HolderBook

Eagle Wealth Advisors LLC

Reported holdings as of Q2 2026, from 3 quarterly filings.

CIK
2107271
Reported value
$131.1M
Positions
100
Top 10 weight
45.6%
Filed
2026-07-13
Days after quarter end
13

Holdings

SecurityTickerValue SharesWeightWeight change Held Change
NVIDIA CORPORATIONNVDA$12.3M61,6289.41%-0.95pp3q-4.3%-$550.0K
APPLE INCAAPL$9.9M34,2137.55%-0.91pp3q-5.3%-$551.8K
MICROSOFT CORPMSFT$6.6M17,7655.06%-1.23pp3q-3.4%-$233.1K
AMAZON COM INCAMZN$5.4M22,4834.09%-0.31pp3q-1.7%-$94.4K
ISHARES TRSTIP$4.8M47,1473.68%-0.16pp3q+17.4%+$713.1K
ALPHABET INCGOOGL$4.6M12,8803.51%-0.05pp3q-3.9%-$189.0K
BROADCOM INCAVGO$4.2M11,2173.23%-0.23pp3q-7.4%-$339.6K
MICRON TECHNOLOGY INCMU$4.1M3,5803.15%+2.22pp3q+19.8%+$682.2K
ALPHABET INCGOOG$3.9M11,0692.98%flat3q-2.0%-$78.1K
ADVANCED MICRO DEVICES INCAMD$3.9M6,6942.97%+1.75pp3q+2.8%+$106.9K
VANGUARD WORLD FDMGK$3.8M43,4152.91%-0.07pp3q+392.8%+$3.0M
ISHARES TRIGIB$3.8M70,8072.87%+0.17pp3q+28.6%+$838.1K
TESLA INCTSLA$3.4M8,0412.58%-0.16pp3q+0.6%+$18.9K
META PLATFORMS INCMETA$3.1M5,4972.36%-0.58pp3q-1.3%-$41.7K
SPDR SERIES TRUSTSPSB$2.7M88,9392.04%-0.72pp3q-10.6%-$315.6K
LAM RESEARCH CORPLRCX$2.1M4,8991.62%+0.69pp3q+3.9%+$79.3K
INTEL CORPINTC$2.1M14,9081.59%+1.10pp2q+24.3%+$407.6K
SELECT SECTOR SPDR TRXLK$1.7M9,0291.31%+0.20pp3qHELD
APPLIED MATLS INCAMAT$1.7M2,3431.29%+0.63pp2q+10.8%+$165.6K
WALMART INCWMT$1.7M14,8551.28%-0.02pp3q+31.3%+$401.5K
CISCO SYS INCCSCO$1.6M13,8461.24%+0.34pp3q+9.5%+$141.1K
COSTCO WHOLESALE CORPORATIONCOST$1.5M1,6311.16%-0.27pp3q+4.8%+$70.2K
KLA CORPKLAC$1.4M4,7571.10%+0.46pp3q+918.6%+$1.3M
ELI LILLY & COLLY$1.3M1,0971.00%-0.22pp3q-24.2%-$421.0K
FIRST TR EXCHANGE-TRADED FDQTEC$1.3M3,7530.96%+0.21pp3qHELD
RTX CORPORATIONRTX$1.3M6,6030.96%-0.20pp3q+2.0%+$24.3K
VANGUARD INDEX FDSVOO$1.2M1,8140.95%-0.05pp3qHELD
NETFLIX INCNFLX$1.1M16,0580.87%-0.58pp3q-1.8%-$21.3K
VANGUARD WORLD FDVIS$1.0M2,8820.79%-0.04pp3qHELD
SCHWAB STRATEGIC TRSCHG$1.0M30,5440.79%-0.03pp3qHELD
PALANTIR TECHNOLOGIES INCPLTR$1.0M8,7540.78%-0.35pp3q+4.4%+$42.8K
STATE STR SPDR S&P 500 ETF TSPY$951.4K1,2740.73%-0.07pp3q-4.2%-$41.8K
STATE STR SPDR DOW JONES INDDIA$910.0K1,7420.69%-0.05pp3qHELD
PALO ALTO NETWORKS INCPANW$907.1K2,6600.69%+0.33pp3q+9.7%+$80.1K
JPMORGAN CHASE & COJPM$881.2K2,6920.67%-0.01pp3q+7.6%+$61.9K
VISA INCV$877.3K2,5570.67%-0.27pp3q-24.1%-$278.6K
LINDE PLCLIN$789.8K1,5220.60%-0.07pp3q+3.9%+$29.6K
BERKSHIRE HATHAWAY INC DELBRKB$757.1K1,5130.58%flat3q+16.5%+$107.1K
TEXAS INSTRS INCTXN$750.5K2,5180.57%+0.22pp2q+26.7%+$158.0K
CATERPILLAR INCCAT$747.6K7020.57%+0.14pp3q+5.4%+$38.3K
CROWDSTRIKE HLDGS INCCRWD$628.1K8230.48%+0.20pp3q+6.9%+$40.4K
VANGUARD INDEX FDSVTI$610.6K1,6500.47%-0.02pp3qHELD
MASTERCARD INCORPORATEDMA$610.2K1,1880.47%-0.31pp3q-29.6%-$256.3K
AMGEN INCAMGN$605.8K1,6730.46%+0.01pp2q+20.1%+$101.4K
GE AEROSPACEGE$596.8K1,5970.46%-0.09pp3q-23.5%-$183.5K
VANGUARD WORLD FDMGV$595.1K3,6410.45%-0.03pp3qHELD
MARVELL TECHNOLOGY INCMRVL$566.3K1,9010.43%-newNEW
GOLDMAN SACHS GROUP INCGS$563.3K5570.43%+0.01pp3q+4.7%+$25.3K
SELECT SECTOR SPDR TRXLF$553.8K10,3310.42%-0.05pp3qHELD
QUALCOMM INCQCOM$545.9K2,9540.42%+0.14pp2q+28.9%+$122.3K
GE VERNOVA INCGEV$545.1K4640.42%-0.05pp3q-18.9%-$126.9K
PROCTER & GAMBLE COPG$542.6K3,7000.41%-0.05pp3q+5.8%+$29.9K
ISHARES TRIYW$538.8K2,1360.41%+0.05pp3qHELD
ANALOG DEVICES INCADI$521.1K1,3120.40%+0.08pp2q+23.0%+$97.3K
PEPSICO INCPEP$505.6K3,7340.39%-0.04pp2q+24.3%+$98.8K
HOME DEPOT INCHD$504.0K1,4290.38%-0.02pp3q+6.0%+$28.6K
SANDISK CORPSNDK$495.7K2180.38%-newNEW
INVESCO EXCH TRADED FD TR IISPMO$490.8K3,0380.37%+0.01pp3q-14.2%-$81.3K
JOHNSON & JOHNSONJNJ$475.4K1,8720.36%-0.01pp3q+12.1%+$51.3K
ORACLE CORPORCL$472.5K3,2240.36%-0.06pp3q+3.6%+$16.6K
CADENCE DESIGN SYSTEM INCCDNS$470.7K1,2540.36%+0.05pp3q+2.8%+$12.8K
WESTERN DIGITAL CORPWDC$466.3K7300.36%-newNEW
GILEAD SCIENCES INCGILD$457.2K3,6190.35%-0.03pp2q+21.4%+$80.5K
ISHARES TRIVV$456.8K6100.35%+0.03pp3q+14.2%+$56.9K
SELECT SECTOR SPDR TRXLI$444.6K2,4000.34%-0.02pp3qHELD
SEAGATE TECHNOLOGY HLDNGS PLSTX$438.4K4540.33%-newNEW
BOOKING HOLDINGS INCBKNG$431.7K2,4220.33%-0.03pp3q+2532.6%+$415.3K
APPLOVIN CORPAPP$428.7K8320.33%+0.04pp3q+6.9%+$27.8K
VERTEX PHARMACEUTICALS INCVRTX$419.7K8450.32%-0.01pp3q+4.1%+$16.4K
CARRIER GLOBAL CORPORATIONCARR$417.5K5,6920.32%+0.02pp3qHELD
MCDONALDS CORPMCD$413.3K1,5290.32%-0.10pp3q+4.4%+$17.6K
EXXON MOBIL CORPXOMXXXX$406.7K2,9750.31%-0.10pp3q+13.3%+$47.9K
INTERNATIONAL BUSINESS MACHSIBM$373.2K1,3270.28%flat3q+6.0%+$21.1K
ABBVIE INCABBV$330.9K1,3150.25%+0.02pp3q+13.1%+$38.2K
ARISTA NETWORKS INCANET$330.4K1,9450.25%-0.01pp3q-17.4%-$69.8K
ASML HLDG NVASML$330.2K1660.25%-newNEW
VANGUARD WORLD FDVFH$319.8K2,4300.24%-0.03pp3qHELD
FORTINET INCFTNT$318.5K2,0730.24%-newNEW
T-MOBILE US INCTMUS$315.8K1,8830.24%-0.21pp3q-18.5%-$71.6K
VANGUARD INDEX FDSVUG$307.5K3,5700.23%-0.01pp3q+500.0%+$256.3K
BANK OF AMER CORPBAC$302.5K5,3090.23%+0.02pp3q+10.7%+$29.2K
INTUITIVE SURGICAL INCISRG$294.7K7410.22%-0.30pp3q-40.1%-$197.2K
MARRIOTT INTL INC NEWMAR$280.9K7580.21%flat2q+4.8%+$13.0K
MORGAN STANLEYMS$271.5K1,2990.21%+0.02pp3q+5.6%+$14.4K
VERTIV HOLDINGS COVRT$268.9K8030.21%+0.01pp2q-6.6%-$19.1K
UNITEDHEALTH GROUP INCUNH$268.5K6460.20%-0.04pp3q-33.5%-$135.5K
SHOPIFY INCSHOP$258.4K2,2630.20%-0.01pp2q+18.0%+$39.4K
STARBUCKS CORPSBUX$254.6K2,4910.19%-newNEW
MERCK & CO INCMRK$253.1K1,9570.19%+0.01pp2q+17.5%+$37.6K
WELLS FARGO & COWFC$244.7K2,9610.19%-0.01pp3q+7.9%+$17.9K
CONSTELLATION ENERGY CORPCEG$238.7K9610.18%-0.05pp3q+4.9%+$11.2K
SYNOPSYS INCSNPS$236.4K5300.18%-newNEW
OREILLY AUTOMOTIVE INCORLY$230.6K2,5040.18%-0.04pp3q-1.8%-$4.1K
COCA COLA COKO$225.6K2,7580.17%-newNEW
UNITED RENTALS INCURI$220.9K1950.17%-newNEW
CHEVRON CORPORATIONCVX$218.6K1,3190.17%-0.07pp3q+7.1%+$14.6K
SALESFORCE INCCRM$215.4K1,3700.16%-0.23pp3q-39.9%-$142.9K
DISNEY WALT CODIS$215.2K2,2360.16%-0.06pp3q-9.7%-$23.0K
CITIGROUP INCC$206.6K1,4760.16%-newNEW
THERMO FISHER SCIENTIFIC INCTMO$204.1K4070.16%-0.14pp3q-38.1%-$125.3K

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 24.5%Software & IT Services 16.8%Computer Hardware 11.3%Retail & Consumer 7.6%Autos & Aerospace 3.5%Biotech & Pharma 2.9%Industrials 2.8%Business Services 1.5%Other sectors 9.1%Not classified 19.9%
 
SectorValueShare
Semiconductors & Electronics$32.2M24.5%
Software & IT Services$22.0M16.8%
Computer Hardware$14.9M11.3%
Retail & Consumer$10.0M7.6%
Autos & Aerospace$4.6M3.5%
Biotech & Pharma$3.9M2.9%
Industrials$3.6M2.8%
Business Services$2.0M1.5%
Other sectors$11.9M9.1%
Not classified$26.1M19.9%

Quarter by quarter

QuarterValuePositions NewAddedTrimmed ExitedTop 10 Days to file
Q2 2026$131.1M100115026945.6%13
Q1 2026$108.4M98144026749.3%23
Q4 2025$117.3M91000055.2%29

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.