Fund HoldingsMcGinn Penninger Investment Management, Inc.

Total Portfolio Value
$153.0K
Total Bought
$2.1K
Total Sold
$29.7K
Net Transaction
-$27.6K
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
EXXON MOBIL CORP49,56342,332-7,231674.69%+1
SLB LTD(SLB)100,36698,411-1,955453.31%+1
FEDEX CORP.21,29320,247-1,046674.71%+1
JOHNSON & JOHNSON(JNJ)28,02226,280-1,742664.20%+1
TARGET CORP.(TGT)30,64229,665-977342.35%+1
STARBUCKS CORP.(SBUX)57,73058,448+718553.42%0
MERCK CO.(MRK)47,23044,311-2,919553.48%0
NIKE(NKE)71,94093,545+21,605553.23%0
PACIFIC GAS & ELECTRIC(PCG)265,898256,165-9,733452.94%0
DIAGEO PLC(DEO)38,37446,527+8,153332.26%0
CHEVRON(CVX)29,08321,922-7,161452.97%0
NASDAQ 100
NASDAQ 100 ETF
395423+28000.16%0
VANGUARD FTSE EUROPE ETF2,4452,4450000.13%-0
VANGUARD TOTAL WORLD STOCK ETF4,2584,2580110.39%-0
TESLA INC.(TSLA)514552+38000.13%-0
VANGUARD HEALTH CARE ETF IV
HEALTH CAR ETF
1,5471,539-8000.27%-0
VANGUARD DIVIDEND APPRECIATION1,2671,154-113000.16%-0
INVSC WATER RESC PORTFOLIO ETF
WATER RES ETF
7,6467,406-240100.32%-0
ISHARES EXPONENTIAL TECHNOLOGI8,5087,988-520110.36%-0
FLEXSHARES QUAL DIV ETF
QUALT DIVD IDX
7,7627,042-720110.36%-0
ISHARES MSCI USA ESG SELECT ET4,5883,618-970100.31%-0
SIMON PPTY GROUP NEW(SPG)22,66821,212-1,456442.59%-0
HOME DEPOT(HD)15,40713,464-1,943542.89%-1
GOLDMAN SACHS GROUP INC(GS)9,2758,594-681874.75%-1
BOEING CO.(BA)30,98228,491-2,491763.71%-1
LVMH MOET HENNESSY LOUIS VUITT31,06732,060+993542.29%-1
BANK OF AMERICA CORP132,215124,416-7,799763.96%-1
WALT DISNEY COMPANY(DIS)53,80250,845-2,957653.20%-1
DOLLAR TREE INC.(DLTR)71,01165,405-5,606974.68%-2
UNITEDHEALTH GROUP INC.(UNH)22,47621,291-1,185763.77%-2
INTEL CORPORATION(INTC)47,8060-47,80620-2
JP MORGAN CHASE & CO(JPM)41,27535,278-5,99713106.78%-3
META PLATFORMS INC.(META)21,20818,890-2,31814117.07%-3
APPLE INC.(AAPL)56,29846,090-10,20815127.65%-4
MICROSOFT CORPORATION(MSFT)28,19626,797-1,39914106.48%-4
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