WWM

Wagner Wealth Management Portfolio holdings

AUM $439M
1-Year Return 9.17%
This Quarter Return
+5.2%
1 Year Return
+9.17%
3 Year Return
+31.26%
5 Year Return
10 Year Return
AUM
$140M
AUM Growth
+$12.2M
Cap. Flow
+$6.33M
Cap. Flow %
4.54%
Top 10 Hldgs %
29.56%
Holding
741
New
74
Increased
190
Reduced
114
Closed
41
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
DBEF icon
451
Xtrackers MSCI EAFE Hedged Equity ETF
DBEF
$7.95B
$13K 0.01%
347
FEX icon
452
First Trust Large Cap Core AlphaDEX Fund
FEX
$1.36B
$13K 0.01%
150
+40
+36% +$3.47K
HRL icon
453
Hormel Foods
HRL
$14.1B
$13K 0.01%
279
+1
+0.4% +$47
IAU icon
454
iShares Gold Trust
IAU
$52.6B
$13K 0.01%
381
IBUY icon
455
Amplify Online Retail ETF
IBUY
$158M
$13K 0.01%
100
LIT icon
456
Global X Lithium & Battery Tech ETF
LIT
$1.16B
$13K 0.01%
174
+89
+105% +$6.65K
MPC icon
457
Marathon Petroleum
MPC
$54.8B
$13K 0.01%
215
PAVE icon
458
Global X US Infrastructure Development ETF
PAVE
$9.4B
$13K 0.01%
488
+53
+12% +$1.41K
SPHD icon
459
Invesco S&P 500 High Dividend Low Volatility ETF
SPHD
$3.17B
$13K 0.01%
300
TDIV icon
460
First Trust NASDAQ Technology Dividend Index Fund
TDIV
$3.51B
$13K 0.01%
220
-200
-48% -$11.8K
TWO
461
Two Harbors Investment
TWO
$1.08B
$13K 0.01%
417
WY icon
462
Weyerhaeuser
WY
$18.9B
$13K 0.01%
377
MIC
463
DELISTED
Macquarie Infrastructure Holdings, LLC
MIC
$13K 0.01%
350
-1,775
-84% -$65.9K
COR
464
DELISTED
Coresite Realty Corporation
COR
$13K 0.01%
+100
New +$13K
WORK
465
DELISTED
Slack Technologies, Inc.
WORK
$13K 0.01%
302
ABNB icon
466
Airbnb
ABNB
$75.8B
$12K 0.01%
78
ACA icon
467
Arcosa
ACA
$4.79B
$12K 0.01%
200
ACES icon
468
ALPS Clean Energy ETF
ACES
$97.5M
$12K 0.01%
155
-4,524
-97% -$350K
AMGN icon
469
Amgen
AMGN
$153B
$12K 0.01%
50
CHKP icon
470
Check Point Software Technologies
CHKP
$20.7B
$12K 0.01%
104
CHTR icon
471
Charter Communications
CHTR
$35.7B
$12K 0.01%
17
DLTR icon
472
Dollar Tree
DLTR
$20.6B
$12K 0.01%
118
EEM icon
473
iShares MSCI Emerging Markets ETF
EEM
$19.2B
$12K 0.01%
210
+125
+147% +$7.14K
BRSL
474
Brightstar Lottery PLC
BRSL
$3.18B
$12K 0.01%
500
MDT icon
475
Medtronic
MDT
$119B
$12K 0.01%
99