Fund HoldingsLifestyle Asset Management, Inc.

Total Portfolio Value
$372.07M
Total Bought
$135.50M
Total Sold
$95.02M
Net Transaction
+$40.49M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
STATE STR SPDR S&P 500 ETF T(SPY)081,416+81,416060,79916.34%+60,799
SPDR SERIES TRUST
ST STR CONV ETF
0137,965+137,965014,8754.00%+14,875
AMERICAN CENTY ETF TR86,321236,820+150,4997,32321,1245.68%+13,801
INVESCO QQQ TR019,866+19,866014,6293.93%+14,629
SPDR INDEX SHS FDS
ST STR PO EX ETF
0252,199+252,199012,7083.42%+12,708
ANGEL OAK FUNDS TRUST
INCOME ETF
0469,008+469,00809,7462.62%+9,746
INVESCO ACTIVELY MANAGED EXC
MSCI EAFE IN ETF
091,302+91,30205,0911.37%+5,091
GOLDMAN SACHS ETF TR
S&P 500 PREMIUM
44,030107,780+63,7502,2035,9891.61%+3,786
INVESCO EXCH TRADED FD TR II101,65991,872-9,78711,39714,8413.99%+3,444
MICRON TECHNOLOGY INC(MU)3,8333,730-1031,2954,3061.16%+3,011
SPDR INDEX SHS FDS
ST PORT MARK ETF
053,758+53,75802,7840.75%+2,784
NORTHERN LTS FD TR III
HCM DEFND 100
102,385115,143+12,7587,1509,8562.65%+2,707
FEDERATED HERMES ETF TRUST
MDT SMALL CAP
217,725245,392+27,6676,4649,1602.46%+2,696
WESTERN DIGITAL CORP(WDC)13,4499,474-3,9753,6386,0511.63%+2,413
ISHARES TR16,21721,366+5,1494,0226,4191.73%+2,398
ISHARES TR018,872+18,87202,2170.60%+2,217
FORTINET INC(FTNT)27,30127,226-752,2314,1821.12%+1,951
ISHARES TR3,82614,468+10,6426732,5970.70%+1,924
ISHARES TR3,12616,474+13,3483702,2520.61%+1,881
NORTHERN LTS FD TR III
HCM DEFEN 500
117,464133,414+15,9506,6918,5062.29%+1,816
ISHARES TR032,084+32,08402,1950.59%+2,195
AIRBNB INC012,643+12,64301,8090.49%+1,809
GE AEROSPACE(GE)4,0566,771+2,7151,1512,5310.68%+1,380
AMERICAN CENTY ETF TR56,30157,235+9344,5375,5231.48%+986
INNOVATOR ETFS TRUST
EQUI DEF PRO APR
035,830+35,83009420.25%+942
PACER FDS TR
DATA & DIGI REVO
08,431+8,43109000.24%+900
INVESCO EXCHANGE TRADED FD T
S&P500 EQL WGT
38,71338,908+1957,4308,2782.22%+849
INNOVATOR ETFS TRUST
EQUIT DEFIN JUL
027,018+27,01808080.22%+808
APPLOVIN CORP(APP)05,397+5,39702,7810.75%+2,781
KLA CORP(KLAC)5064,848+4,3427451,4630.39%+718
CELESTICA INC(CLS)8,3038,246-572,3393,0080.81%+669
ALPHABET INC(GOOG)09,589+9,58903,4270.92%+3,427
EXELIXIS INC(EXEL)45,94246,882+9401,9702,5510.69%+580
APPLE INC(AAPL)014,539+14,53904,2071.13%+4,207
J P MORGAN EXCHANGE TRADED F
NASDAQ EQT PREM
40,70945,867+5,1582,2602,8190.76%+559
NVIDIA CORPORATION(NVDA)020,063+20,06304,0141.08%+4,014
PACER FDS TR
METAURUS CAP 400
64,49169,389+4,8982,5893,1270.84%+539
COMFORT SYS USA INC(FIX)2,7752,170-6053,8274,3011.16%+474
MEDPACE HLDGS INC(MEDP)05,434+5,43402,8780.77%+2,878
ISHARES TR
LARG CAP SEP ETF
016,720+16,72004660.13%+466
MONSTER BEVERAGE CORP NEW(MNST)04,823+4,82304640.12%+464
AMAZON COM INC(AMZN)12,35812,627+2692,5743,0100.81%+436
NEUROCRINE BIOSCIENCES INC(NBIX)02,571+2,57104330.12%+433
ENOVA INTL INC(ENVA)2,6773,181+5043647660.21%+402
ISHARES TR01,420+1,42003580.10%+358
CARLISLE COS INC(CSL)5,1275,524+3971,7102,0040.54%+293
FIRST TR EXCHNG TRADED FD VI
FT LADD BUFF ETF
07,853+7,85302870.08%+287
TEXAS INSTRS INC(TXN)0940+94002800.08%+280
GLOBAL X FDS
US INFR DEV ETF
13,45116,274+2,8236839590.26%+275
ACCENTURE PLC IRELAND
SHS CLASS A
02,018+2,01802510.07%+251
FIRST TR EXCHNG TRADED FD VI
FT VEST US EQT
05,595+5,59502460.07%+246
DOCUSIGN INC(DOCU)30,40537,931+7,5261,4421,6850.45%+243
CHEWY INC(CHWY)55,52488,109+32,5851,4991,7310.47%+232
BERKSHIRE HATHAWAY INC DEL0455+45502280.06%+228
RENAISSANCERE HLDGS LTD(RNR)7,2057,464+2592,1422,3650.64%+224
MASTERCARD INCORPORATED(MA)03,700+3,70001,9000.51%+1,900
BROADCOM INC(AVGO)02,762+2,76201,0430.28%+1,043
INNOVATOR ETFS TRUST
EQUI DEFI 1 MARC
07,209+7,20902030.05%+203
AGNC INVT CORP(AGNC)17,39234,522+17,1301743760.10%+202
ARISTA NETWORKS INC(ANET)3,9434,019+764846830.18%+199
PEGASYSTEMS INC(PEGA)055,750+55,75001,6710.45%+1,671
STATE STR SPDR S&P MIDCAP 40(MDY)8431,007+1645207080.19%+188
AMPHENOL CORP03,782+3,78206670.18%+667
TAIWAN SEMICONDUCTOR MANUFAC(TSM)1,5371,476-615197050.19%+185
CISCO SYS INC(CSCO)5,1184,937-1813975800.16%+183
ISHARES INC6,33111,189+4,8582183610.10%+143
CHECK POINT SOFTWARE TECH LT
ORD
11,86213,895+2,0331,6941,8260.49%+132
UNITEDHEALTH GROUP INC(UNH)0846+84603520.09%+352
PILGRIMS PRIDE CORP(PPC)42,51361,734+19,2211,6051,7350.47%+130
PIMCO DYNAMIC INCOME FD(PDI)017,892+17,89202990.08%+299
ADOBE INC(ADBE)08,453+8,45301,7330.47%+1,733
NOVA LTD(NVMI)1,3051,258-475676830.18%+116
RBC BEARINGS INC(RBC)730783+533965040.14%+108
INTERNATIONAL BUSINESS MACHS(IBM)02,628+2,62807390.20%+739
QUALCOMM INC(QCOM)01,818+1,81803360.09%+336
TESLA INC(TSLA)0707+70702970.08%+297
MORGAN STANLEY(MS)2,0152,002-133324180.11%+87
ABBVIE INC(ABBV)1,6981,809+1113694550.12%+86
CITIGROUP INC(C)3,4753,411-643944770.13%+83
JPMORGAN CHASE & CO(JPM)1,2511,363+1123684460.12%+78
GOLDMAN SACHS GROUP INC(GS)400402+23384070.11%+68
BANK OF AMER CORP06,552+6,55203730.10%+373
PAYLOCITY HLDG CORP(PCTY)2,8063,422+6163033580.10%+55
HOME DEPOT INC(HD)01,427+1,42705030.14%+503
HARTFORD INSURANCE GROUP INC(HIG)14,44615,115+6691,9542,0030.54%+50
AMERICAN HEALTHCARE REIT INC(AHR)9,4829,48204474940.13%+47
COCA COLA CO(KO)4,5004,747+2473423860.10%+44
ALTRIA GROUP INC(MO)4,0234,287+2642653080.08%+43
UNION PAC CORP(UNP)1,2351,233-23003350.09%+36
J P MORGAN EXCHANGE TRADED F
ULTRA SHRT ETF
14,84415,558+7147517870.21%+36
DIREXION SHARES ETF TRUST
DIREXION HCM
06,968+6,96802920.08%+292
META PLATFORMS INC(META)04,049+4,04902,2810.61%+2,281
LINDE PLC(LIN)663685+223293550.10%+27
MERCK & CO INC(MRK)2,9802,979-13583830.10%+24
PROCTER & GAMBLE CO(PG)2,2042,331+1273183420.09%+23
J P MORGAN EXCHANGE TRADED F
MUNICIPAL ETF
13,06813,325+2576536750.18%+22
JOHNSON & JOHNSON(JNJ)1,8411,852+114504700.13%+20
ESSENTIAL PPTYS RLTY TR INC13,24114,062+8214024200.11%+18
FIRST TR EXCHNG TRADED FD VI
FT VEST US
5,3505,35002532700.07%+17
THE TRADE DESK INC(TTD)12,72916,813+4,0842893040.08%+15
Page 1 of 1