HolderBook

Ullmann Wealth Partners Group, LLC

Reported holdings as of Q2 2026, from 31 quarterly filings.

CIK
1697725
Reported value
$1.1B
Positions
174
Top 10 weight
62.1%
Filed
2026-08-10
Days after quarter end
41

Holdings

SecurityTickerValue SharesWeightWeight change Held Change
ISHARES TRIVV$202.1M269,86518.37%-0.16pp31q-1.2%-$2.5M
ISHARES TRITOT$99.9M608,4389.08%-0.09pp31q-1.9%-$2.0M
ISHARES TRLRGF$85.8M1,134,8377.80%-0.17pp14q-2.5%-$2.2M
FIDELITY MERRIMACK STR TRFBND$67.5M1,482,8236.13%+0.54pp4q+25.6%+$13.7M
BLACKROCK ETF TRUSTDYNF$47.1M692,8514.28%+0.52pp10q+11.2%+$4.8M
DIMENSIONAL ETF TRUSTDFCF$40.1M950,4833.65%-0.36pp17q+4.0%+$1.5M
DIMENSIONAL ETF TRUSTDFIC$39.2M1,051,8643.56%-0.42pp14q-2.6%-$1.1M
ISHARES TRSMLF$38.4M430,7383.49%+0.10pp25qHELD
ISHARES TRIWF$37.9M304,8423.44%+0.09pp31q+302.5%+$28.4M
VANGUARD SCOTTSDALE FDSVGSH$25.6M440,7022.33%-0.06pp13q+12.1%+$2.8M
ISHARES TRIXUS$25.5M267,3862.32%-0.12pp25q-1.6%-$402.7K
AMERICAN CENTY ETF TRAVEM$23.1M239,7552.10%+0.33pp4q+13.0%+$2.7M
AMERICAN CENTY ETF TRAVLV$22.5M247,1582.05%+0.03pp6q+2.2%+$495.0K
ISHARES U S ETF TRMEAR$22.4M444,3082.03%-0.24pp13q+1.9%+$427.0K
ISHARES TRIWR$21.5M195,0071.96%+0.02pp31q+1.7%+$366.5K
ISHARES TRIEFA$19.9M206,5011.81%-0.15pp31q-1.2%-$252.1K
BLACKROCK ETF TRUST IIBINC$14.6M278,1291.32%-0.53pp10q-19.2%-$3.5M
STATE STR SPDR S&P 500 ETF TSPY$14.3M19,2121.30%+0.01pp31qHELD
AMERICAN CENTY ETF TRAVUV$14.1M113,3171.28%+0.02pp6q+2.9%+$403.7K
ISHARES TRQUAL$10.0M45,7370.91%flat25q-0.6%-$62.8K
ISHARES TRMUB$9.7M90,3950.88%-0.11pp17qHELD
APPLE INCAAPL$9.1M31,4720.83%+0.06pp31q+7.4%+$630.8K
INVESCO EXCHANGE TRADED FD TPWV$7.8M103,4890.71%-0.04pp31qHELD
ISHARES TRIJH$7.2M93,8370.66%-0.01pp31q-1.9%-$143.0K
ISHARES TRIJJ$7.0M47,2490.63%-0.03pp31q-2.1%-$151.1K
ISHARES TRIWD$6.7M27,4800.61%-0.01pp31q-1.4%-$91.9K
NVIDIA CORPORATIONNVDA$6.6M32,7560.60%+0.02pp14q+2.2%+$144.1K
INVESCO EXCHANGE TRADED FD TXMMO$6.2M36,6400.57%+0.02pp31q+1.0%+$64.3K
DIMENSIONAL ETF TRUSTDUHP$5.8M138,4560.53%-0.17pp14q-23.6%-$1.8M
JPMORGAN CHASE & COJPM$5.2M15,8750.47%-0.01pp25q+1.4%+$72.3K
MICROSOFT CORPMSFT$5.1M13,6620.46%-0.09pp30q-5.3%-$286.1K
ISHARES TRGOVT$4.4M194,7160.40%-0.03pp14q+6.5%+$268.8K
ALPHABET INCGOOGL$4.3M11,9850.39%+0.06pp14q+8.8%+$345.2K
HCA HEALTHCARE INCHCA$4.2M10,8580.38%+0.10pp17q+89.1%+$2.0M
ISHARES TRIWB$4.2M10,2820.38%+0.01pp8q+0.9%+$38.1K
ISHARES TRAGG$4.2M42,4370.38%-0.05pp31q+0.6%+$24.3K
BLACKROCK ETF TRUSTCORO$3.9M106,6060.35%-newNEW
AMAZON COM INCAMZN$3.8M15,9120.34%+0.02pp24q+5.2%+$188.3K
INVESCO EXCHANGE TRADED FD TPWB$3.7M22,0220.34%+0.05pp31qHELD
ISHARES TRIJS$3.6M26,5890.33%+0.02pp31q+4.4%+$152.8K
JOHNSON & JOHNSONJNJ$3.2M12,7670.29%-0.03pp31q+0.8%+$26.2K
BANK OF AMER CORPBAC$3.2M56,1100.29%+0.02pp31q+4.1%+$127.0K
ISHARES TRIJK$3.1M26,7890.29%+0.03pp31q+8.9%+$258.2K
ADVANCED MICRO DEVICES INCAMD$3.1M5,2600.28%+0.18pp5q+11.5%+$314.2K
ISHARES TRIJT$2.8M15,7370.26%+0.03pp31q+7.1%+$187.2K
CATERPILLAR INCCAT$2.8M2,6150.25%+0.06pp8q+2.1%+$57.5K
ISHARES TRIJR$2.7M18,0870.24%flat25q-3.7%-$102.3K
ISHARES INCEMGF$2.4M32,6890.22%-0.03pp13q-15.5%-$440.4K
PROCTER & GAMBLE COPG$2.4M16,1270.21%-0.03pp31q-1.2%-$29.6K
MICRON TECHNOLOGY INCMU$2.4M2,0480.21%+0.15pp4q+9.9%+$213.5K
ISHARES TRIVW$2.3M17,0590.21%+0.05pp25q+22.9%+$437.2K
CINCINNATI FINL CORPCINF$2.1M11,4500.19%+0.01pp25qHELD
VANGUARD INDEX FDSVTI$2.0M5,4100.18%+0.01pp30q+3.5%+$67.3K
BROADCOM INCAVGO$2.0M5,2430.18%+0.03pp11q+8.8%+$160.9K
SELECT SECTOR SPDR TRXLK$1.9M9,8030.17%+0.03pp8qHELD
ALPHABET INCGOOG$1.8M5,2210.17%+0.01pp14qHELD
COSTCO WHOLESALE CORPORATIONCOST$1.8M1,9600.17%-0.03pp21q+1.0%+$18.7K
WALMART INCWMT$1.8M15,9020.16%-0.04pp31q+1.2%+$21.9K
INTERNATIONAL BUSINESS MACHSIBM$1.8M6,3220.16%+0.01pp16q+5.6%+$94.5K
MARRIOTT INTL INC NEWMAR$1.8M4,7300.16%-0.01pp11q-3.6%-$65.2K
STATE STR SPDR S&P MIDCAP 40MDY$1.8M2,4890.16%flat9qHELD
INVESCO QQQ TRQQQ$1.7M2,3660.16%+0.02pp20qHELD
ABBVIE INCABBV$1.6M6,4190.15%+0.01pp14q+3.2%+$50.3K
SCHWAB STRATEGIC TRSCHB$1.6M55,0280.14%flat22qHELD
BERKSHIRE HATHAWAY INC DELBRKB$1.6M3,0980.14%-0.01pp24q+1.0%+$15.5K
META PLATFORMS INCMETA$1.5M2,7060.14%-0.02pp13q+1.7%+$25.9K
ISHARES INCEMXC$1.5M14,3290.13%-0.12pp10q-54.3%-$1.7M
EXXON MOBIL CORPXOMXXXX$1.4M10,4680.13%-0.05pp23q+2.6%+$35.8K
CSX CORPCSX$1.4M29,5060.13%flat14qHELD
FIDELITY COMWLTH TRONEQ$1.3M12,8860.12%+0.01pp18qHELD
ISHARES TRIUSG$1.3M7,0330.12%+0.01pp31qHELD
TESLA INCTSLA$1.3M3,0420.12%flat13q-1.6%-$20.6K
NUCOR CORPNUE$1.2M5,5060.11%+0.01pp8qHELD
IRON MTN INC DELIRM$1.2M9,3420.11%+0.01pp17q-1.0%-$12.3K
COCA COLA COKO$1.2M14,2760.11%-0.01pp31q+0.9%+$10.4K
ELI LILLY & COLLY$1.2M9620.10%+0.03pp10q+15.9%+$158.4K
VANGUARD INDEX FDSVUG$1.1M12,8310.10%+0.02pp30q+640.4%+$956.0K
ROYAL GOLD INCRGLD$1.1M5,4670.10%-0.04pp8qHELD
INTEL CORPINTC$1.1M7,6680.10%+0.07pp2q+15.6%+$144.2K
VANGUARD SCOTTSDALE FDSVMBS$1.1M22,4460.10%-0.05pp13q-23.0%-$313.4K
CINTAS CORPCTAS$1.0M6,1590.10%-0.03pp31q-12.8%-$153.6K
FIDELITY NATL FINL INCFNF$1.0M22,2000.10%-0.02pp27q-5.3%-$59.1K
APPLIED MATLS INCAMAT$1.0M1,4340.09%+0.05pp5q+5.8%+$56.4K
HOME DEPOT INCHD$1.0M2,9020.09%flat22q+5.6%+$54.0K
KLA CORPKLAC$1.0M3,3860.09%+0.04pp5q+954.8%+$924.8K
VANGUARD INDEX FDSVTV$954.5K4,3800.09%+0.02pp23q+35.7%+$251.3K
SCHWAB STRATEGIC TRSCHD$895.8K28,2500.08%-0.01pp8qHELD
ISHARES TRIWM$891.8K2,9680.08%+0.02pp31q+20.4%+$150.8K
PROSHARES TRNOBL$835.5K14,8780.08%-0.01pp8q+100.0%+$417.8K
US BANCORPUSB$809.3K13,3980.07%flat22qHELD
VISA INCV$783.8K2,2840.07%+0.01pp11q+17.0%+$113.9K
VANGUARD STAR FDSVXUS$765.8K8,9580.07%flat8q+3.9%+$28.5K
CISCO SYS INCCSCO$763.0K6,4960.07%+0.02pp14q+8.8%+$61.4K
NEXTERA ENERGY INCNEE$754.7K8,5990.07%flat31q+20.6%+$128.8K
ISHARES TRILCV$711.7K7,0300.06%flat31qHELD
ISHARES TREFA$705.7K6,7930.06%flat31qHELD
LAM RESEARCH CORPLRCX$689.5K1,5910.06%+0.03pp2q+17.8%+$104.0K
ISHARES TRIWN$680.5K3,0770.06%flat31q-5.0%-$35.6K
VANGUARD SCOTTSDALE FDSVONE$653.7K1,9300.06%flat2qHELD
UNITEDHEALTH GROUP INCUNH$643.0K1,5470.06%+0.03pp30q+30.7%+$150.9K
MERCK & CO INCMRK$640.1K4,9820.06%flat11q+4.7%+$28.5K
GE AEROSPACEGE$622.7K1,6660.06%+0.01pp5q+9.7%+$54.9K
VANGUARD INDEX FDSVB$615.5K2,0310.06%flat8q+3.2%+$19.1K
MCDONALDS CORPMCD$608.9K2,2530.06%-0.02pp17q-0.9%-$5.4K
BLOOM ENERGY CORPBE$607.8K2,0080.06%+0.03pp4qHELD
CHEVRON CORPORATIONCVX$599.1K3,6150.05%-0.02pp12qHELD
BLACKSTONE INCBX$577.4K4,9070.05%flat8q+2.1%+$11.8K
SPDR SERIES TRUSTSDY$561.0K3,6870.05%flat30qHELD
INTUITIVE SURGICAL INCISRG$551.1K1,3860.05%-0.02pp15q-2.3%-$13.1K
ISHARES TRIWP$531.7K3,6320.05%flat31qHELD
INVESCO EXCHANGE TRADED FD TEQWL$530.3K4,1100.05%flat15qHELD
GE VERNOVA INCGEV$511.3K4350.05%+0.01pp2q+24.3%+$99.9K
SANDISK CORPSNDK$493.4K2170.04%-newNEW
ORACLE CORPORCL$487.1K3,3240.04%flat9q+14.7%+$62.6K
MASTERCARD INCORPORATEDMA$485.7K9460.04%flat10q+19.4%+$79.1K
DIMENSIONAL ETF TRUSTDFAU$445.2K8,6120.04%-0.01pp19q-11.3%-$56.7K
INVESCO EXCH TRADED FD TR IIIDHQ$438.4K10,0290.04%flat19qHELD
J P MORGAN EXCHANGE TRADED FBBCA$429.9K4,3250.04%flat16qHELD
WW GRAINGER INCGWW$429.9K3160.04%+0.01pp7q+13.7%+$51.7K
VANGUARD INDEX FDSVOO$425.2K6190.04%+0.01pp3q+18.4%+$65.9K
ARISTA NETWORKS INCANET$420.2K2,4740.04%+0.01pp5q+8.9%+$34.5K
AUTOMATIC DATA PROCESSING INADP$405.6K1,8110.04%flat8qHELD
INVESCO EXCHANGE TRADED FD TXMHQ$389.5K3,4500.04%flat31qHELD
FIFTH THIRD BANCORPFITB$384.3K6,8170.03%-0.01pp23q-26.9%-$141.6K
RTX CORPORATIONRTX$368.3K1,9410.03%-0.01pp5q-7.6%-$30.2K
ISHARES TROEF$365.9K1,0000.03%flat3qHELD
DIMENSIONAL ETF TRUSTDFAC$365.8K8,2470.03%flat12qHELD
COMCAST CORP NEWCMCSA$353.4K14,3960.03%-0.01pp8q+14.9%+$45.8K
UNIVEST FINANCIAL CORPORATIOUVSP$350.7K8,0160.03%flat2qHELD
NETFLIX INCNFLX$349.8K4,8990.03%-0.01pp9q+8.6%+$27.6K
VANGUARD TAX-MANAGED FDSVEA$344.1K4,8300.03%-newNEW
ISHARES INCIEMG$332.8K4,0170.03%-newNEW
DIMENSIONAL ETF TRUSTDFAX$332.4K9,0230.03%flat19qHELD
INTERCONTINENTAL EXCHANGE INICE$329.6K2,6770.03%-0.01pp8qHELD
ROCKET LAB CORPRKLB$321.0K3,1580.03%+0.01pp3qHELD
PALANTIR TECHNOLOGIES INCPLTR$315.7K2,7060.03%-0.01pp5q+1.1%+$3.5K
PALO ALTO NETWORKS INCPANW$306.0K8970.03%-newNEW
BOEING COBA$298.2K1,3780.03%flat14q+3.9%+$11.3K
INVESCO EXCHANGE TRADED FD TXSMO$291.2K3,1100.03%flat5qHELD
ISHARES TRIVE$287.0K1,2640.03%-newNEW
WELLS FARGO & COWFC$283.7K3,4320.03%flat22q+3.6%+$9.9K
WESTERN DIGITAL CORPWDC$280.4K4390.03%-newNEW
CITIGROUP INCC$275.6K1,9690.03%flat2q+5.5%+$14.3K
CONSTELLATION ENERGY CORPCEG$274.9K1,1070.02%-0.01pp6q+5.9%+$15.4K
L3HARRIS TECHNOLOGIES INCLHX$265.8K9150.02%-0.01pp3qHELD
INVESCO EXCHANGE TRADED FD TXMVM$258.5K3,6450.02%flat22qHELD
UNION PAC CORPUNP$254.8K9370.02%flat2q+5.4%+$13.1K
DELTA AIR LINES INCDAL$250.7K2,6770.02%-newNEW
ISHARES TRIUSV$246.3K2,2360.02%flat31qHELD
FIRST MERCHANTS CORPFRME$244.8K5,6020.02%flat2qHELD
BLACKROCK ETF TRUST IIHIMU$240.6K4,8310.02%-0.21pp4q-89.4%-$2.0M
GENERAL MTRS COGM$240.5K3,1200.02%flat3qHELD
VANGUARD SPECIALIZED FUNDSVIG$239.0K1,0100.02%-newNEW
XCEL ENERGY INCXEL$237.5K2,9580.02%flat6qHELD
MORGAN STANLEYMS$229.5K1,0980.02%-newNEW
PFIZER INCPFE$228.0K9,4680.02%-0.01pp4q-1.9%-$4.3K
SELECT SECTOR SPDR TRXLE$227.7K4,2880.02%-0.01pp2qHELD
SEI INVTS COSEIC$227.4K2,5930.02%-newNEW
TEXAS INSTRS INCTXN$226.4K7600.02%-newNEW
MOVADO GROUP INCMOV$225.1K5,7260.02%-newNEW
ANALOG DEVICES INCADI$225.0K5670.02%-newNEW
CVS HEALTH CORPCVS$223.6K2,1620.02%-newNEW
INVESCO EXCHANGE TRADED FD TXSVM$222.3K3,1950.02%-newNEW
ACUITY INCAYI$221.1K5870.02%-newNEW
APPLOVIN CORPAPP$220.7K4280.02%-newNEW
BOOKING HOLDINGS INCBKNG$218.7K1,2270.02%-newNEW
AMGEN INCAMGN$216.9K5990.02%flat2q+1.2%+$2.5K
INVESCO EXCH TRADED FD TR IISPLV$215.2K2,8740.02%flat2qHELD
VANGUARD INDEX FDSVBR$210.9K8680.02%-newNEW
TRANSOCEAN LTDRIG$84.1K17,2080.01%flat5qHELD
ACCO BRANDS CORPACCO$41.8K10,0410.00%-newNEW
ZOOMINFO TECHNOLOGIES INCGTM$36.0K12,2910.00%-newNEW
RING ENERGY INCREI$22.5K20,8780.00%flat2q-2.8%
XOS INCXOSWW$5112,0480.00%flat3qHELD

By sector

Industry comes from the SIC code on each company's own SEC filings, which is self-reported and sometimes out of date. Derivative exposure is counted with the shares. Securities the SEC assigns no industry - funds, trusts, foreign issues - are shown as not classified rather than dropped.

Semiconductors & Electronics 1.7%Funds & ETFs 1.6%Other sectors 8.2%Not classified 88.5%
 
SectorValueShare
Semiconductors & Electronics$18.5M1.7%
Funds & ETFs$17.8M1.6%
Other sectors$89.9M8.2%
Not classified$974.2M88.5%

Quarter by quarter

QuarterValuePositions NewAddedTrimmed ExitedTop 10 Days to file
Q2 2026$1.1B174227332462.1%41
Q1 2026$963.3M156125660462.2%13
Q4 2025$960.8M14862831862.8%43
Q3 2025$915.2M15094744564.7%17
Q2 2025$846.3M146115729266.1%11
Q1 2025$752.6M13784540868.7%11
Q4 2024$775.0M13784333369.3%15
Q3 2024$773.2M132245123169.1%15
Q2 2024$701.3M10955325970.3%39
Q1 2024$672.5M113124828370.3%40
Q4 2023$612.6M10484526170.1%11
Q3 2023$535.3M9724427570.6%13
Q2 2023$498.9M10082826165.2%14
Q1 2023$440.0M93143121673.1%11
Q4 2022$406.9M8563015572.7%19
Q3 2022$362.7M8452822372.5%12
Q2 2022$369.2M8262712571.5%13
Q1 2022$391.3M81329111172.6%14
Q4 2021$374.4M89102916373.8%26
Q3 2021$253.2M8273516870.7%19
Q2 2021$242.7M8332123470.1%9
Q1 2021$224.5M84141627169.5%14
Q4 2020$199.8M7172326471.3%15
Q3 2020$174.5M687925472.3%19
Q2 2020$162.4M6512922074.0%13
Q1 2020$133.3M5301916978.3%9
Q4 2019$164.9M623434676.4%14
Q3 2019$162.4M6501223274.5%8
Q2 2019$160.1M673927274.5%11
Q1 2019$155.5M66111919373.7%8
Q4 2018$135.4M58000073.3%14

Rows marked UNVERIFIED ID, PLACEHOLDER ID, TICKER AS ID or NON-CUSIP ID carry an identifier that is not a valid CUSIP. They are shown because the filer reported that money, but treat the security named with caution - hover the chip for what is wrong with it, and see the methodology.

Held counts consecutive filings in which this manager reported the position, and can reach further back than the quarters listed above: the tabs begin at Q4 2018 because earlier coverage is too sparse to describe a market, but tenure is counted over every filing we hold, some reaching to 2007. A position sold and later rebought starts again from one.

Weight change is the shift in this position's share of the whole book, in percentage points. It is the more useful column: when money flows into or out of a broad fund, almost every holding is bought or sold at once, so added and trimmed largely track flows. A weight that rose while the book shrank is a decision. Both compare with the previous quarter this filer reported, not the previous calendar quarter.