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Vision Financial Markets LLC

All holdings · as of Mar 31, 2026

425 positions

CompanyClassValueShares% of portfolio
INVESCO QQQ TR$9.35M16,2069.1%
STATE STR SPDR S&P 500 ETF T$9.25M14,2259.0%
Apple Inc.$7.46M29,3957.3%
AUTOZONE INC$6.24M1,8466.1%
iShares MSCI UAE ETF$6.11M70,5006.0%
RBB FD INC$5.14M103,0885.0%
JPMORGAN CHASE & CO$4.83M16,4304.7%
Amazon.com Inc$3.93M18,8763.8%
Warren E. Buffett$2.86M5,9702.8%
AUTONATION, INC.$2.82M14,4502.8%
WILLIAMS SONOMA INC$2.46M13,5002.4%
HOME DEPOT, INC.$1.97M5,9941.9%
Tesla Inc$1.77M4,7621.7%
COSTCO WHOLESALE CORP /NEW$1.38M1,3831.3%
SELLAS LIFE SCIENCES GROUP INC$1.29M304,4001.3%
WASTE MANAGEMENT INC$1.26M5,5041.2%
BlackRock, Inc.$1.24M1,2901.2%
MICROSOFT CORP$1.19M3,2241.2%
Alphabet Inc.$1.14M3,9791.1%
JOHNSON & JOHNSON$1.13M4,6261.1%
VERIZON COMMUNICATIONS INC$913.8K18,2040.9%
NVIDIA Corp$913.6K5,2390.9%
MCDONALD'S CORP$902.6K2,9050.9%
LOCKHEED MARTIN CORP$889.1K1,4710.9%
AT&T INC.$848.2K29,2580.8%
AGNC Investment Corp.$765.3K76,3000.7%
ZIM INTEGRATED SHIPPING SERV$745.7K28,3000.7%
Shake Shack Inc.$738.7K8,3500.7%
MetLife Inc$692.3K9,7900.7%
STARWOOD PROPERTY TRUST, INC.$649.2K37,7000.6%
Walmart Inc.$642.2K5,1680.6%
CHEVRON CORP$589.6K2,8500.6%
EXXON MOBIL CORP$556.0K3,2770.5%
Consolidated Edison Inc$538.3K4,7560.5%
Williams Cos Inc/The$516.7K7,1000.5%
Public Storage$514.7K1,9000.5%
AFLAC INC$493.7K4,5000.5%
ADOBE INC.$487.1K2,0040.5%
Palo Alto Networks Inc$481.0K3,0000.5%
iShares MSCI UAE ETF$436.0K4,0000.4%
VANGUARD BD INDEX FDS$426.8K5,7960.4%
THE GOLDMAN SACHS GROUP, INC.$417.1K4940.4%
ISHARES TR$397.1K4,0000.4%
CVS HEALTH Corp$368.2K5,1270.4%
ELI LILLY & Co$349.5K3800.3%
COCA COLA CO$343.7K4,5200.3%
Visa Inc$312.9K1,0360.3%
GENERAL ELECTRIC CO$305.1K1,0760.3%
Palantir Technologies Inc$275.3K1,8820.3%
Federated Hermes Inc$273.2K4,8180.3%
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