Fund HoldingsBuck Wealth Strategies, LLC

Total Portfolio Value
$809.84M
Total Bought
$90.63M
Total Sold
$58.00M
Net Transaction
+$32.63M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
HP INC(HPQ)0679,225+679,225013,0481.61%+13,048
PAYPAL HLDGS INC(PYPL)20,880263,519+242,6391,21911,9191.47%+10,700
PVH CORPORATION(PVH)0151,558+151,558010,5731.31%+10,573
PIMCO ETF TR
ACTIVE BD ETF
581,455628,413+46,95854,12257,9907.16%+3,868
JANUS DETROIT STR TR
HENDRSN SHRT ETF
0380,404+380,404018,5872.30%+18,587
ISHARES TR0406,755+406,755040,3794.99%+40,379
VERIZON COMMUNICATIONS INC(VZ)294,449295,354+90511,99314,8271.83%+2,834
BONDBLOXX ETF TRUST
BLOOMBERG ONE YR
0317,960+317,960015,7451.94%+15,745
KROGER CO(KR)177,748184,801+7,05311,10613,3721.65%+2,266
PIMCO ETF TR
ENHAN SHRT MA AC
0118,279+118,279011,8951.47%+11,895
LOCKHEED MARTIN CORP(LMT)25,29123,600-1,69112,23214,2641.76%+2,031
ISHARES TR022,005+22,00501,7510.22%+1,751
ISHARES TR017,851+17,85101,6950.21%+1,695
VANGUARD TAX-MANAGED FDS364,560377,312+12,75222,77424,1782.99%+1,404
COCA COLA CO(KO)172,041175,083+3,04212,02713,3151.64%+1,288
ISHARES TR010,625+10,62501,2590.16%+1,259
UNITEDHEALTH GROUP INC(UNH)35,40147,578+12,17711,68612,8741.59%+1,188
PIMCO ETF TR
MULTISECTOR BD
042,758+42,75801,1200.14%+1,120
ISHARES TR
CORE DIV GRWTH
262,698273,737+11,03918,23619,2112.37%+974
ISHARES TR053,782+53,78205,4140.67%+5,414
WELLS FARGO & CO(WFC)011,222+11,22208930.11%+893
WORLD GOLD TR(GLDM)159,072156,013-3,05913,58014,4611.79%+881
ISHARES TR04,861+4,86108550.11%+855
WASTE MGMT INC DEL(WM)55,93657,107+1,17112,29013,1231.62%+833
SEMPRA(SRE)69,16471,144+1,9806,1066,9130.85%+807
ISHARES TR012,547+12,54707730.10%+773
PIMCO ETF TR
INTER MUN BD ACT
16,95031,608+14,6588881,6500.20%+761
FRANKLIN TEMPLETON ETF TR
FRANKLIN DYN MUN
33,71264,489+30,7778381,5990.20%+760
AMERICAN CENTY ETF TR0123,608+123,60809,9601.23%+9,960
ISHARES TR79,86182,644+2,7839,59810,2741.27%+676
ISHARES TR117,357124,038+6,68180,38381,02310.00%+640
PROCTER & GAMBLE CO(PG)78,65482,449+3,79511,27211,9091.47%+637
AMGEN INC(AMGN)39,18138,153-1,02812,82413,4241.66%+600
DELL TECHNOLOGIES INC(DELL)9,4219,956+5351,1861,6340.20%+448
CAL MAINE FOODS INC(CALM)072,415+72,41505,7320.71%+5,732
ISHARES TR3,1766,872+3,6963407290.09%+389
WALMART INC(WMT)122,833112,799-10,03413,68514,0191.73%+334
SPDR INDEX SHS FDS
ST STR PO EX ETF
07,296+7,29603330.04%+333
VANGUARD INDEX FDS070,754+70,754020,3192.51%+20,319
ADVANCED MICRO DEVICES INC(AMD)01,561+1,56103180.04%+318
ROBINHOOD MKTS INC(HOOD)04,386+4,38603040.04%+304
ORACLE CORP(ORCL)02,020+2,02002970.04%+297
PHILIP MORRIS INTL INC(PM)01,470+1,47002430.03%+243
BLACKROCK ETF TRUST II05,030+5,03002410.03%+241
ALLSTATE CORP(ALL)46,74547,960+1,2159,7309,9441.23%+214
FIRST TR EXCHNG TRADED FD VI
FT VEST US EQT
03,982+3,98202010.02%+201
JAZZ PHARMACEUTICALS PLC(JAZZ)7,8768,124+2481,3391,5360.19%+197
BONDBLOXX ETF TRUST
IR M TAXAWARE
8,76112,593+3,8324446370.08%+192
FIRST TR EXCHNG TRADED FD VI
FT VEST US
11,37115,782+4,4114946710.08%+178
INTUIT(INTU)17,97227,926+9,95411,90512,0751.49%+170
SHOPIFY INC(SHOP)1,4293,234+1,8052303840.05%+154
NETFLIX INC.(NFLX)09,423+9,42309060.11%+906
EXXON MOBIL CORP3,6013,320-2814335630.07%+130
COSTCO WHOLESALE CORPORATION(COST)300382+822583810.05%+122
CSG SYS INTL INC16,90617,487+5811,2971,3980.17%+101
MCDONALDS CORP(MCD)01,023+1,02303180.04%+318
FORTINET INC(FTNT)15,14515,929+7841,2031,3020.16%+99
SELECT SECTOR SPDR TR
ST STR ENERG ETF
8,9117,981-9303984890.06%+90
BROADCOM INC(AVGO)1,9012,414+5136587470.09%+89
FIRST TR EXCHNG TRADED FD VI
FT VEST US EQUTY
012,590+12,59003820.05%+382
NUCOR CORP(NUE)8,1558,323+1681,3301,4070.17%+77
ISHARES TR024,720+24,72009720.12%+972
NORTHROP GRUMMAN CORP(NOC)0395+39502700.03%+270
ALTRIA GROUP INC(MO)04,736+4,73603130.04%+313
GLOBE LIFE INC9,2819,619+3381,2981,3390.17%+41
EXELIXIS INC(EXEL)36,00537,332+1,3271,5781,6010.20%+23
FIRST TR EXCHNG TRADED FD VI
FT VEST US
17,25017,714+4648238390.10%+16
KINDER MORGAN INC DEL(KMI)07,587+7,58702540.03%+254
CELESTICA INC(CLS)4,1894,429+2401,2381,2480.15%+9
SPDR SERIES TRUST
ST STR AGGRE ETF
11,12011,513+3932862950.04%+9
FIRST TR EXCHNG TRADED FD VI
FT VEST US EQT
013,431+13,43105690.07%+569
SCHWAB STRATEGIC TR011,033+11,03303380.04%+338
FIRST TR EXCHNG TRADED FD VI
FT VEST US EQT
05,821+5,82102820.03%+282
FIRST TR EXCHNG TRADED FD VI
FT VEST U.S.
012,728+12,72805060.06%+506
LAM RESEARCH CORP(LRCX)01,086+1,08602320.03%+232
FIRST TR EXCHNG TRADED FD VI
FT VEST US EQT
07,811+7,81103510.04%+351
FIRST TR EXCHNG TRADED FD VI
VEST US EQUITY M
08,400+8,40002810.03%+281
PGIM ETF TR
PGIM ULTRA SH BD
04,922+4,92202440.03%+244
FIRST TR EXCHNG TRADED FD VI
VEST US EQUITY M
06,230+6,23002140.03%+214
ISHARES TR
0-5YR HI YL CP
05,384+5,38402280.03%+228
FIRST TR EXCHNG TRADED FD VI
VEST US EQUITY M
06,366+6,36602160.03%+216
FIRST TR EXCHNG TRADED FD VI
FT VEST US EQ MA
7,1807,18002362350.03%-1
FIRST TR EXCHNG TRADED FD VI
FT VEST US EQUIT
18,14018,14005925900.07%-2
J P MORGAN EXCHANGE TRADED F
MUNICIPAL ETF
04,578+4,57802290.03%+229
FIRST TR EXCHNG TRADED FD VI
FT VEST US EQT
04,497+4,49702540.03%+254
FIRST TR EXCHNG TRADED FD VI
FT VEST US EQT
9,0609,06004104070.05%-3
AMERICAN ELEC PWR CO INC01,766+1,76602310.03%+231
FIRST TR EXCHNG TRADED FD VI
FT VEST US EQT
15,40715,40707297250.09%-5
FIRST TR EXCHNG TRADED FD VI
FT VEST NAS
08,915+8,91502790.03%+279
FIRST TR EXCHNG TRADED FD VI
FT VEST US EQT
05,783+5,78302540.03%+254
MASTERCARD INCORPORATED(MA)520582+622972910.04%-6
TESLA INC(TSLA)2,3922,875+4831,0761,0690.13%-7
FIRST TR EXCHNG TRADED FD VI
FT VEST U.S.
09,527+9,52704150.05%+415
FIRST TR EXCHNG TRADED FD VI
FT VEST US EQT
6,7316,73103763680.05%-8
VANGUARD INDEX FDS380385+52382300.03%-8
FIRST TR EXCHNG TRADED FD VI
FT VEST US EQT
4,9554,935-202722640.03%-8
SELECT SECTOR SPDR TR
ST STR STAPL ETF
4,6844,337-3473643560.04%-8
FIRST TR EXCHNG TRADED FD VI
FT VEST UQ EQT
5,2505,230-202692600.03%-9
FIRST TR EXCHNG TRADED FD VI
FT VEST UQ EQT
011,691+11,69105080.06%+508
FIRST TR EXCHNG TRADED FD VI
FT VEST US EQT
012,455+12,45505820.07%+582
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