MW ADVISORY, LLC
Reported holdings as of Q2 2026, from 1 quarterly filings.
Holdings
| Security | Ticker | Value | Shares | Weight | Weight change | Held | Change |
|---|---|---|---|---|---|---|---|
| COCA COLA CO | KO | $62.2M | 765,193 | - | new | FIRST | |
| INVESCO EXCH TRD SLF IDX FD | OMFL | $16.6M | 241,529 | - | new | FIRST | |
| JANUS INTERNATIONAL GROUP IN | JBI | $12.1M | 2,183,549 | - | new | FIRST | |
| NVIDIA CORPORATION | NVDA | $10.8M | 53,946 | - | new | FIRST | |
| ISHARES TR | IVV | $8.6M | 11,450 | - | new | FIRST | |
| APPLE INC | AAPL | $7.9M | 27,350 | - | new | FIRST | |
| MICROSOFT CORP | MSFT | $7.9M | 21,088 | - | new | FIRST | |
| VANGUARD INDEX FDS | VOO | $7.5M | 10,872 | - | new | FIRST | |
| ALPHABET INC | GOOGL | $4.1M | 11,477 | - | new | FIRST | |
| ALPHABET INC | GOOG | $3.9M | 11,149 | - | new | FIRST | |
| TAIWAN SEMICONDUCTOR MANUFAC | TSM | $3.9M | 8,099 | - | new | FIRST | |
| AMAZON COM INC | AMZN | $3.6M | 15,108 | - | new | FIRST | |
| STATE STR SPDR S&P 500 ETF T | SPY | $3.6M | 4,758 | - | new | FIRST | |
| VANGUARD INDEX FDS | VTV | $3.1M | 14,440 | - | new | FIRST | |
| ELI LILLY & CO | LLY | $3.0M | 2,491 | - | new | FIRST | |
| BROADCOM INC | AVGO | $2.9M | 7,633 | - | new | FIRST | |
| META PLATFORMS INC | META | $2.8M | 4,898 | - | new | FIRST | |
| MORGAN STANLEY | MS | $2.2M | 10,637 | - | new | FIRST | |
| ISHARES INC | EMXC | $2.1M | 20,981 | - | new | FIRST | |
| BERKSHIRE HATHAWAY INC DEL | BRKB | $2.1M | 4,220 | - | new | FIRST | |
| ISHARES TR | AGG | $2.1M | 21,153 | - | new | FIRST | |
| VANGUARD INDEX FDS | VUG | $2.1M | 24,288 | - | new | FIRST | |
| AMERICAN CENTY ETF TR | AVUV | $2.0M | 15,793 | - | new | FIRST | |
| VANGUARD WHITEHALL FDS | VYM | $1.8M | 11,462 | - | new | FIRST | |
| TESLA INC | TSLA | $1.8M | 4,223 | - | new | FIRST | |
| VISA INC | V | $1.8M | 5,161 | - | new | FIRST | |
| VANGUARD INDEX FDS | VTI | $1.7M | 4,648 | - | new | FIRST | |
| PIMCO ETF TR | PYLD | $1.7M | 63,647 | - | new | FIRST | |
| ISHARES TR | AQLT | $1.7M | 53,151 | - | new | FIRST | |
| ISHARES TR | IWF | $1.6M | 12,710 | - | new | FIRST | |
| ISHARES TR | SGOV | $1.5M | 15,187 | - | new | FIRST | |
| ISHARES TR | IEFA | $1.5M | 15,793 | - | new | FIRST | |
| COSTCO WHOLESALE CORPORATION | COST | $1.5M | 1,617 | - | new | FIRST | |
| ISHARES TR | IJH | $1.5M | 19,431 | - | new | FIRST | |
| APPLIED MATLS INC | AMAT | $1.5M | 2,009 | - | new | FIRST | |
| MICRON TECHNOLOGY INC | MU | $1.4M | 1,243 | - | new | FIRST | |
| INVESCO EXCH TRADED FD TR II | QQQM | $1.4M | 4,655 | - | new | FIRST | |
| LAM RESEARCH CORP | LRCX | $1.4M | 3,196 | - | new | FIRST | |
| ADVANCED MICRO DEVICES INC | AMD | $1.4M | 2,381 | - | new | FIRST | |
| ASML HLDG NV | ASML | $1.4M | 691 | - | new | FIRST | |
| HOME DEPOT INC | HD | $1.4M | 3,831 | - | new | FIRST | |
| SANDISK CORP | SNDK | $1.3M | 590 | - | new | FIRST | |
| WALMART INC | WMT | $1.3M | 11,552 | - | new | FIRST | |
| VANGUARD SPECIALIZED FUNDS | VIG | $1.3M | 5,513 | - | new | FIRST | |
| WESTERN DIGITAL CORP | WDC | $1.2M | 1,923 | - | new | FIRST | |
| JOHNSON & JOHNSON | JNJ | $1.1M | 4,457 | - | new | FIRST | |
| AMGEN INC | AMGN | $1.1M | 2,910 | - | new | FIRST | |
| ABBVIE INC | ABBV | $1.0M | 4,154 | - | new | FIRST | |
| ISHARES INC | IEMG | $989.4K | 11,944 | - | new | FIRST | |
| AFLAC INC | AFL | $843.3K | 7,192 | - | new | FIRST | |
| GLOBAL PMTS INC | GPN | $814.1K | 11,219 | - | new | FIRST | |
| NETFLIX INC | NFLX | $813.5K | 11,393 | - | new | FIRST | |
| CATERPILLAR INC | CAT | $765.7K | 719 | - | new | FIRST | |
| AMPHENOL CORP | APH | $753.8K | 4,275 | - | new | FIRST | |
| ARISTA NETWORKS INC | ANET | $706.0K | 4,156 | - | new | FIRST | |
| MASTERCARD INCORPORATED | MA | $691.4K | 1,346 | - | new | FIRST | |
| COCA-COLA EUROPACIFIC PARTNE | CCEP | $690.0K | 6,895 | - | new | FIRST | |
| CISCO SYS INC | CSCO | $657.0K | 5,594 | - | new | FIRST | |
| GE AEROSPACE | GE | $650.3K | 1,740 | - | new | FIRST | |
| JPMORGAN CHASE & CO | JPM | $635.7K | 1,942 | - | new | FIRST | |
| ASE TECHNOLOGY HLDG CO LTD | ASX | $635.3K | 14,081 | - | new | FIRST | |
| KLA CORP | KLAC | $623.6K | 2,067 | - | new | FIRST | |
| SPDR SERIES TRUST | SPYG | $609.5K | 5,122 | - | new | FIRST | |
| TRUIST FINL CORP | TFC | $604.6K | 12,135 | - | new | FIRST | |
| NOVARTIS AG | NVS | $600.9K | 3,834 | - | new | FIRST | |
| SPDR SERIES TRUST | SPTM | $589.5K | 6,493 | - | new | FIRST | |
| EXXON MOBIL CORP | XOMXXXX | $570.5K | 4,173 | - | new | FIRST | |
| LINDE PLC | LIN | $543.3K | 1,047 | - | new | FIRST | |
| VANGUARD SCOTTSDALE FDS | VONV | $542.0K | 5,098 | - | new | FIRST | |
| ISHARES TR | MTUM | $519.7K | 1,516 | - | new | FIRST | |
| GE VERNOVA INC | GEV | $511.1K | 435 | - | new | FIRST | |
| BANK OF AMER CORP | BAC | $503.9K | 8,843 | - | new | FIRST | |
| PROGRESSIVE CORP | PGR | $502.0K | 2,298 | - | new | FIRST | |
| PALO ALTO NETWORKS INC | PANW | $499.6K | 1,465 | - | new | FIRST | |
| ISHARES TR | IVE | $499.5K | 2,200 | - | new | FIRST | |
| DEERE & CO | DE | $498.6K | 786 | - | new | FIRST | |
| CHEVRON CORPORATION | CVX | $493.5K | 2,977 | - | new | FIRST | |
| UNITED MICROELECTRONICS CORP | UMC | $481.4K | 17,691 | - | new | FIRST | |
| PROCTER & GAMBLE CO | PG | $459.9K | 3,136 | - | new | FIRST | |
| ASTRAZENECA PLC | AZN | $450.5K | 2,376 | - | new | FIRST | |
| FEDEX CORP | FDX | $443.7K | 1,417 | - | new | FIRST | |
| VERTEX PHARMACEUTICALS INC | VRTX | $436.1K | 878 | - | new | FIRST | |
| UNION PAC CORP | UNP | $436.0K | 1,603 | - | new | FIRST | |
| ORACLE CORP | ORCL | $424.5K | 2,896 | - | new | FIRST | |
| ISHARES TR | MUB | $423.2K | 3,932 | - | new | FIRST | |
| MERCK & CO INC | MRK | $421.9K | 3,283 | - | new | FIRST | |
| PHILIP MORRIS INTL INC | PM | $409.4K | 2,263 | - | new | FIRST | |
| CVS HEALTH CORP | CVS | $392.3K | 3,792 | - | new | FIRST | |
| SPACE EXPLORATION TECHN CORP | SPCX | $391.8K | 2,293 | - | new | FIRST | |
| ISHARES TR | IWM | $380.1K | 1,265 | - | new | FIRST | |
| SHINHAN FINANCIAL GROUP CO L | SHG | $355.6K | 5,622 | - | new | FIRST | |
| SPDR INDEX SHS FDS | SPDW | $345.0K | 6,846 | - | new | FIRST | |
| KB FINL GROUP INC | KB | $335.6K | 3,198 | - | new | FIRST | |
| ICICI BANK LIMITED | IBN | $333.8K | 11,497 | - | new | FIRST | |
| TJX COS INC NEW | TJX | $330.3K | 2,180 | - | new | FIRST | |
| VERIZON COMMUNICATIONS INC | VZ | $330.0K | 7,794 | - | new | FIRST | |
| AMERICAN EXPRESS CO | AXP | $328.5K | 971 | - | new | FIRST | |
| GOLDMAN SACHS GROUP INC | GS | $327.7K | 324 | - | new | FIRST | |
| RTX CORPORATION | RTX | $325.1K | 1,714 | - | new | FIRST | |
| VERTIV HOLDINGS CO | VRT | $324.8K | 970 | - | new | FIRST | |
| WOORI FINL GROUP INC | WF | $324.3K | 5,650 | - | new | FIRST | |
| SPDR INDEX SHS FDS | SPGM | $324.2K | 3,784 | - | new | FIRST | |
| SOUTHERN COPPER CORP | SCCO | $319.1K | 1,831 | - | new | FIRST | |
| EATON CORP PLC | ETN | $313.6K | 736 | - | new | FIRST | |
| ISHARES TR | ITOT | $307.7K | 1,873 | - | new | FIRST | |
| CUMMINS INC | CMI | $303.8K | 426 | - | new | FIRST | |
| CORNING INC | GLW | $303.5K | 1,188 | - | new | FIRST | |
| SELECT SECTOR SPDR TR | XLE | $290.4K | 5,468 | - | new | FIRST | |
| MCDONALDS CORP | MCD | $288.7K | 1,068 | - | new | FIRST | |
| PALANTIR TECHNOLOGIES INC | PLTR | $281.9K | 2,416 | - | new | FIRST | |
| INTERNATIONAL BUSINESS MACHS | IBM | $275.1K | 978 | - | new | FIRST | |
| BHP BILLITON LIMITED | BHP | $271.4K | 3,258 | - | new | FIRST | |
| UNITEDHEALTH GROUP INC | UNH | $271.0K | 652 | - | new | FIRST | |
| DR REDDYS LABS LTD | RDY | $268.1K | 18,505 | - | new | FIRST | |
| ISHARES TR | IWY | $265.9K | 915 | - | new | FIRST | |
| INTUITIVE SURGICAL INC | ISRG | $262.1K | 659 | - | new | FIRST | |
| HDFC BANK LTD | HDB | $260.1K | 10,068 | - | new | FIRST | |
| TRANE TECHNOLOGIES PLC | TT | $259.3K | 528 | - | new | FIRST | |
| MONSTER BEVERAGE CORP NEW | MNST | $254.8K | 2,651 | - | new | FIRST | |
| MARRIOTT INTL INC NEW | MAR | $252.7K | 682 | - | new | FIRST | |
| BRITISH AMERN TOB PLC | BTI | $249.0K | 4,032 | - | new | FIRST | |
| QUANTA SVCS INC | PWR | $241.9K | 336 | - | new | FIRST | |
| LG DISPLAY CO LTD | LPL | $241.2K | 61,999 | - | new | FIRST | |
| EMERSON ELEC CO | EMR | $240.3K | 1,679 | - | new | FIRST | |
| VANGUARD TAX-MANAGED FDS | VEA | $236.2K | 3,315 | - | new | FIRST | |
| 3M CO | MMM | $235.1K | 1,452 | - | new | FIRST | |
| INTEL CORP | INTC | $234.9K | 1,682 | - | new | FIRST | |
| PINNACLE FINL PARTNERS INC | PNFP | $234.8K | 2,327 | - | new | FIRST | |
| CLOUDFLARE INC | NET | $227.4K | 927 | - | new | FIRST | |
| INVESCO QQQ TR | QQQ | $226.1K | 307 | - | new | FIRST | |
| SELECT SECTOR SPDR TR | XLK | $224.6K | 1,179 | - | new | FIRST | |
| OREILLY AUTOMOTIVE INC | ORLY | $220.3K | 2,392 | - | new | FIRST | |
| ALTRIA GROUP INC | MO | $218.9K | 3,042 | - | new | FIRST | |
| GSK PLC | GSK | $216.2K | 4,124 | - | new | FIRST | |
| POSCO HOLDINGS INC | PKX | $213.7K | 4,159 | - | new | FIRST | |
| WELLS FARGO & CO | WFC | $203.6K | 2,464 | - | new | FIRST | |
| ROYAL CARIBBEAN GROUP | RCL | $201.0K | 633 | - | new | FIRST | |
| WIPRO LTD | WIT | $175.1K | 77,837 | - | new | FIRST | |
| CIA ENERGETICA DE MINAS GERA | CIG | $33.9K | 16,136 | - | new | FIRST |
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.
| Sector | Value | Share |
|---|---|---|
| Food, Drink & Tobacco | $64.0M | 25.6% |
| Semiconductors & Electronics | $25.9M | 10.3% |
| Software & IT Services | $19.8M | 7.9% |
| Industrials | $16.8M | 6.7% |
| Computer Hardware | $12.6M | 5.0% |
| Biotech & Pharma | $8.6M | 3.4% |
| Retail & Consumer | $8.6M | 3.4% |
| Banks & Lending | $4.1M | 1.6% |
| Funds & ETFs | $3.8M | 1.5% |
| Other sectors | $18.8M | 7.5% |
| Not classified | $67.3M | 26.9% |
Quarter by quarter
| Quarter | Value | Positions | New | Added | Trimmed | Exited | Top 10 | Days to file |
|---|---|---|---|---|---|---|---|---|
| Q2 2026 | $250.3M | 139 | 0 | 0 | 0 | 0 | 56.5% | 38 |
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.