Fund HoldingsWiser Advisor Group LLC

Total Portfolio Value
$82.72M
Total Bought
$5.78M
Total Sold
$11.42M
Net Transaction
-$5.63M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
FIRST TRUST
FT LADD BUFF ETF
51,851116,116+64,2651,7763,9214.74%+2,145
BLACKSTONE INC(BX)1048,749+8,645161,0061.22%+990
NUCOR CORP(NUE)04,250+4,25007190.87%+719
GLOBAL X
GLBL X MLP ETF
036,009+36,00901,9402.35%+1,940
SCHWAB US40,12149,564+9,4431,1431,4411.74%+299
GLOBAL X
DATA CTR DIG ETF
86,30186,175-1261,8212,0652.50%+244
WALMART INC(WMT)14,83914,744-951,6531,8322.22%+179
NYLI FTSE
FTSE INTL EQTY C
84,34385,561+1,2182,7372,8733.47%+136
FIRST TRUST
NASDQ CLN EDGE
12,72812,718-101,9482,0802.51%+133
TAIWAN SEMICONDUCTOR(TSM)4,4574,398-591,3551,4861.80%+132
COCA COLA COMPANY(KO)15,70715,698-91,0981,1941.44%+96
INVESCO S&P
S&P MDCP QUALITY
022,965+22,96502,3742.87%+2,374
TC ENERGY(TRP)7,2927,237-554014530.55%+52
LUMENTUM HOLDINGS(LITE)061+610430.05%+43
PROLOGIS INC(PLD)6,6166,670+548458821.07%+37
PALANTIR TECHNOLOGIES(PLTR)293557+26452810.10%+29
COSTCO WHOLESALE(COST)0194+19401930.23%+193
AMPLIFY CWP14,32314,736+4136376610.80%+24
XPO INC(XPO)387387053750.09%+23
VANGUARD VALUE10,60710,432-1752,0262,0472.47%+21
CHEVRON CORP(CVX)0376+3760780.09%+78
JOHNSON & JOHNSON(JNJ)536538+21111320.16%+21
MCDONALDS CORP(MCD)4,5944,582-121,4041,4241.72%+20
IMMUNITYBIO INC(IBRX)03,000+3,0000230.03%+23
ASTRAZENECA PLC(AZN)086+860170.02%+17
EQUINIX INC(EQIX)067+670660.08%+66
LOCKHEED MARTIN(LMT)0110+1100660.08%+66
GENERAL DYNAMICS(GD)033+330110.01%+11
MERCK & COMPANY(MRK)660665+570800.10%+11
BOEING COMPANY(BA)051+510100.01%+10
VANGUARD SMALL6,9846,916-681,8021,8112.19%+10
WELLTOWER INC(WELL)657659+21221300.16%+8
SHELL PLC(SHEL)391395+429370.04%+8
QUEST DIAGNOSTICS(DGX)0340+3400670.08%+67
RTX CORP(RTX)743746+31361440.17%+8
MICRON TECHNOLOGY INC(MU)131131037440.05%+7
VERTIV HOLDINGS(VRT)025+25060.01%+6
PEGASYSTEMS INC(PEGA)0177+177080.01%+8
WASTE MANAGEMENT(WM)0491+49101130.14%+113
REALTY INCOME(O)0947+9470580.07%+58
DIGITAL REALTY(DLR)0245+2450440.05%+44
FREEPORT MCMORAN(FCX)082+82050.01%+5
HOST HOTELS(HST)2,3892,435+4642470.06%+4
MPLX(MPLX)771786+1541450.05%+4
MARRIOTT INTL(MAR)204205+163670.08%+4
AMEREN CORP(AEE)0337+3370370.04%+37
HONEYWELL INTL(HON)095+950220.03%+22
FEDEX CORP(FDX)4242012150.02%+3
SOCIEDAD QUIMICA(SQM)225225015180.02%+3
BRIXMOR PROPERTY(BRX)0838+8380240.03%+24
ALTRIA GROUP(MO)0248+2480160.02%+16
VANGUARD TOTAL0604+6040470.06%+47
KIMCO REALTY(KIM)0955+9550210.03%+21
DUKE ENERGY(DUK)0160+1600210.03%+21
ALERIAN MLP
ALERIAN MLP
293299+614160.02%+2
VENTAS INC(VTR)387390+330320.04%+2
AGREE REALTY455460+533350.04%+2
PFIZER INC(PFE)0517+5170150.02%+15
UNITED MICROELECTRONICS(UMC)1,4691,469012130.02%+2
CISCO SYSTEMS(CSCO)1,6331,641+81261270.15%+2
TARGET CORP(TGT)5960+1670.01%+1
TERRENO REALTY(TRNO)450454+426280.03%+1
HEALTHPEAK PPTYS(DOC)02,034+2,0340330.04%+33
CSX CORP(CSX)0267+2670110.01%+11
STARBUCKS CORP(SBUX)0212+2120190.02%+19
AT&T INC(T)0281+281080.01%+8
WEC ENERGY(WEC)0111+1110130.02%+13
NETFLIX INC(NFLX)01,016+1,0160980.12%+98
CLOUDFLARE INC(NET)0121+1210250.03%+25
NNN REIT(NNN)0462+4620190.02%+19
SUN COMMUNITIES(SUI)0360+3600450.05%+45
INVESCO S&P
S&P MDCP MOMNTUM
151151021220.03%+1
EQUITY LIFESTYLE(ELS)0415+4150260.03%+26
YUM BRANDS INC(YUM)0186+1860290.03%+29
FIRST TRUST
RBA INDL ETF
70700780.01%+1
RXO INC(RXO)0387+387060.01%+6
CUBESMART(CUBE)0702+7020260.03%+26
ISHARES MSCI
MSCI SAUDI ARBIA
0213+213080.01%+8
SOLSTICE ADVANCED(SOLS)23230120.00%+1
ISHARES S&P05+5010.00%+1
CARRIER GLOBAL(CARR)0151+151090.01%+9
SCHWAB FUNDAMENTAL1391390670.01%+1
ARK SPACE
SPACE & DEFENSE
6,7596,691-681961960.24%+1
ESSENTIAL PROPERTIES0471+4710140.02%+14
PINNACLE WEST(PNW)033+33030.00%+3
NATIONAL GRID(NGG)054+54050.01%+5
HEALTHCARE REALTY(HR)01,411+1,4110240.03%+24
EXTRA SPACE(EXR)0121+1210160.02%+16
MGM RESORTS(MGM)590590022220.03%0
BLACKSTONE MORTGAGE(BXMT)604619+1512120.01%0
PURSUIT ATTRACTIONS(PRSU)0100+100040.00%+4
PHILIP MORRIS(PM)046+46080.01%+8
TOLL BROTHERS(TOL)0196+1960270.03%+27
PROCTER & GAMBLE(PG)0139+1390200.02%+20
AMERICAN WATER034+34050.01%+5
ISHARES GOLD(IAU)027+27020.00%+2
LAMAR ADVERTISING(LAMR)104106+213130.02%0
HSBC HOLDINGS(HSBC)41410330.00%0
GAMING & LEISURE(GLPI)0326+3260140.02%+14
MICROCHIP TECHNOLOGY INC(MCHP)0105+105070.01%+7
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