Fund HoldingsNilsine Partners, LLC

Total Portfolio Value
$1.44B
Total Bought
$255.84M
Total Sold
$111.41M
Net Transaction
+$144.43M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
FIRST TRUST TECHNOLOGY ALPHADEX FUND
TECH ALPHADEX
097,521+97,521021,1841.47%+21,184
FIRST TRUST NASDAQ-100 TECHNOLOGY SECTOR INDEX FUND060,647+60,647020,2981.41%+20,298
MICRON TECHNOLOGY INC COM(MU)29,50129,433-6815,47533,9742.35%+18,499
LAM RESEARCH CORP COM NEW(LRCX)99,83599,904+6925,90443,2913.00%+17,387
EXXONMOBIL HOLDINGS CORP COM SHS083,492+83,492011,4150.79%+11,415
FIRST TRUST NASDAQ SEMICONDUCTOR ETF
NASDQ SEMCNDTR
112,309112,477+16823,39132,0502.22%+8,660
APPLE INC COM(AAPL)218,562228,660+10,09858,48966,1654.58%+7,676
KLA CORP COM NEW(KLAC)6,69365,887+59,19412,71719,8791.38%+7,162
PALO ALTO NETWORKS INC COM(PANW)023,363+23,36307,9670.55%+7,967
JABIL INC COM(JBL)016,051+16,05106,1870.43%+6,187
FIRST TRUST NYSE ARCA BIOTECHNOLOGY INDEX FUND95,08397,225+2,14219,38824,1011.67%+4,713
ARISTA NETWORKS INC COM SHS(ANET)032,657+32,65705,5480.38%+5,548
CISCO SYS INC COM(CSCO)58,38383,161+24,7785,1539,7680.68%+4,615
HYATT HOTELS CORP COM CL A(H)020,683+20,68304,0090.28%+4,009
APPLIED MATLS INC COM11,39811,751+3534,6158,4960.59%+3,881
ELI LILLY & CO COM(LLY)11,07511,082+79,61613,2920.92%+3,676
CADENCE DESIGN SYSTEM INC COM(CDNS)09,186+9,18603,4480.24%+3,448
AMGEN INC COM(AMGN)09,193+9,19303,3290.23%+3,329
APPLE INC COM(AAPL)(Put)010,200+10,20002,951+2,951
ISHARES MSCI SOUTH KOREA ETF63,77463,977+2039,99512,9170.89%+2,922
MCKESSON CORP COM(MCK)4,7458,768+4,0233,9306,6250.46%+2,695
VEEVA SYS INC CL A COM(VEEV)014,995+14,99502,6610.18%+2,661
BANK OF AMER CORP COM081,096+81,09604,6210.32%+4,621
RTX CORPORATION COM(RTX)028,612+28,61205,4290.38%+5,429
WORKDAY INC CL A(WDAY)021,804+21,80402,6690.18%+2,669
FIRST TRUST NASDAQ TRANSPORTATION ETF
NASDAQ TRANSN
453,361465,155+11,79418,81021,1981.47%+2,388
CROWDSTRIKE HLDGS INC CL A(CRWD)7,0807,347+2673,2195,6070.39%+2,388
CATERPILLAR INC COM(CAT)9,6739,750+778,01710,3830.72%+2,366
ISHARES RUSSELL 2000 ETF36,36841,274+4,90610,07912,4010.86%+2,322
ADVANCED MICRO DEVICES INC COM(AMD)8,9549,104+1502,9965,2890.37%+2,292
CARRIER GLOBAL CORPORATION COM(CARR)029,804+29,80402,1860.15%+2,186
HEWLETT PACKARD ENTERPRISE CO COM(HPE)041,938+41,93801,8920.13%+1,892
INVESCO DORSEY WRIGHT TECHNOLOGY MOMENTUM ETF
DORSEY WRGT TECH
012,306+12,30601,6770.12%+1,677
COUNTERPOINT QUANTITATIVE EQUITY ETF
COUN QUA EQU ETF
221,622229,706+8,08410,26611,9360.83%+1,670
OREILLY AUTOMOTIVE INC COM(ORLY)018,076+18,07601,6650.12%+1,665
US BANCORP COM NEW(USB)033,748+33,74802,0380.14%+2,038
WELLS FARGO & CO COM(WFC)030,323+30,32302,5060.17%+2,506
CAPITAL ONE FINL CORP COM(COF)016,642+16,64203,3390.23%+3,339
CORNING INC COM(GLW)27,04024,048-2,9924,5436,1430.43%+1,600
VISA INC COM CL A(V)33,63434,998+1,36410,41512,0080.83%+1,593
INVESCO AI AND NEXT GEN SOFTWARE ETF
AI AND NEXT GEN
015,232+15,23201,5860.11%+1,586
AMERICAN FINANCIAL GROUP INC COM011,174+11,17401,5640.11%+1,564
CENTENE CORP DEL COM(CNC)035,320+35,32002,2670.16%+2,267
BLOCK INC CL A(XYZ)025,999+25,99901,9760.14%+1,976
PEOPLE INC COM NEW(PPLI)032,316+32,31601,4920.10%+1,492
ALPHABET INC CAP STK CL C(GOOG)26,99630,619+3,6239,40910,8190.75%+1,410
UNITED RENTALS INC COM(URI)7,6117,664+537,3058,6820.60%+1,377
TAIWAN SEMICONDUCTOR MANUFACT SPONSORED ADS(TSM)022,330+22,330010,6640.74%+10,664
ASE TECHNOLOGY HLDG CO LTD SPONSORED ADS(ASX)028,322+28,32201,2780.09%+1,278
INVESCO DORSEY WRIGHT MOMENTUM ETF
DORS WRI MOM ETF
08,265+8,26501,2540.09%+1,254
NIKE INC CL B(NKE)047,213+47,21301,9380.13%+1,938
ATI INC COM(ATI)25,02525,713+6883,8405,0680.35%+1,228
CARDINAL HEALTH INC COM(CAH)06,049+6,04901,4370.10%+1,437
MARATHON PETE CORP COM(MPC)34,63735,188+5517,8708,9970.62%+1,127
ACCENTURE PLC IRELAND SHS CLASS A
SHS CLASS A
018,466+18,46602,2980.16%+2,298
BERKSHIRE HATHAWAY INC DEL CL B NEW22,03023,044+1,01410,41611,5310.80%+1,115
BOOZ ALLEN HAMILTON HLDG CORP CL A018,320+18,32001,1110.08%+1,111
STATE STREET SPDR S&P 500 ETF(SPY)30,03830,155+11721,48222,5191.56%+1,037
INVESCO SEMICONDUCTORS ETF
SEMICONDUCTORS
017,289+17,28903,2470.22%+3,247
COHERENT CORP COM(COHR)10,22010,552+3323,2864,1620.29%+876
JPMORGAN CHASE & CO COM(JPM)38,93039,511+58112,13212,9330.90%+801
TESLA INC COM(TSLA)14,89415,302+4085,6406,4360.45%+796
ARGENX SE SPONSORED ADR(ARGX)4,1264,302+1763,2343,9910.28%+758
BRINKER INTL INC COM(EAT)019,541+19,54103,2830.23%+3,283
GOLDMAN SACHS GROUP INC COM(GS)8,3688,493+1257,8488,5900.59%+742
JOHNSON & JOHNSON COM(JNJ)23,66823,855+1875,3336,0580.42%+725
PETROLEO BRASILEIRO S A SP ADR NON VTG
SP ADR NON VTG
048,527+48,52707100.05%+710
HONEYWELL INTL INC COM03,059+3,05906850.05%+685
HONEYWELL AEROSPACE INC COM03,074+3,07406800.05%+680
VALERO ENERGY CORP COM(VLO)24,98525,441+4565,9536,6260.46%+673
INTEL CORP COM(INTC)011,438+11,43801,5970.11%+1,597
ABBVIE INC COM(ABBV)010,103+10,10302,5420.18%+2,542
NVIDIA CORPORATION COM(NVDA)179,680197,719+18,03938,92039,5622.74%+641
MONSTER BEVERAGE CORP NEW COM(MNST)028,457+28,45702,7350.19%+2,735
A10 NETWORKS INC COM056,679+56,67902,1180.15%+2,118
PENSKE AUTOMOTIVE GRP INC COM(PAG)27,49727,655+1584,4034,9490.34%+545
ISHARES MSCI PERU AND GLOBAL EXPOSURE ETF113,697116,240+2,5439,1649,7060.67%+542
ISHARES MSCI ITALY ETF
MSCI ITALY ETF
176,239179,139+2,90010,07710,6120.74%+535
MACOM TECH SOLUTIONS HLDGS INC COM(MTSI)05,008+5,00801,9050.13%+1,905
MARVELL TECHNOLOGY INC COM(MRVL)02,725+2,72508120.06%+812
INTERNATIONAL BUSINESS MACHS COM(IBM)09,383+9,38302,6390.18%+2,639
AMERIS BANCORP COM(ABCB)67,11968,770+1,6515,7136,2070.43%+494
ISHARES CORE S&P 500 ETF12,87812,993+1159,2539,7300.67%+478
HOME DEPOT INC COM(HD)04,794+4,79401,6910.12%+1,691
INVESCO NEXT GEN CONNECTIVITY ETF
NEXT GEN CON ETF
010,285+10,28502,1690.15%+2,169
NEUROCRINE BIOSCIENCES INC COM(NBIX)010,013+10,01301,6880.12%+1,688
MERCK & CO INC COM(MRK)26,47826,144-3342,9193,3600.23%+441
NOVO-NORDISK A S ADR(NVO)069,503+69,50303,3320.23%+3,332
REALTY INCOME CORP COM(O)010,635+10,63506590.05%+659
SEAGATE TECHNOLOGY HLDNGS PLC ORD SHS
ORD SHS
0422+42204070.03%+407
AMPHENOL CORP CL A013,901+13,90102,4510.17%+2,451
AMERICAN ELEC PWR CO INC COM06,910+6,91009450.07%+945
COCA COLA CO COM(KO)62,23462,354+1204,6955,0680.35%+373
TRUIST FINL CORP COM(TFC)07,477+7,47703730.03%+373
ALLSTATE CORP COM(ALL)14,20514,347+1423,0433,4140.24%+371
HERSHEY CO COM(HSY)02,001+2,00103510.02%+351
CASEYS GEN STORES INC COM(CASY)5,4115,912+5014,3534,6990.33%+346
VERTIV HOLDINGS CO COM CL A(VRT)22,72322,910+1877,3277,6710.53%+344
ALPHABET INC CAP STK CL A(GOOG)28,06928,424+3559,83410,1580.70%+324
GE AEROSPACE COM NEW(GE)02,763+2,76301,0330.07%+1,033
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