Fund HoldingsVenturi Wealth Management, LLC

Total Portfolio Value
$2.58B
Total Bought
$639.50M
Total Sold
$538.73M
Net Transaction
+$100.77M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
iShares Russell 1000 Growth ETF01,272,355+1,272,3550157,9886.11%+157,988
SPDR Portfolio S&P (500 Etf)
ST STR P500ETF
01,398,369+1,398,3690122,8894.75%+122,889
iShares Inc Core (msci Emerging MKTS Etf)
CORE MSCI EMKT
01,800,638+1,800,6380149,1655.77%+149,165
iShares Core S&P (small-Cap E)139,095510,727+371,63217,29175,7462.93%+58,455
Micron Technology(MU)058,328+58,328067,3272.60%+67,327
Kla Corp Com New(KLAC)0137,900+137,900041,6051.61%+41,605
Advanced Micro(AMD)034,664+34,664020,1370.78%+20,137
Nvidia Corporation(NVDA)0340,034+340,034068,0372.63%+68,037
Alphabet Inc Cap STK(GOOG)0184,847+184,847065,9132.55%+65,913
Apple Inc(AAPL)0245,010+245,010070,8962.74%+70,896
Texas Instruments(TXN)108,426106,151-2,27521,05031,6401.22%+10,590
United Rentals Inc(URI)024,727+24,727028,0131.08%+28,013
iShares Russell 2000 (etf)140,346143,433+3,08734,80643,0941.67%+8,289
Broadcom Inc Com(AVGO)0112,791+112,791042,6071.65%+42,607
Vanguard Russell (2000 Etf)
VNG RUS2000IDX
0415,648+415,648050,4681.95%+50,468
Capital Group (international Eq SHS)
SHS
1,748,2741,795,643+47,36959,12766,0442.56%+6,917
Eli Lilly & Co(LLY)023,196+23,196027,8221.08%+27,822
Palo Alto Networks(PANW)30,87732,855+1,9784,95011,2040.43%+6,254
Select Sector SPDR (trust Technology Select Sector Usd Dis)
ST STR TECHN ETF
0120,901+120,901023,0340.89%+23,034
Qualcomm Inc(QCOM)0128,649+128,649023,7730.92%+23,773
SPDR S&P500 ETF (trust Trust Unit Depositary Receipt)(SPY)020,197+20,197015,0810.58%+15,081
iShares MSCI South (korea Etf)69,78166,984-2,7978,58413,5240.52%+4,940
Amazon.com Inc(AMZN)098,512+98,512023,4790.91%+23,479
American Centy ETF (TR Avantis US Small Cap Value)307,061307,011-5033,92138,3031.48%+4,382
Applied Materials012,535+12,53509,0630.35%+9,063
Heico Corp New CL A089,163+89,163022,9960.89%+22,996
SPDR Portfolio (emerging Markets Etf)
ST PORT MARK ETF
690,861700,737+9,87632,40836,2841.40%+3,876
Atlas Energy(AESI)1,086,2541,086,254014,25218,0430.70%+3,791
Abbvie Inc Com(ABBV)98,919100,019+1,10021,51425,1690.97%+3,655
Taiwan Semiconductor(TSM)25,18425,402+2188,51112,1300.47%+3,620
Visa Inc(V)078,282+78,282026,8581.04%+26,858
Wisdomtree TR (floatng Rat Trea)(WT)065,051+65,05103,2750.13%+3,275
American Centy ETF (TR Avantis Emgmkt)203,546202,202-1,34416,40219,5100.75%+3,109
Asml Holding NV
N Y REGISTRY SHS
4,7374,640-976,2569,2300.36%+2,974
JPMorgan Chase(JPM)78,93679,433+49723,22026,0011.01%+2,781
Astera Labs Inc Com(ALAB)06,798+6,79803,2840.13%+3,284
Zscaler Inc Com(ZS)016,357+16,35702,3090.09%+2,309
Consumer (discretionary Select Sector SPDR Fund)
ST STR DISCR ETF
52,77167,958+15,1875,7517,9700.31%+2,219
iShares MSCI EAFE (etf)203,642209,938+6,29619,78021,8080.84%+2,029
Boeing Co(BA)5,08713,919+8,8321,0123,0130.12%+2,001
Mueller Industries(MLI)0152,999+152,999018,8080.73%+18,808
Capital GRP Fixed (incm ETF TR Municipal Income)
MUN INM ETF
1,267,4441,321,147+53,70334,41136,2921.40%+1,881
Lam Research Corp(LRCX)08,823+8,82303,8230.15%+3,823
Vaneck ETF Trust (semiconductr Etf)
SEMICONDUCTR ETF
03,851+3,85102,5260.10%+2,526
Microsoft(MSFT)0125,570+125,570046,8401.81%+46,840
Progressive Corp Com(PGR)92,65692,090-56618,36820,1170.78%+1,749
Cisco Systems(CSCO)042,359+42,35904,9750.19%+4,975
Seagate Technology
ORD SHS
3,4053,037-3681,3342,9310.11%+1,597
Intel(INTC)011,019+11,01901,5390.06%+1,539
iShares Edge MSCI Intl Momentum FCTR ETF
MSCI INTL MOMENT
0157,490+157,49008,3990.32%+8,399
Crowdstrike HLDGS(CRWD)03,875+3,87502,9570.11%+2,957
Home Depot(HD)55,97556,256+28118,40919,8400.77%+1,431
Health Care Select (sector SPDR)
ST STR CARE ETF
034,682+34,68205,5030.21%+5,503
SAP ADR Rep 1 Ord(SAP)025,179+25,17903,8800.15%+3,880
Ares Management(ARES)011,499+11,49901,2800.05%+1,280
Wisdomtree TR Intl (qulty Div)(WT)0187,054+187,05408,0580.31%+8,058
Harbor ETF Trust (international Compounders Etf)
INTERNATNAL COMP
0771,715+771,715023,5680.91%+23,568
Vanguard Intl Equity (index FDS FTSE Emr MKT Etf)0294,513+294,513017,5790.68%+17,579
Caterpillar(CAT)03,050+3,05003,2460.13%+3,246
iShares Core S&P 500 ETF010,566+10,56607,9120.31%+7,912
Cullen/Frost Bankers(CFR)2,5718,949+6,3783521,3830.05%+1,030
Amphenol Corp Class014,312+14,31202,5230.10%+2,523
Servicenow Inc Com(NOW)037,341+37,34103,7070.14%+3,707
UnitedHealth Group(UNH)010,963+10,96304,5560.18%+4,556
BlackRock ETF Trust (ishares Ai Innovation And Tech Actv Etf)
ISHA I IN TE ETF
45,75245,617-1351,5082,4050.09%+897
BlackRock ETF Trust (us EQT Factor)
ISHARES US EQUIT
65,66968,920+3,2513,8214,6870.18%+867
Robinhood MKTS Inc(HOOD)23,24624,445+1,1991,6112,4510.09%+840
Berkshire Hathaway09,569+9,56907,0330.27%+7,033
SPDR Portfolio (developed World Ex-US Etf)
ST STR PO EX ETF
0174,776+174,77608,8070.34%+8,807
On Semiconductor(ON)13,66317,019+3,3568461,6090.06%+763
Spotify Technology(SPOT)02,105+2,10509660.04%+966
Dell Technologies(DELL)02,344+2,34401,0110.04%+1,011
Arista Networks Inc(ANET)014,969+14,96902,5430.10%+2,543
Ark ETF Trust (innovation Etf)
INNOVATION ETF
08,800+8,80007110.03%+711
iShares S&P 500 (growth Etf)028,192+28,19203,8770.15%+3,877
Select Sector SPDR (TR RL Est Sel Sec)
ST STR REAL ETF
020,501+20,50109030.03%+903
Valmont Industries(VMI)02,652+2,65201,5310.06%+1,531
Fermi Inc Com(FRMI)074,869+74,86906860.03%+686
Grainger W W Inc Com(GWW)02,141+2,14102,9110.11%+2,911
Bilibili Inc Spon039,083+39,08306660.03%+666
Cummins Inc(CMI)03,758+3,75802,6790.10%+2,679
KB Finl Group Inc(KB)09,693+9,69301,0170.04%+1,017
Western Digital(WDC)01,814+1,81401,1590.04%+1,159
iShares TR MSCI USA (mmentm)
MSCI USA MMENTM
5,9645,956-81,4312,0420.08%+610
Twilio Inc CL A(TWLO)05,926+5,92601,2230.05%+1,223
Invesco Exchange (traded FD TR S&P MDCP Quality)
S&P MDCP QUALITY
034,426+34,42603,8860.15%+3,886
Ase Technology(ASX)023,858+23,85801,0760.04%+1,076
TD Synnex Corporation(SNX)6,9256,509-4161,1681,7400.07%+572
Williams-Sonoma Inc(WSM)010,127+10,12702,3600.09%+2,360
Datadog Inc CL A Com(DDOG)02,183+2,18305680.02%+568
Stmicroelectronics(STM)07,534+7,53405640.02%+564
Axon Enterprise Inc(AXON)0997+99705590.02%+559
United Airls HLDGS(UAL)03,985+3,98505420.02%+542
GE Vernova Inc Com(GEV)1,5311,597+661,3361,8750.07%+540
Cadence Design(CDNS)01,431+1,43105370.02%+537
Coca-Cola(KO)023,836+23,83601,9810.08%+1,981
GE Aerospace Com New(GE)04,639+4,63901,7330.07%+1,733
Koninklijke Philips(PHG)018,007+18,00704900.02%+490
iShares TR PFD And (incm Sec)015,974+15,97404870.02%+487
Sterling(STRL)0580+58004870.02%+487
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