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Spectrum Wealth Advisory Group, LLC

All holdings · as of Dec 31, 2025

57 positions

CompanyClassValueShares% of portfolio
FIRST TRUST$37.17M535,04913.7%
JPMORGAN US$33.47M529,82212.3%
COLUMBIA RESEARCH$33.33M816,22812.3%
FIRST TRUST$19.79M516,4447.3%
INVESCO QQQ$16.02M26,0835.9%
TCW FLEXIBLE$14.96M377,6605.5%
INVESCO NASDAQ$12.37M48,9134.5%
JOHN HANCOCK$10.27M247,2523.8%
MFS ACTIVE$9.74M319,7383.6%
Apple Inc.$8.62M31,6983.2%
ISHARES S&P$8.14M48,4933.0%
STATE STREET$7.45M83,5642.7%
STATE STREET$6.63M293,4622.4%
INVESCO S&P$5.96M58,1802.2%
WISDOMTREE EMERGING$5.55M96,9562.0%
SPDR S&P$3.05M4,4781.1%
INVESCO S&P$3.01M21,7591.1%
FIRST TRUST$2.90M40,5311.1%
FIRST TRUST$2.82M111,9451.0%
Amazon.com Inc$1.98M8,5900.7%
Alphabet Inc.$1.94M6,2070.7%
FIRST TRUST$1.90M11,6220.7%
MICROSOFT CORP$1.81M3,7380.7%
Alphabet Inc.$1.81M5,7520.7%
STATE STREET$1.72M59,8010.6%
VANGUARD S&P$1.67M2,6660.6%
INVESCO S&P$1.67M14,6700.6%
FIRST TRUST$1.47M33,2370.5%
FIRST TRUST$1.23M26,7050.5%
NVIDIA Corp$1.16M6,2130.4%
ISHARES SILVER$1.05M16,3720.4%
SPDR GOLD$791.0K1,9960.3%
Palantir Technologies Inc$737.5K4,1490.3%
Walt Disney Co$682.8K6,0020.3%
FIRST TRUST$656.6K5,7690.2%
JPMORGAN$638.9K13,1180.2%
Tesla Inc$612.1K1,3610.2%
iShares MSCI UAE ETF$603.5K2,4110.2%
PROSHARES ULTRA$588.6K8,3600.2%
FIRST TRUST$531.2K5,7420.2%
INVESCO S&P$521.1K8,3560.2%
Broadcom Inc.$494.5K1,4290.2%
COSTCO WHOLESALE CORP /NEW$442.6K5130.2%
STATE STREER$441.6K1,8300.2%
NEXTERA ENERGY INC$417.5K5,2000.2%
WISDOMTREE US$346.3K3,8720.1%
SOUTHERN CO$315.4K3,6170.1%
INTERNATIONAL BUSINESS MACHINES CORP$296.2K1,0000.1%
VANGUARD INFORMATION$293.0K3890.1%
Meta Platforms Inc$284.0K4300.1%
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