MWA

Moser Wealth Advisors Portfolio holdings

AUM $208M
This Quarter Return
+9.27%
1 Year Return
+14.21%
3 Year Return
5 Year Return
10 Year Return
AUM
$104M
AUM Growth
Cap. Flow
+$104M
Cap. Flow %
100%
Top 10 Hldgs %
59.51%
Holding
141
New
141
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Technology 16%
2 Consumer Discretionary 10.97%
3 Financials 10.09%
4 Healthcare 7.92%
5 Consumer Staples 3.6%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
ALGN icon
51
Align Technology
ALGN
$9.94B
$262K 0.25%
+940
New +$262K
PFL
52
PIMCO Income Strategy Fund
PFL
$382M
$256K 0.25%
+21,627
New +$256K
GOOGL icon
53
Alphabet (Google) Class A
GOOGL
$2.56T
$220K 0.21%
+164
New +$220K
LQD icon
54
iShares iBoxx $ Investment Grade Corporate Bond ETF
LQD
$29.3B
$215K 0.21%
+1,680
New +$215K
HYD icon
55
VanEck High Yield Muni ETF
HYD
$3.27B
$195K 0.19%
+3,037
New +$195K
META icon
56
Meta Platforms (Facebook)
META
$1.85T
$193K 0.19%
+940
New +$193K
SCHD icon
57
Schwab US Dividend Equity ETF
SCHD
$72.3B
$191K 0.18%
+3,295
New +$191K
VYM icon
58
Vanguard High Dividend Yield ETF
VYM
$63.7B
$158K 0.15%
+1,685
New +$158K
VXUS icon
59
Vanguard Total International Stock ETF
VXUS
$101B
$147K 0.14%
+2,648
New +$147K
CVX icon
60
Chevron
CVX
$325B
$134K 0.13%
+1,110
New +$134K
TGT icon
61
Target
TGT
$42B
$128K 0.12%
+1,000
New +$128K
IWB icon
62
iShares Russell 1000 ETF
IWB
$42.9B
$126K 0.12%
+705
New +$126K
V icon
63
Visa
V
$679B
$122K 0.12%
+650
New +$122K
T icon
64
AT&T
T
$208B
$117K 0.11%
+2,992
New +$117K
VCSH icon
65
Vanguard Short-Term Corporate Bond ETF
VCSH
$35.2B
$114K 0.11%
+1,410
New +$114K
VGT icon
66
Vanguard Information Technology ETF
VGT
$98.6B
$109K 0.1%
+446
New +$109K
GOOG icon
67
Alphabet (Google) Class C
GOOG
$2.57T
$106K 0.1%
+79
New +$106K
PFE icon
68
Pfizer
PFE
$142B
$105K 0.1%
+2,672
New +$105K
LVS icon
69
Las Vegas Sands
LVS
$39.1B
$98K 0.09%
+1,425
New +$98K
VIGI icon
70
Vanguard International Dividend Appreciation ETF
VIGI
$8.38B
$94K 0.09%
+1,300
New +$94K
CME icon
71
CME Group
CME
$95.6B
$93K 0.09%
+465
New +$93K
ADBE icon
72
Adobe
ADBE
$147B
$86K 0.08%
+260
New +$86K
SPLK
73
DELISTED
Splunk Inc
SPLK
$82K 0.08%
+550
New +$82K
DLR icon
74
Digital Realty Trust
DLR
$55.5B
$79K 0.08%
+661
New +$79K
IBM icon
75
IBM
IBM
$225B
$77K 0.07%
+575
New +$77K