Fund HoldingsMcHugh Group, LLC

Total Portfolio Value
$195.66M
Total Bought
$19.14M
Total Sold
$20.24M
Net Transaction
-$1.11M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
SPDR SERIES TRUST
ST STR P500ETF
052,685+52,68504,6302.37%+4,630
MICRON TECHNOLOGY INC(MU)5,5064,856-6501,8605,6062.87%+3,746
SELECT SECTOR SPDR TR
ST STR TECHN ETF
019,164+19,16403,6511.87%+3,651
STATE STR SPDR S&P 500 ETF T(SPY)36,49036,527+3723,73127,27913.94%+3,547
NVIDIA CORPORATION(NVDA)121,149119,594-1,55521,12823,93012.23%+2,801
INVESCO EXCHANGE TRADED FD T
S&P500 EQL WGT
37,37939,902+2,5237,1748,4904.34%+1,316
ISHARES TR4,0334,03301,3252,5841.32%+1,259
APPLE INC(AAPL)35,32835,113-2158,96610,1605.19%+1,194
ALPHABET INC(GOOG)15,81015,81004,5465,6502.89%+1,104
VISA INC(V)27,27627,216-608,2449,3384.77%+1,094
ISHARES TR015,000+15,00001,0430.53%+1,043
SELECT SECTOR SPDR TR
ST STR CARE ETF
06,322+6,32201,0030.51%+1,003
ALPHABET INC(GOOG)14,21014,21004,0765,0212.57%+945
SELECT SECTOR SPDR TR
ST STR DISCR ETF
06,950+6,95008150.42%+815
MARVELL TECHNOLOGY INC(MRVL)3,2003,20003179530.49%+636
AMAZON COM INC(AMZN)20,27520,235-404,2234,8232.46%+600
ADVANCED MICRO DEVICES INC(AMD)1,3691,36902797960.41%+517
BROADCOM INC(AVGO)7,1367,086-502,2092,6771.37%+468
TAIWAN SEMICONDUCTOR MANUFAC(TSM)3,1083,10801,0501,4840.76%+434
PARKER-HANNIFIN CORP(PH)1,6501,950+3001,4771,9070.97%+430
BERKSHIRE HATHAWAY INC DEL23,13022,915-21511,08411,4665.86%+383
VANGUARD INDEX FDS7,3577,358+12,3602,7231.39%+363
SELECT SECTOR SPDR TR
ST STR FINL ETF
05,700+5,70003060.16%+306
INVESCO QQQ TR1,8771,87701,0831,3820.71%+299
COHERENT CORP(COHR)1,8911,89104507460.38%+295
BLACKROCK ETF TRUST
ISHA SYST AL ETF
010,000+10,00002810.14%+281
SELECT SECTOR SPDR TR
ST STR INDL ETF
01,470+1,47002720.14%+272
PALO ALTO NETWORKS INC(PANW)1,4451,44502324930.25%+261
J P MORGAN EXCHANGE TRADED F
JPMORGAM LTD DUR
05,000+5,00002610.13%+261
VANGUARD INTL EQUITY INDEX F14,24014,24001,3921,6470.84%+256
ISHARES TR10,25010,25001,1591,4100.72%+250
VANGUARD SCOTTSDALE FDS
SHRT TRM CORP BD
03,164+3,16402500.13%+250
ISHARES TR01,848+1,84802290.12%+229
VERIZON COMMUNICATIONS INC(VZ)04,821+4,82102040.10%+204
ISHARES TR10,00010,00001,3841,5700.80%+186
TRANSDIGM GROUP INC(TDG)1,0141,01401,1751,3500.69%+175
PROGRESSIVE CORP(PGR)8,2008,20001,6261,7910.92%+166
JPMORGAN CHASE & CO(JPM)4,8694,86901,4321,5940.81%+161
ISHARES TR1,6451,64501,0741,2320.63%+157
ASML HLDG NV
N Y REGISTRY SHS
21721702864310.22%+145
VANGUARD INTL EQUITY INDEX F23,26923,26901,2581,3890.71%+131
DELTA AIR LINES INC(DAL)4,6504,65003094360.22%+126
VANGUARD INDEX FDS1,2571,25707518630.44%+112
ISHARES INC
MSCI JAPAN ETF
12,45012,455+51,0511,1620.59%+110
BANK OF AMER CORP11,94911,94905836810.35%+98
VANGUARD INTL EQUITY INDEX F13,75013,75001,1331,2170.62%+84
ISHARES TR
MSCI INTL QUALTY
23,70023,70001,0961,1740.60%+79
GOLDMAN SACHS GROUP INC(GS)40040003384050.21%+66
MICROSOFT CORP(MSFT)26,15726,108-499,6839,7394.98%+56
ISHARES TR2,5302,53002422960.15%+54
EATON CORP PLC(ETN)63963902292720.14%+44
HOME DEPOT INC(HD)1,7201,72005666070.31%+41
INTERNATIONAL BUSINESS MACHS(IBM)1,0291,02902492890.15%+40
MANULIFE FINL CORP(MFC)6,4006,40002202590.13%+39
TIDAL TRUST II
DEFIANCE LARGE
10,00010,00002222610.13%+39
PROSHARES TR
S&P 500 DV ARIST
6,02212,055+6,0336386770.35%+39
ISHARES INC9,2009,20005415780.30%+37
NORTHWEST BANCSHARES INC(NWBI)14,35914,35901822180.11%+35
JOHNSON & JOHNSON(JNJ)3,6153,61508849180.47%+34
MARRIOTT INTL INC NEW(MAR)72472402372680.14%+31
VANGUARD SPECIALIZED FUNDS1,4501,45003123430.18%+31
BOEING CO(BA)2,3172,267-504614910.25%+30
INVESCO EXCH TRADED FD TR II
S&P 500 REVENUE
2,0802,08002392660.14%+27
VERTEX PHARMACEUTICALS INC(VRTX)50050002232480.13%+25
ISHARES TR1,5531,55303283530.18%+25
LINDE PLC(LIN)1,4011,386-156957190.37%+25
COCA COLA CO(KO)2,7522,75202092240.11%+14
MSCI INC(MSCI)37537502022100.11%+8
PROCTER & GAMBLE CO(PG)2,8922,89204184240.22%+6
WELLS FARGO & CO(WFC)1,5841,58401,8301,8330.94%+3
BLACKROCK INC(BLK)1,1641,16401,1191,1190.57%-0
ORACLE CORP(ORCL)6,0976,099+28978940.46%-3
META PLATFORMS INC(META)99299205685590.29%-9
ARCHER AVIATION INC(ACHR)32,07432,07401661520.08%-14
NEXTERA ENERGY INC(NEE)6,1806,18005745420.28%-32
NXP SEMICONDUCTORS N V
COM
1,270770-5002502160.11%-34
PEPSICO INC(PEP)1,8201,82002832460.13%-36
WALMART INC(WMT)3,7003,70004604190.21%-41
CONSTELLATION ENERGY CORP(CEG)1,9001,90005314720.24%-59
MASTERCARD INCORPORATED(MA)11,57611,066-5105,7845,6842.90%-101
CHEVRON CORPORATION(CVX)2,6452,64505474380.22%-109
SALESFORCE INC(CRM)2,0751,775-3003872780.14%-109
GLOBAL X FDS
GLOBAL X URANIUM
39,23940,239+1,0001,9001,7580.90%-142
LOCKHEED MARTIN CORP(LMT)3450-3452090-209
HERSHEY CO(HSY)1,1000-1,1002290-229
SELECT SECTOR SPDR TR
ST STR INDL ETF
1,4700-1,4702380-238
MCDONALDS CORP(MCD)6,0026,006+41,8651,6230.83%-242
SELECT SECTOR SPDR TR
ST STR FINL ETF
5,7000-5,7002810-281
OCCIDENTAL PETE CORP(OXY)15,23312,508-2,7259906080.31%-383
SPDR GOLD TR(GLD)6,3856,38502,7472,3521.20%-395
SELECT SECTOR SPDR TR
ST STR DISCR ETF
6,9500-6,9507570-757
SELECT SECTOR SPDR TR
ST STR CARE ETF
6,3220-6,3229270-927
SELECT SECTOR SPDR TR
ST STR TECHN ETF
19,2540-19,2542,5590-2,559
SPDR SERIES TRUST
ST STR P500ETF
52,5200-52,5204,0200-4,020
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