco Wholesale Corporation - Common Stock $364.833 0,29% 390 $-13.810 Su ×1
IDE Voya Infrastructure, Industrials and Materials Fund Common Shares of Beneficial Interest $363.051 0,28% 26.232 $35.676
SHLD Global X Funds $361.950 0,28% 19.000 Su ×1
CL Colgate-Palmolive Company Common Stock $352.051 0,28% 3.840 $24.768
AMD Advanced Micro Devices, Inc. - Common Stock $342.737 0,27% 590 Su ×1
XLV SELECT SECTOR SPDR TRUST $336.042 0,26% 2.118 $25.522
T AT&T Inc. $327.990 0,26% 15.845 $-133.810 Giù ×1
HD Home Depot, Inc. (The) Common Stock $320.586 0,25% 909 $21.625
CAT Caterpillar, Inc. Common Stock $319.470 0,25% 300 $96.305 Giù ×1
JNJ Johnson & Johnson Common Stock $318.366 0,25% 1.254 $11.947
GPC Genuine Parts Company Common Stock $312.647 0,24% 2.650 $32.409
NEE NextEra Energy, Inc. Common Stock $301.490 0,24% 3.435 $-17.553
MO Altria Group, Inc. $295.283 0,23% 4.104 $24.460
PG Procter & Gamble Company (The) Common Stock $288.441 0,23% 1.967 $4.328
ABT Abbott Laboratories Common Stock $277.807 0,22% 3.062 $-36.524
IGSB iShares 1-5 Year Investment Grade Corporate Bond ETF $272.637 0,21% 5.202 $-780
MRK Merck & Company, Inc. Common Stock (new) $254.558 0,20% 1.981 $-4.426 Giù ×1
EQR Equity Residential Common Shares of Beneficial Interest $250.118 0,20% 3.682 $32.328
VO VANGUARD INDEX FUNDS $248.800 0,19% 3.088 $27.097 Su ×1
DTM DT Midstream, Inc. Common Stock $239.480 0,19% 1.632 $19.699
DIS Walt Disney Company (The) Common Stock $234.080 0,18% 2.432 $-316
ETN Eaton Corporation, PLC Ordinary Shares $224.565 0,18% 527 Su ×1
XLI SELECT SECTOR SPDR TRUST $222.646 0,17% 1.202 Su ×1
ED Consolidated Edison, Inc. Common Stock $220.093 0,17% 1.989 $-4.637 Su ×1
PFF iShares Preferred and Income Securities ETF $217.028 0,17% 7.118 $1.210
KO Coca-Cola Company (The) Common Stock $214.878 0,17% 2.644 $13.802
PEP PepsiCo, Inc. - Common Stock $209.599 0,16% 1.548 $-30.790
JPM JP Morgan Chase & Co. Common Stock $203.599 0,16% 622
NFLX Netflix, Inc. - Common Stock $201.348 0,16% 2.820 $-69.795
FTCS First Trust Capital Strength ETF $196.305 0,15% 16.059 Su ×1
PBYI Puma Biotechnology Inc - Common Stock $191.558 0,15% 23.620 $40.626
SONM Sonim Technologies, Inc. - Common Stock $182.825 0,14% 35.500 $102.225 Su ×1
DUOT Duos Technologies Group, Inc. - Common Stock $132.000 0,10% 11.000 $56.540
INVE Identiv, Inc. - Common Stock $37.800 0,03% 15.000 $800 Su ×1
IDAI T Stamp Inc. - Class A Common Stock $19.800 0,02% 10.000 Su ×1

Titoli a forte convinzione

08

Posizioni aumentate per 3+ trimestri consecutivi.

I conteggi delle azioni sono come riportato nei depositi 13F (non aggiustati per lo split)

TitoloValore% del portafoglioSequenza
IVV $10.195.730 7,99% su ×6
XLK $9.383.921 7,35% su ×3
IBM $5.264.621 4,12% su ×3
NVDA $2.362.463 1,85% su ×3
GOOGL $536.770 0,42% su ×3

Le maggiori nuove scommesse

09

Nuove posizioni aperte questo trimestre, dalla più grande.

TitoloValoreAzioni% del portafoglio
SHLD $361.950 19.000 0,28%
AMD $342.737 590 0,27%
ETN $224.565 527 0,18%
XLI $222.646 1.202 0,17%
JPM $203.599 622 0,16%
FTCS $196.305 16.059 0,15%
IDAI $19.800 10.000 0,02%

Principali variazioni (QoQ)

10
TitoloMovimentoAzioni ΔValore Δ
XLK Acquistato di più +3K +$3.2M
IVV Acquistato di più +557 +$1.7M
CVX Ridotto -100 -$1.5M
NVDA Acquistato di più +4K +$1.1M
AAPL Ridotto -8K -$870K
IBM Acquistato di più +3 +$728K
IWM Ridotto -2K +$599K
STX Solo movimento di prezzo +0 +$573K
UTF Ridotto -750 +$454K
IJH Ridotto -2K +$294K

Posizioni chiuse

11

Include eventi societari (fusioni, delisting) — non tutte le uscite sono vendite

Le posizioni chiuse riflettono modifiche ai report 13F; per i gestori di indici queste sono spesso meccaniche (delisting, fusioni e acquisizioni, ribilanciamento indice), non decisioni attive.

TitoloTrimestreAzioni precedentiValore precedentePrezzo dall'uscita
BIO 30 Giugno 2026 1.715 $478.056 25,7%
MDLZ 30 Giugno 2025 6.359 $431.458 -13,7%
SDIV 30 Giugno 2026 20.898 $408.043 -3,1%
DIV 31 Marzo 2026 19.000 $329.080
NBY 31 Marzo 2026 45.000 $253.800 Non più monitorato
DVY 30 Giugno 2025 1.850 $248.436
VCSH 30 Giugno 2026 3.118 $247.164
MBB 30 Giugno 2026 2.526 $239.844
ED 30 Giugno 2025 1.982 $219.189 3,0%
MRK 30 Giugno 2025 2.333 $209.410 82,3%
JNJ 30 Giugno 2025 1.254 $207.890 67,6%
JPM 31 Marzo 2026 622 $200.421 13,0%
PDBC 31 Dicembre 2025 10.069 $135.224
LXP (depositato come LXPXXXX) 31 Dicembre 2025 10.526 $94.313 22,9%
NBY 30 Settembre 2025 98.000 $56.840 Non più monitorato
OPK 30 Giugno 2025 16.405 $27.232 18,2%