Fund Holdings — EVOKE WEALTH, LLC

Total Portfolio Value
$1.56M
Total Bought
$0
Total Sold
$5.42B
Net Transaction
-$5.42B
Filing Period:
Securities
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SharesValue ($K)
Q1 2026
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Q2 2026
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Change
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Q1 2026
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Q2 2026
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Weight (%)
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Change
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BEYOND MEAT INC(BYND)13,8310-13,831100—-10
FRACTYL HEALTH INC(GUTS)40,0000-40,000180—-18
REKOR SYSTEMS INC(REKR)22,4210-22,421180—-18
ALIGHT INC(ALIT)32,2300-32,230190—-19
ZIPRECRUITER INC(ZIP)11,0660-11,066200—-20
ORION PROPERTIES INC(ONL)13,1590-13,159290—-29
IRONWOOD PHARMACEUTICALS INC(IRWD)12,0620-12,062420—-42
EAGLE POINT CREDIT COMPANY I(ECC)11,7920-11,792440—-44
CRICUT INC(CRCT)11,9570-11,957450—-45
MEDICAL PROPERTIES TRUST INC(MPT)10,1690-10,169480—-48
WIPRO LTD(WIT)25,5230-25,523540—-54
LG DISPLAY CO LTD(LPL)14,6440-14,644570—-57
NEWELL BRANDS INC(NWL)18,5300-18,530640—-64
LAIRD SUPERFOOD INC(LSF)38,6830-38,683830—-83
NOMURA HLDGS INC(NMR)11,3740-11,374900—-90
ATAIBECKLEY INC(ATAI)26,5110-26,511940—-94
ADT INC DEL(ADT)14,1340-14,134940—-94
VIVANI MEDICAL INC(VANI)99,8700-99,8701000—-100
CROWN CRAFTS INC(CRWS)40,0000-40,0001060—-106
SANA BIOTECHNOLOGY INC(SANA)38,1840-38,1841100—-110
LLOYDS BANKING GROUP PLC(LYG)24,2570-24,2571220—-122
EATON VANCE TAX-MANAGED GLOB
COM
14,2330-14,2331230—-123
THE TRADE DESK INC(TTD)6,2740-6,2741420—-142
VIATRIS INC(VTRS)10,6860-10,6861440—-144
MARQETA INC(MQ)39,0070-39,0071590—-159
PMV PHARMACEUTICALS INC(PMVP)133,1220-133,1221650—-165
FORD MTR CO(F)14,3360-14,3361650—-165
VALLEY NATL BANCORP(VLY)14,3230-14,3231770—-177
V F CORP(VFC)10,5080-10,5081790—-179
FIRST TR EXCH TRADED FD III10,1880-10,1881810—-181
ISHARES ETHEREUM TR(ETHA)11,9000-11,9001880—-188
UNITED STS NAT GAS FD LP(UNG)16,6000-16,6001950—-195
MIZUHO FINANCIAL GROUP INC(MFG)25,0120-25,0121990—-199
BANCO SANTANDER SA(SAN)17,7400-17,7402000—-200
PRINCIPAL FINANCIAL GROUP IN(PFG)2,2210-2,2212000—-200
PROSHARES TR II(AGQ)5,8450-5,8452010—-201
ISHARES TR
MSCI USA VALUE
1,4140-1,4142010—-201
SUMMIT THERAPEUTICS INC(SMMT)10,6680-10,6682020—-202
SPDR SERIES TRUST
ST STR SP BANK
3,4000-3,4002020—-202
SYNOPSYS INC(SNPS)5110-5112030—-203
BROOKFIELD CORP(BN)5,0120-5,0122030—-203
SCHWAB STRATEGIC TR7,2960-7,2962030—-203
PRUDENTIAL FINL INC(PFH)2,0820-2,0822030—-203
OVINTIV INC(OVV)3,4260-3,4262030—-203
ALIBABA GROUP HLDG LTD(BABA)1,6230-1,6232040—-204
ELEVANCE HEALTH INC FORMERLY(ELV)6950-6952040—-204
HOULIHAN LOKEY INC(HLI)1,4280-1,4282050—-205
DOVER CORP(DOV)9870-9872060—-206
CARNIVAL CORP7,9910-7,9912070—-207
METLIFE INC(MET)2,9270-2,9272070—-207
MOELIS & CO(MC)3,6680-3,6682090—-209
US FOODS HLDG CORP(USFD)2,2700-2,2702090—-209
EXELON CORP(EXC)4,2700-4,2702090—-209
DBX ETF TR4,2500-4,2502100—-210
POPULAR INC(BPOP)1,5610-1,5612110—-211
CINCINNATI FINL CORP(CINF)1,3310-1,3312110—-211
BRIGHT HORIZONS FAM SOL IN D(BFAM)2,5730-2,5732110—-211
SCHWAB STRATEGIC TR6,9510-6,9512130—-213
MICROCHIP TECHNOLOGY INC.(MCHP)3,3070-3,3072140—-214
J P MORGAN EXCHANGE TRADED F
BETA CDA ETF NEW
2,2720-2,2722140—-214
CROWN HLDGS INC(CCK)2,1360-2,1362140—-214
VANGUARD WORLD FD
UTILITIES ETF
1,0810-1,0812140—-214
APPLOVIN CORP(APP)5380-5382140—-214
ARMSTRONG WORLD INDS INC NEW(AWI)1,3020-1,3022150—-215
DARLING INGREDIENTS INC(DAR)3,4730-3,4732150—-215
JEFFERIES FINANCIAL GROUP IN(JEF)5,2100-5,2102150—-215
PRICE T ROWE GROUP INC(TROW)2,3920-2,3922160—-216
VANGUARD SCOTTSDALE FDS
LONG TERM TREAS
3,8970-3,8972160—-216
GLOBAL X FDS
MSCI GREECE ETF
3,3810-3,3812160—-216
GOLDMAN SACHS ETF TR5,0000-5,0002160—-216
CANADIAN PACIFIC KANSAS CITY(CP)2,7420-2,7422160—-216
ISHARES TR3,1260-3,1262190—-219
GLOBAL X FDS
RBTCS ARTFL INTE
6,6000-6,6002190—-219
GSK PLC(GSK)3,9620-3,9622200—-220
MASTEC INC(MTZ)6850-6852200—-220
SAP SE(SAP)1,2880-1,2882210—-221
ISHARES TR1,6850-1,6852230—-223
VANGUARD BD INDEX FDS2,8850-2,8852230—-223
ELECTRONIC ARTS INC1,0920-1,0922230—-223
CHURCH & DWIGHT CO INC(CHD)2,3900-2,3902230—-223
WEX INC(WEX)1,4690-1,4692250—-225
ISHARES INC6,3410-6,3412250—-225
ISHARES TR2,1130-2,1132250—-225
FIRST TR EXCHANGE-TRADED FD
NASDAQ CYB ETF
3,6000-3,6002260—-226
VANGUARD INDEX FDS1,2270-1,2272260—-226
FLOWSERVE CORP(FLS)3,0690-3,0692260—-226
HOST HOTELS & RESORTS INC(HST)11,7780-11,7782280—-228
GARMIN LTD(GRMN)9830-9832280—-228
ARAMARK(ARMK)5,6280-5,6282280—-228
ALNYLAM PHARMACEUTICALS INC(ALNY)6930-6932290—-229
BALL CORP3,8800-3,8802290—-229
SPDR SERIES TRUST
ST STR SP400GRW
2,3920-2,3922300—-230
ROPER TECHNOLOGIES INC(ROP)6500-6502300—-230
SPDR SERIES TRUST
ST STR P500GRW
2,3770-2,3772330—-233
AMERICAN TOWER CORP(AMT)1,3490-1,3492330—-233
GLOBE LIFE INC1,6980-1,6982360—-236
SERVICETITAN INC(TTAN)3,7360-3,7362370—-237
NUCOR CORP(NUE)1,3980-1,3982370—-237
QUANTA SVCS INC4330-4332380—-238
FEDERAL RLTY INVT TR NEW(FRT)2,2510-2,2512390—-239
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EVOKE WEALTH, LLC — 13F Holdings — Q2 2026 | TickerTrail