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Hidden Cove Wealth Management, LLC

All holdings · as of Dec 31, 2025

102 positions

CompanyClassValueShares% of portfolio
RING ENERGY, INC.$15.1K17,3000.0%
IM CANNABIS CORP$19.9K14,2900.0%
Tecogen Inc.$104.2K21,0870.1%
PROGRESSIVE CORP/OH$200.8K8820.1%
Expedia Group Inc$202.0K7130.1%
Parker-Hannifin Corp$202.1K2300.1%
ADVANCED MICRO DEVICES INC$206.4K9640.1%
VANGUARD INTL EQUITY INDEX F$206.7K3,8440.1%
Krystal Biotech, Inc.$211.8K8590.1%
United Parcel Service Inc$213.9K2,1560.1%
ISHARES TR$217.0K2,2400.1%
SCHWAB STRATEGIC TR$217.8K7,6460.1%
VANGUARD SPECIALIZED FUNDS$218.5K9940.1%
J P MORGAN EXCHANGE TRADED F$219.8K3,8400.1%
ABRDN SILVER ETF TRUST$219.8K3,2500.1%
VANECK ETF TRUST$225.3K2,6270.1%
PROCTER & GAMBLE Co$226.4K1,5800.1%
CITIZENS FINANCIAL GROUP INC/RI$227.1K3,8880.1%
ABBOTT LABORATORIES$227.3K1,8140.1%
BANK OF AMERICA CORP /DE$229.6K4,1740.1%
Merck & Co., Inc.$229.8K2,1830.1%
UNITEDHEALTH GROUP INC$230.8K6990.1%
LOWES COMPANIES INC$237.8K9860.2%
Intuitive Surgical Inc$237.9K4200.2%
ISHARES TR$265.1K3870.2%
GE Vernova Inc.$265.8K4070.2%
JOHNSON & JOHNSON$266.6K1,2880.2%
BlackRock, Inc.$270.8K2530.2%
iShares MSCI UAE ETF$271.6K2,5450.2%
Argan, Inc.$279.5K8920.2%
MICRON TECHNOLOGY INC$291.4K1,0210.2%
ISHARES TR$292.0K3,2640.2%
Netflix Inc$292.3K3,1180.2%
VANGUARD INDEX FDS$296.1K1,1480.2%
CHEVRON CORP$298.1K1,9560.2%
Walmart Inc.$309.3K2,7760.2%
PARK AEROSPACE CORP$311.3K14,5890.2%
Morgan Stanley$316.7K1,7840.2%
Philip Morris International Inc.$325.3K2,0280.2%
VANGUARD INDEX FDS$331.1K5280.2%
Mastercard Inc$332.3K5820.2%
ADOBE INC.$343.3K9810.2%
ISHARES TR$352.1K5,3350.2%
INVESCO QQQ TR$353.2K5750.2%
SCHWAB STRATEGIC TR$372.3K14,5010.2%
Visa Inc$381.9K1,0890.2%
EXXON MOBIL CORP$391.0K3,2490.3%
STARBUCKS CORP$400.6K4,7570.3%
FIRST TR EXCHANGE-TRADED FD$400.8K10,4590.3%
AMGEN INC$411.8K1,2580.3%
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