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Challenger Wealth Management
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CW
Challenger Wealth Management
All holdings · as of Dec 31, 2025
63 positions
All types
Company
▲
▼
Class
Value
▲
▼
Shares
▲
▼
% of portfolio
▲
▼
CAPITAL GROUP DIVIDEND VALUE
—
$21.19M
485,589
16.2%
CAPITAL GROUP GROWTH ETF
—
$19.69M
442,679
15.0%
CAPITAL GROUP CORE EQUITY ET
—
$10.72M
266,468
8.2%
Apple Inc.
—
$5.69M
20,941
4.3%
Tesla Inc
—
$5.15M
11,460
3.9%
ARES CAPITAL CORP
ARCC
Common Stock
$4.97M
245,791
3.8%
CAPITAL GROUP CORE BALANCED
—
$4.46M
126,126
3.4%
MICROSOFT CORP
—
$4.15M
8,588
3.2%
Amazon.com Inc
—
$4.08M
17,662
3.1%
NVIDIA Corp
—
$3.95M
21,196
3.0%
EXXON MOBIL CORP
—
$3.46M
28,772
2.6%
Alphabet Inc.
—
$3.08M
9,847
2.4%
CHEVRON CORP
—
$2.87M
18,817
2.2%
Broadcom Inc.
—
$2.44M
7,049
1.9%
COSTCO WHOLESALE CORP /NEW
—
$2.03M
2,358
1.6%
Visa Inc
—
$1.88M
5,371
1.4%
PROCTER & GAMBLE Co
—
$1.58M
11,034
1.2%
TJX Cos Inc/The
—
$1.44M
9,349
1.1%
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD
TSM
ADR
$1.42M
4,682
1.1%
ISHARES TR
—
$1.40M
9,884
1.1%
AUTOMATIC DATA PROCESSING INC
—
$1.30M
5,050
1.0%
JPMORGAN CHASE & CO
—
$1.29M
4,001
1.0%
Mastercard Inc
—
$1.28M
2,249
1.0%
HOME DEPOT, INC.
—
$1.17M
3,403
0.9%
LOCKHEED MARTIN CORP
—
$1.17M
2,415
0.9%
Trane Technologies plc
—
$1.16M
2,987
0.9%
T-Mobile US, Inc.
TMUS
Common Stock
$1.14M
5,612
0.9%
CINTAS CORP
—
$977.9K
5,200
0.7%
Walmart Inc.
—
$954.6K
8,568
0.7%
HCA Healthcare, Inc.
—
$895.9K
1,919
0.7%
Duke Energy Corp
—
$790.6K
6,745
0.6%
ASML HOLDING N V
—
$761.7K
712
0.6%
Marathon Petroleum Corp
—
$737.6K
4,535
0.6%
Quanta Services Inc
—
$713.1K
1,690
0.5%
HARTFORD INSURANCE GROUP, INC.
—
$656.3K
4,763
0.5%
Warren E. Buffett
—
$633.8K
1,261
0.5%
MetLife Inc
—
$581.6K
7,368
0.4%
Parker-Hannifin Corp
—
$564.5K
642
0.4%
INTERNATIONAL BUSINESS MACHINES CORP
—
$541.1K
1,827
0.4%
COCA COLA CO
—
$533.1K
7,625
0.4%
ISHARES TR
—
$526.3K
768
0.4%
ONEOK Inc
—
$520.0K
7,075
0.4%
Northrop Grumman Corp
—
$509.0K
893
0.4%
ALTRIA GROUP, INC.
—
$470.3K
8,156
0.4%
Alphabet Inc.
—
$434.8K
1,386
0.3%
Williams Cos Inc/The
—
$433.9K
7,218
0.3%
THERMO FISHER SCIENTIFIC INC.
—
$433.5K
748
0.3%
Meta Platforms Inc
—
$380.7K
577
0.3%
MCDONALD'S CORP
—
$359.7K
1,177
0.3%
ENTERPRISE PRODUCTS PARTNERS L.P.
EPD
MLP
$303.4K
9,464
0.2%
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