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First Wilshire Securities Management, Inc.

All holdings · as of Dec 31, 2025

87 positions

CompanyClassValueShares% of portfolio
SHELL PLC$708.0K9,6350.2%
ISHARES TR$702.3K11,3000.2%
SELECT SECTOR SPDR TR$654.5K11,9500.2%
Amazon.com Inc$625.3K2,7090.2%
BANK OF AMERICA CORP /DE$622.7K11,3220.2%
CISCO SYSTEMS, INC.$591.2K7,6750.1%
ISHARES TR$588.0K5,3380.1%
Alibaba Group Holding LtdBABAADR$564.0K3,8480.1%
Alphabet Inc.$553.1K1,7670.1%
INVESCO EXCH TRA$516.7K2,0430.1%
JOHNSON & JOHNSON$471.4K2,2780.1%
HOME DEPOT, INC.$455.9K1,3250.1%
COMMERCIAL METALS Co$449.9K6,5000.1%
ABBOTT LABORATORIES$435.4K3,4750.1%
ISHARES TR$417.3K5,6000.1%
SELECT SECTOR SPDR TR STATE STREET$412.0K3,5000.1%
Quest Diagnostics Inc$407.8K2,3500.1%
JACOBS SOLUTIONS INC.$400.7K3,0250.1%
VANGUARD WHITEHALL FDS$373.2K2,6000.1%
WEDBUSH SER TR$363.5K11,5000.1%
Customers Bancorp, Inc.$358.3K4,9000.1%
GE Vernova Inc.$348.4K5330.1%
JPMORGAN CHASE & CO$320.0K9930.1%
CONSTELLATION BRANDS, INC.$311.8K2,2600.1%
ISHARES TR$309.6K4520.1%
PROCTER & GAMBLE Co$285.2K1,9900.1%
CITIGROUP INC$275.6K2,3620.1%
CHEVRON CORP$259.9K1,7050.1%
Postal Realty Trust, Inc.$259.5K16,0800.1%
Apple Inc.$233.8K8600.1%
Merck & Co., Inc.$217.4K2,0650.1%
COCA COLA CO$209.7K3,0000.1%
ISHARES TR$205.9K2,4860.1%
PFIZER INC$201.4K8,0870.1%
EXXON MOBIL CORP$200.4K1,6650.1%
VANECK ETF TRU$181.8K10,2970.0%
ORIGIN AGRITECH LIMITED$21.6K19,5000.0%
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