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Fortis Advisors, LLC

All holdings · as of Dec 31, 2025

121 positions

CompanyClassValueShares% of portfolio
Ribbon Communications Inc.RBBNCommon Stock$28.8K10,0000.0%
Enovix Corp$89.2K12,2000.0%
MOHAWK INDUSTRIES INC$215.9K1,9750.1%
AMERICAN EXPRESS CO$217.5K5880.1%
iShares MSCI UAE ETF$218.8K2,5110.1%
Merck & Co., Inc.$219.3K2,0830.1%
Morgan Stanley$222.4K1,2530.1%
LOWES COMPANIES INC$223.6K9270.1%
Motorola Solutions, Inc.$228.5K5960.1%
ISHARES TR$229.6K3,2150.1%
ENTERPRISE PRODUCTS PARTNERS L.P.EPDMLP$232.8K7,2620.1%
BLACKROCK ETF TRUST II$236.1K4,5620.1%
GENERAC HOLDINGS INC.$245.5K1,8000.1%
AbbVie Inc.$246.5K1,0790.1%
NVIDIA Corp$253.6K1,3600.1%
J P MORGAN EXCHANGE TRADED F$254.6K2,0640.1%
KKR & Co. Inc.$255.0K2,0000.1%
SPDR SERIES TRUST$259.5K1,0760.1%
ISHARES TR$263.4K5,4770.1%
INTUIT INC.$265.0K4000.1%
INVESCO EXCHANGE TRADED FD T$266.1K4,4880.1%
ISHARES TR$268.2K2,1760.1%
JPMORGAN CHASE & CO$273.6K8490.2%
J P MORGAN EXCHANGE TRADED F$273.9K4,1240.2%
BORGWARNER INC$274.9K6,1000.2%
ISHARES TR$275.5K3,8820.2%
Devon Energy Corp$289.4K7,9000.2%
Edwards Lifesciences Corp$298.4K3,5000.2%
iShares MSCI UAE ETF$301.7K2,7380.2%
ADVANCED MICRO DEVICES INC$310.5K1,4500.2%
VANGUARD STAR FDS$313.0K4,1490.2%
Warner Bros. Discovery, Inc.$328.5K11,4000.2%
ISHARES TR$332.4K1,5680.2%
CVS HEALTH Corp$333.3K4,2000.2%
PACER FDS TR$334.7K13,7170.2%
Walmart Inc.$342.0K3,0700.2%
BLACKROCK ETF TRUST II$346.4K6,5650.2%
ISHARES TR$350.0K5,0420.2%
CORNING INC /NY$356.8K4,0750.2%
BlackRock ETF Trust - iShares International Country Rotation Active ETF$372.8K6,1310.2%
SELECT SECTOR SPDR TR$375.1K6,8490.2%
DIMENSIONAL ETF TRUST$378.7K6,3600.2%
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTDTSMADR$379.9K1,2500.2%
SPDR SERIES TRUST$386.0K4,8120.2%
SOUTHERN CO$390.2K4,4750.2%
VANGUARD INDEX FDS$400.2K8200.2%
Visa Inc$413.8K1,1800.2%
Element Solutions Inc$414.8K16,6000.2%
Walt Disney Co$423.5K3,7220.2%
J P MORGAN EXCHANGE TRADED F$425.8K7,3260.2%
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