Fund HoldingsCURIO WEALTH, LLC

Total Portfolio Value
$322.28M
Total Bought
$33.49M
Total Sold
$14.73M
Net Transaction
+$18.76M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
DFA US CORE EQUITY MARKET ETF
US CORE EQT MKT
1,051,0491,108,237+57,18847,42357,28517.77%+9,861
DFA GLOBAL CORE FIXED INCOME ETF
GLOB CO PLUS ETF
838,007930,622+92,61545,24450,68215.73%+5,438
DFA S/T FIXED INCOME ETF
SHOR DUR FIX ETF
958,2761,033,379+75,10345,88249,34415.31%+3,462
DFA INT CORE EQUITY ETF
INTL CORE EQT MK
427,055459,122+32,06716,63818,9395.88%+2,301
AVANTIS EMERGING MKT EQ ETF102,744108,998+6,2548,27910,5173.26%+2,238
DFA US SMALL CAP ETF
US SMALL CAP ETF
124,050130,300+6,2508,82410,7293.33%+1,905
DIMENSIONAL US LRGE CP VCTR ETF
US LARG VECT ETF
115,765127,323+11,5588,60110,4703.25%+1,869
DFA US REAL ESTATE ETF
US REAL ESTA ETF
284,799300,258+15,4596,7357,8552.44%+1,119
ROYAL BANK OF CANADA(RY)05,289+5,28901,0950.34%+1,095
AVANTIS US EQUITY ETF68,25067,669-5817,5888,6672.69%+1,079
DFA EMERGING MARKETS ETF
EMGR CRE EQT MNG
174,471170,344-4,1275,9086,8502.13%+942
AVANTIS US SMALL CAP VALUE ETF37,80339,290+1,4874,1764,9021.52%+726
AMD(AMD)01,324+1,32407690.24%+769
AVANTIS INTL SMALL VALUE ETF60,79963,452+2,6536,0716,5392.03%+467
GOOGLE CLASS C(GOOG)06,879+6,87902,4300.75%+2,430
DFA US EQUITY ETF
US EQUI MARK ETF
40,00140,002+12,8363,2781.02%+441
AVANTIS INTL CORE EQUITY ETF167,503163,921-3,58214,21114,6224.54%+411
DFA US CORE EQUITY 2 ETF
US COR EQU 2 ETF
0107,931+107,93104,7881.49%+4,788
DFA US TARGETED VALUE ETF
US TARGETED VLU
55,77055,360-4103,4833,8701.20%+387
BROADCOM(AVGO)51943+892163560.11%+340
MICRON TECHNOLOGY INC(MU)40840801384710.15%+333
AVANTIS ALL EQUITY MKTS ETF019,674+19,67401,9500.60%+1,950
CISCO SYSTEMS(CSCO)06,813+6,81308000.25%+800
DFA TAX-MGD US MKT-WIDE VAL II ETF
US MKTWIDE VALUE
42,10341,960-1432,0402,3080.72%+268
ISHARES TECH-SOFTWARE ETF024,011+24,01102,1750.67%+2,175
SPDR S&P 500 ETF(SPY)02,310+2,31001,7250.54%+1,725
APPLE(AAPL)06,259+6,25901,8110.56%+1,811
AVANTIS US SMALL CAP ETF15,85415,85409881,1630.36%+175
ISHARES RUSSELL MIDCAP ETF08,519+8,51909400.29%+940
SCHWAB US LARGE CAP ETF038,602+38,60201,1360.35%+1,136
VANGUARD ESG US STK ETF06,797+6,79708990.28%+899
VANGUARD REIT ETF11,44011,923+4831,0151,1500.36%+135
ISHARES CORE MSCI EAFE ETF
CORE MSCI EAFE
03,178+3,17803070.10%+307
VANGUARD MIDCAP ETF024,953+24,95302,0100.62%+2,010
ELI LILLY(LLY)0434+43405200.16%+520
DFA US LARGE CAP VALUE ETF
US LARG VALU ETF
32,77332,452-3211,1701,2830.40%+113
DFA US SMALL CAP VAL ETF
US SMALL CAP ETF
32,87432,547-3271,1521,2620.39%+111
VANGUARD STOCK MARKET ETF02,199+2,19908140.25%+814
DFA WORLD EX-US EQUITY ETF
WORLD EX US CORE
34,32134,466+1451,1661,2700.39%+104
POWERSHARES0588+58804330.13%+433
GOOGLE CLASS A(GOOG)01,268+1,26804530.14%+453
AMAZON(AMZN)02,107+2,10705020.16%+502
SCHWAB US SMALL CAP IDX ETF010,947+10,94703960.12%+396
AVANTIS RESPONSIBLE EMER MRK EQY ETF5,1765,088-883454160.13%+72
NVIDIA CORP(NVDA)02,268+2,26804540.14%+454
IBM(IBM)01,354+1,35403810.12%+381
DFA US HIGH PROFITABILITY ETF
US HIGH PROF ETF
010,755+10,75504490.14%+449
VANGUARD S&P 500 ETF0480+48003300.10%+330
VISA(V)0998+99803420.11%+342
AVANTIS RESPONSIBL US EQUITY ETF02,578+2,57802280.07%+228
SCHWAB INT'L EQUITY ETF10,90811,026+1182703050.09%+35
DFA TAX-MGD INT'L VALUE ETF
INTERNATNAL VAL
19,05219,201+1491,0061,0370.32%+32
DFA US SUSTAINABLTY CORE 1 ETF
US SUSTAINABILTY
05,392+5,39202510.08%+251
BERKSHIRE HATHAWAY0899+89904500.14%+450
DIMNSNL GLBL SUSTN FIXED INCM ETF
GLOBAL SUSTAINA
021,108+21,10801,1000.34%+1,100
UNION PACIFIC(UNP)76376301852080.06%+22
AVANTIS REAL ESTATE ETF5,9035,924+212602810.09%+21
MICROSOFT CORP(MSFT)02,308+2,30808610.27%+861
ISHARES EAFE SMALL CAP ETF02,522+2,52202070.06%+207
DFA INT'L HIGH PROFIT ETF
INTL HIGH PROFIT
6,5046,379-1252102180.07%+8
BRAXIA SCIENTIFIC CORP COM NPV000000
CONTRA ABIOMED INC COM (NV)000000
CONTRA WALGREENS BOOTS000000
PERSHING SQUARE SPAR RTSRIGHTS EXP000000
RED WHITE & BLOOM BRANDS INC000000
TOUGHBUILT INDUSTRIES INC000000
YOURWAY CANNABIS BRANDS INC COM NPV000000
ZIMMER CORP000000
Silvergate Capital Corp000000
GENPREX INC000000
CADRENAL THERAPEUTICS ORD000000
BLINK CHARGING CO000000
SPRINKLR INC(CXM)000000
SOUNDHOUND AI CL A ORD(SOUN)000000
FRESHWORKS INC-CL A(FRSH)000000
PELOTON INTERACTIVE INC(PTON)000000
BAVARIAN NORDIC A/S000000
DOUBLEVERIFY HOLDINGS INC(DV)000000
EOS ENERGY ENTERPRISES INC(EOSE)000000
PAYONEER GLOBAL INC. COM USD0.0001 CL A(PAYO)000000
TRIPADVISOR(TRIP)000000
ARDAGH METAL PACKAGING SA
SHS
000000
CCC INTELLIGENT SOLUTIONS HO(CCC)000000
CUSHMAN & WAKEFIELD LTD
COMMON SHARES
000000
DENTSPLY SIRONA INC COM(XRAY)000000
LYFT INC(LYFT)000000
NORTHWEST BANCSHARES INC(NWBI)000000
SENTINELONE INC COM USD0.0001 CL A(S)000000
OPENDOOR TECHNOLOGIES ORD(OPEN)000000
URANIUM ENERGY CORP(UEC)000000
THE WENDY'S CO(WEN)000000
TALOS ENERGY INC COM USD0.01(TALO)000000
FMC CORP(FMC)000000
GLOBAL BUSINESS TRAVEL GROUP INC COM USD0.00005 CL(GBTG)000000
ADVISORSHARES PURE US CANNABIS ETF
PURE US CANN ETF
000000
ISHARES GLBL CLEAN ENERGY ETF000000
DENALI THERAPEUTICS INC(DNLI)000000
LIFESTANCE HEALTH GROUP INC(LFST)000000
CLARIVATE ANALYTICS PLC ORDINARY SHARES(CLVT)000000
MARQETA INC(MQ)000000
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