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Marion Wealth Management

All holdings · as of Dec 31, 2025

144 positions

CompanyClassValueShares% of portfolio
Fortinet Inc$203.0K2,4860.0%
Uber Technologies, Inc$203.2K2,4690.0%
PUBLIC SERVICE ENTERPRISE GROUP INC$203.5K2,6000.0%
INVESCO QQQ TR$206.1K3310.0%
INTEL CORP$207.8K4,6100.0%
Merck & Co., Inc.$209.2K1,9340.0%
Chipotle Mexican Grill Inc$209.3K5,1200.0%
Arista Networks, Inc.ANETCommon Stock$218.8K1,6050.0%
ISHARES TR$219.5K2,1880.0%
SPDR SERIES TRUST$219.8K1,4990.0%
BLACKROCK ETF TRUST II$220.3K4,5050.0%
SPDR SERIES TRUST$221.3K4,4340.0%
STARBUCKS CORP$227.5K2,3300.1%
ISHARES TR$236.7K2,2000.1%
S&P Global Inc.$239.1K4480.1%
Exelon Corp$240.2K5,4510.1%
WASTE MANAGEMENT INC$242.1K1,0560.1%
FIDELITY COVINGTON TRUST$242.7K6,3380.1%
QUALCOMM INC/DE$244.2K1,5670.1%
NATIONAL FUEL GAS CO$246.1K3,0130.1%
INVESCO EXCH TRADED FD TR II$247.8K10,1430.1%
Targa Resources Corp$257.7K1,3450.1%
PPG INDUSTRIES INC$268.4K2,3900.1%
BOSTON SCIENTIFIC CORP$270.0K2,9190.1%
CAPITAL GRP FIXED INCM ETF T$271.6K10,6720.1%
Palo Alto Networks Inc$274.4K1,5230.1%
SELECT SECTOR SPDR TR$278.7K5,2520.1%
FOSTER L B CO$279.7K9,5930.1%
SPDR SERIES TRUST$280.5K4,8430.1%
ISHARES TR$288.1K4,8770.1%
BELDEN INC.$288.1K2,5000.1%
VERIZON COMMUNICATIONS INC$311.7K7,8870.1%
Axon Enterprise Inc$315.2K5140.1%
Visa Inc$316.0K9690.1%
APPLIED MATERIALS INC /DE$330.5K1,0250.1%
ISHARES U S ETF TR$330.8K12,3880.1%
GENERAL ELECTRIC CO$343.6K1,1690.1%
United Rentals Inc$346.6K3770.1%
AMGEN INC$353.4K1,0250.1%
JOHNSON & JOHNSON$366.7K1,6660.1%
VANGUARD INDEX FDS$375.0K1,8980.1%
SCHWAB CHARLES CORP$375.4K3,6740.1%
Walmart Inc.$400.8K3,4040.1%
SPDR SERIES TRUST$402.4K6,5860.1%
CSX CORP$415.5K11,3400.1%
CAPITAL ONE FINANCIAL CORP$433.1K1,9930.1%
SPDR SERIES TRUST$433.2K4,7300.1%
WisdomTree Trust$442.3K4,9240.1%
ServiceNow Inc$446.6K3,3550.1%
Netflix Inc$452.7K5,2570.1%
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