Fund HoldingsEmpirical Asset Management, LLC

Total Portfolio Value
$444.01M
Total Bought
$116.91M
Total Sold
$83.25M
Net Transaction
+$33.66M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
MICRON TECHNOLOGY INC(MU)3,8006,072+2,2721,2847,0091.58%+5,725
ETF OPPORTUNITIES TRUST
BROO CATA BD ETF
0202,430+202,43003,9820.90%+3,982
NVIDIA CORPORATION(NVDA)049,426+49,42609,8902.23%+9,890
SELECT SECTOR SPDR TR
ST STR REAL ETF
066,438+66,43802,9250.66%+2,925
SPROTT FDS TR
SPROTT CRITICAL
091,514+91,51402,8520.64%+2,852
SPDR SERIES TRUST
ST STR P500ETF
031,231+31,23102,7450.62%+2,745
INVESCO EXCHANGE TRADED FD T
LARG CAP GRO ETF
015,282+15,28202,5740.58%+2,574
ELI LILLY & CO(LLY)04,661+4,66105,5911.26%+5,591
CISCO SYS INC(CSCO)033,743+33,74303,9630.89%+3,963
SPROTT ASSET MANAGEMENT LP(PSLV)0122,100+122,10002,3040.52%+2,304
ALPHABET INC(GOOG)014,815+14,81505,2941.19%+5,294
VANECK ETF TRUST
RARE EAR STR ETF
022,981+22,98102,0340.46%+2,034
LAM RESEARCH CORP(LRCX)2,4065,743+3,3375142,4890.56%+1,975
ISHARES TR032,446+32,44608,1841.84%+8,184
APPLIED MATLS INC2,0033,285+1,2826852,3750.53%+1,691
ADVANCED MICRO DEVICES INC(AMD)04,493+4,49302,6100.59%+2,610
NEW YORK LIFE INVESTMENTS ET
HEDGE MULTI STRA
045,661+45,66101,6710.38%+1,671
DELL TECHNOLOGIES INC(DELL)7,1856,596-5891,1792,8460.64%+1,666
ARM HOLDINGS PLC9,1008,380-7201,3772,9710.67%+1,595
BROADCOM INC(AVGO)06,248+6,24802,3600.53%+2,360
APPLE INC(AAPL)76,55671,730-4,82619,42920,7564.67%+1,327
SELECT SECTOR SPDR TR
ST STR TECHN ETF
06,135+6,13501,1690.26%+1,169
INVESCO QQQ TR03,740+3,74002,7540.62%+2,754
TARGA RES CORP(TRGP)03,853+3,85301,0330.23%+1,033
WESTERN DIGITAL CORP(WDC)1,0412,035+9942821,3000.29%+1,018
ALPHABET INC(GOOG)011,031+11,03103,8980.88%+3,898
KLA CORP(KLAC)08,586+8,58602,5900.58%+2,590
SEAGATE TECHNOLOGY HLDNGS PL
ORD SHS
7541,277+5232951,2320.28%+937
CECO ENVIRONMENTAL CORP(CECO)030,025+30,02502,7240.61%+2,724
INVESCO EXCHANGE TRADED FD T
S&P500 EQL TEC
062,304+62,30404,0190.91%+4,019
PALO ALTO NETWORKS INC(PANW)5,6085,304-3048991,8090.41%+910
CITIGROUP INC(C)07,798+7,79801,0910.25%+1,091
JOHNSON & JOHNSON(JNJ)5,3848,572+3,1881,3162,1770.49%+861
SPDR SERIES TRUST
ST STR SP BIOT
05,418+5,41808570.19%+857
JABIL INC(JBL)02,120+2,12008170.18%+817
STARBOARD INVT TR
RH TACT OUTL ETF
040,540+40,54008050.18%+805
CUMMINS INC(CMI)01,094+1,09407800.18%+780
CATERPILLAR INC(CAT)1,5561,751+1951,1031,8640.42%+762
SELECT SECTOR SPDR TR
ST STR FINL ETF
014,075+14,07507550.17%+755
UNITEDHEALTH GROUP INC(UNH)03,408+3,40801,4160.32%+1,416
ROCKWELL AUTOMATION INC(ROK)01,501+1,50107430.17%+743
ABBVIE INC(ABBV)05,575+5,57501,4030.32%+1,403
INTEL CORP(INTC)04,680+4,68006530.15%+653
QUALCOMM INC(QCOM)16,01314,688-1,3252,0622,7140.61%+652
MARVELL TECHNOLOGY INC(MRVL)02,142+2,14206380.14%+638
NEW YORK LIFE INVTS ACTIVE E
WINSLOW LAR CAP
011,010+11,01006230.14%+623
BLOOM ENERGY CORP02,024+2,02406130.14%+613
HUNT J B TRANS SVCS INC(JBHT)02,104+2,10406090.14%+609
SELECT SECTOR SPDR TR
ST STR DISCR ETF
05,193+5,19306090.14%+609
TARGET CORP(TGT)04,597+4,59706000.14%+600
ENTERGY CORP NEW(ETR)05,154+5,15405920.13%+592
FIRST TR EXCHANGE-TRADED ALP
COM SHS
012,603+12,60302,4420.55%+2,442
KEYSIGHT TECHNOLOGIES INC(KEYS)01,661+1,66105810.13%+581
VIATRIS INC(VTRS)036,456+36,45605790.13%+579
SELECT SECTOR SPDR TR
ST STR STAPL ETF
06,882+6,88205720.13%+572
CVS HEALTH CORP(CVS)05,473+5,47305660.13%+566
FORTIVE CORP(FTV)09,123+9,12305570.13%+557
SELECT SECTOR SPDR TR
ST STR MATER ETF
010,894+10,89405540.12%+554
HALLIBURTON CO(HAL)016,092+16,09205460.12%+546
ELEVANCE HEALTH INC FORMERLY(ELV)01,399+1,39905410.12%+541
TAPESTRY INC(TPR)03,684+3,68405390.12%+539
AMGEN INC(AMGN)02,925+2,92501,0590.24%+1,059
FIRST TR EXCHANGE-TRADED ALP
SML CP GRW ALP
015,714+15,71402,0010.45%+2,001
PACER FDS TR
US LRG CP CASH
056,187+56,18702,2560.51%+2,256
AMAZON COM INC(AMZN)018,878+18,87804,4991.01%+4,499
ISHARES TR09,292+9,29202,7920.63%+2,792
ISHARES TR010,289+10,28901,6830.38%+1,683
GE VERNOVA INC(GEV)1,3781,449+711,2031,7030.38%+500
VANGUARD WORLD FD
INF TECH ETF
09,697+9,69701,1590.26%+1,159
SPDR SERIES TRUST
SST SPDR BLOOMBE
018,397+18,39704920.11%+492
ISHARES TR022,914+22,91402,8450.64%+2,845
THERMO FISHER SCIENTIFIC INC(TMO)0929+92904660.10%+466
BLACKROCK ETF TRUST II09,288+9,28804630.10%+463
FIRST TR EXCHANGE-TRADED ALP
MID CP GR ALPH
018,745+18,74502,0780.47%+2,078
STMICROELECTRONICS N V(STM)011,305+11,30508470.19%+847
CROWDSTRIKE HLDGS INC(CRWD)1,2621,225-374939350.21%+442
GE AEROSPACE(GE)04,191+4,19101,5660.35%+1,566
GENERAL MTRS CO(GM)05,413+5,41304170.09%+417
SHOPIFY INC(SHOP)07,017+7,01708010.18%+801
TEXAS INSTRS INC(TXN)01,391+1,39104150.09%+415
SPDR SERIES TRUST
ST STR P500VAL
06,735+6,73504090.09%+409
FLAGSTAR BANK NATIONAL ASSOC(FLG)027,317+27,31704080.09%+408
CENTENE CORP DEL(CNC)06,344+6,34404070.09%+407
FIVE STAR BANCORP(FSBC)07,996+7,99603890.09%+389
US BANCORP(USB)06,427+6,42703880.09%+388
BLACKROCK ETF TRUST
ISHA IN CTRY ETF
010,584+10,58403870.09%+387
SPDR SERIES TRUST
ST STR FTSE ETF
09,726+9,72603830.09%+383
DISNEY WALT CO(DIS)03,964+3,96403820.09%+382
DAVITA INC(DVA)01,692+1,69203760.08%+376
STARBOARD INVT TR
ADAPTIVE ALPHA
045,419+45,41901,5740.35%+1,574
PHILLIPS 66(PSX)1,2373,514+2,2772255940.13%+369
ISHARES TR
US SML CAP EQT
024,056+24,05602,1440.48%+2,144
ISHARES TR
US TREAS BD ETF
39,80056,188+16,3889121,2800.29%+368
MARATHON PETE CORP(MPC)1,4892,853+1,3643647290.16%+366
HOMETRUST BANCSHARES INC(HTB)07,299+7,29903640.08%+364
TAIWAN SEMICONDUCTOR MANUFAC(TSM)01,938+1,93809260.21%+926
ISHARES TR
CORE UNIVRSL USD
020,365+20,36509400.21%+940
TRUST FOR PROFESSIONAL MANAG
CONVERGENCE LNG
047,217+47,21701,6120.36%+1,612
ISHARES TR709911+2022335840.13%+351
BLACKROCK ETF TRUST
ISHA SYST AL ETF
012,365+12,36503470.08%+347
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