WEPOG

Wealth Enhancement & Preservation of GA Portfolio holdings

AUM $104M
This Quarter Return
+7.9%
1 Year Return
+15.69%
3 Year Return
+82.93%
5 Year Return
10 Year Return
AUM
$104M
AUM Growth
+$104M
Cap. Flow
+$16.6M
Cap. Flow %
15.9%
Top 10 Hldgs %
77.95%
Holding
51
New
10
Increased
34
Reduced
3
Closed
3

Sector Composition

1 Industrials 3.5%
2 Healthcare 3.08%
3 Consumer Staples 2.91%
4 Technology 2.73%
5 Consumer Discretionary 2.27%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
SPY icon
1
SPDR S&P 500 ETF Trust
SPY
$658B
$38.1M 36.58%
85,958
+57,167
+199% +$25.3M
SPLG icon
2
SPDR Portfolio S&P 500 ETF
SPLG
$83.6B
$11.7M 11.19%
223,663
+37,481
+20% +$1.95M
QQQM icon
3
Invesco NASDAQ 100 ETF
QQQM
$58.8B
$6.87M 6.59%
45,200
+3,680
+9% +$559K
SPGP icon
4
Invesco S&P 500 GARP ETF
SPGP
$2.75B
$4.84M 4.64%
53,273
+6,545
+14% +$594K
FTCS icon
5
First Trust Capital Strength ETF
FTCS
$8.49B
$4.82M 4.63%
64,208
+8,180
+15% +$614K
DIA icon
6
SPDR Dow Jones Industrial Average ETF Trust
DIA
$39.9B
$3.81M 3.66%
11,093
+978
+10% +$336K
AGG icon
7
iShares Core US Aggregate Bond ETF
AGG
$131B
$3.58M 3.44%
36,593
+712
+2% +$69.7K
FIXD icon
8
First Trust Exchange-Traded Fund VIII First Trust Smith Opportunistic Fixed Income ETF
FIXD
$3.34B
$2.99M 2.87%
67,639
+1,201
+2% +$53K
JEPI icon
9
JPMorgan Equity Premium Income ETF
JEPI
$41.3B
$2.28M 2.19%
41,142
+947
+2% +$52.4K
SRLN icon
10
SPDR Blackstone Senior Loan ETF
SRLN
$7B
$2.25M 2.16%
53,648
+1,428
+3% +$59.8K
NUE icon
11
Nucor
NUE
$34.1B
$1.2M 1.16%
7,346
+28
+0.4% +$4.59K
HD icon
12
Home Depot
HD
$405B
$1.16M 1.11%
3,728
+231
+7% +$71.8K
AAPL icon
13
Apple
AAPL
$3.45T
$1.07M 1.02%
5,500
+260
+5% +$50.4K
MSFT icon
14
Microsoft
MSFT
$3.77T
$1.06M 1.01%
3,104
+230
+8% +$78.3K
LLY icon
15
Eli Lilly
LLY
$657B
$997K 0.96%
2,126
+64
+3% +$30K
XOM icon
16
Exxon Mobil
XOM
$487B
$859K 0.82%
8,010
+747
+10% +$80.1K
WMT icon
17
Walmart
WMT
$774B
$850K 0.82%
5,405
+424
+9% +$66.6K
WM icon
18
Waste Management
WM
$91.2B
$817K 0.78%
4,713
+338
+8% +$58.6K
CSX icon
19
CSX Corp
CSX
$60.6B
$810K 0.78%
23,764
+1,255
+6% +$42.8K
LMT icon
20
Lockheed Martin
LMT
$106B
$802K 0.77%
1,742
+311
+22% +$143K
MRK icon
21
Merck
MRK
$210B
$796K 0.76%
6,900
+560
+9% +$64.6K
PG icon
22
Procter & Gamble
PG
$368B
$794K 0.76%
5,231
+351
+7% +$53.3K
V icon
23
Visa
V
$683B
$791K 0.76%
3,332
+292
+10% +$69.3K
MCD icon
24
McDonald's
MCD
$224B
$790K 0.76%
2,647
+171
+7% +$51K
HSY icon
25
Hershey
HSY
$37.3B
$739K 0.71%
2,958
+197
+7% +$49.2K