CFM WEALTH PARTNERS LLC - Q2 2022 holdings

$333 Million is the total value of CFM WEALTH PARTNERS LLC's 162 reported holdings in Q2 2022. The portfolio turnover from Q1 2022 to Q2 2022 was 24.8% .

 Value Shares↓ Weighting
AAPL SellAPPLE INCORPORATED$42,066,000
-23.3%
307,680
-2.0%
12.63%
-3.8%
XOM SellEXXON MOBIL CORPORATION$13,935,000
+2.6%
162,711
-1.0%
4.18%
+28.7%
GOOGL SellALPHABET INCORPORATED CAP STK CLASS A$12,590,000
-22.8%
5,777
-1.5%
3.78%
-3.2%
MSFT SellMICROSOFT CORPORATION$12,141,000
-22.1%
47,272
-6.5%
3.64%
-2.3%
CRM SellSALESFORCE INCORPORATED$7,329,000
-23.5%
44,410
-1.5%
2.20%
-4.0%
V SellVISA INCORPORATED COM CLASS A$6,058,000
-12.0%
30,767
-0.8%
1.82%
+10.4%
GOOG SellALPHABET INCORPORATED CAP STK CLASS C$5,412,000
-26.3%
2,474
-5.9%
1.62%
-7.6%
HD SellHOME DEPOT INCORPORATED$4,811,000
-12.9%
17,542
-4.9%
1.44%
+9.2%
PANW SellPALO ALTO NETWORKS INCORPORATED$4,584,000
-20.8%
9,281
-0.2%
1.38%
-0.6%
ORLY SellOREILLY AUTOMOTIVE INCORPORATED$4,398,000
-8.1%
6,962
-0.4%
1.32%
+15.2%
FB SellMETA PLATFORMS INCORPORATED CLASS A$4,208,000
-29.2%
26,098
-2.3%
1.26%
-11.2%
IWR SellISHARES TR RUS MID CAP ETFexchange traded funds$4,152,000
-17.9%
64,210
-0.9%
1.25%
+2.9%
QQQ SellINVESCO QQQexchange traded funds$3,797,000
-24.9%
13,549
-2.9%
1.14%
-5.9%
AMD SellADVANCED MICRO DEVICES INCORPORATED$3,703,000
-34.2%
48,425
-5.9%
1.11%
-17.5%
USMV SellISHARES TR MSCI USA MIN VOLexchange traded funds$3,675,000
-10.0%
52,339
-0.6%
1.10%
+12.9%
SHW SellSHERWIN WILLIAMS COMPANY$3,593,000
-11.4%
16,047
-1.2%
1.08%
+11.0%
EPD SellENTERPRISE PRODUCTS PARTNERS L Pmaster limited partnership$3,553,000
-6.3%
145,774
-0.8%
1.07%
+17.4%
PYPL SellPAYPAL HLDGS INCORPORATED$3,470,000
-41.2%
49,688
-2.6%
1.04%
-26.2%
MO SellALTRIA GROUP INCORPORATED$3,434,000
-20.8%
82,203
-0.9%
1.03%
-0.7%
MA SellMASTERCARD INCORPORATED CLASS A$3,089,000
-14.6%
9,791
-3.3%
0.93%
+7.0%
SPY SellSPDR S&P 500 ETFexchange traded funds$2,741,000
-16.9%
7,265
-0.5%
0.82%
+4.3%
SBUX SellSTARBUCKS CORPORATION$2,729,000
-19.5%
35,720
-4.1%
0.82%
+1.0%
JPM SellJPMORGAN CHASE & COMPANY$2,479,000
-20.6%
22,017
-3.9%
0.74%
-0.5%
ASO SellACADEMY SPORTS & OUTDOORS INCORPORATED$2,376,000
-12.8%
66,864
-3.3%
0.71%
+9.4%
VOO SellVANGUARD INDEX FUNDS S&P 500 ETF SHS NEWexchange traded funds$2,332,000
-17.9%
6,724
-1.8%
0.70%
+2.9%
PSX SellPHILLIPS 66$2,242,000
-6.4%
27,347
-1.3%
0.67%
+17.5%
IWB SellISHARES TR RUS 1000 ETFexchange traded funds$2,216,000
-17.7%
10,665
-1.0%
0.66%
+3.1%
SPT SellSPROUT SOCIAL INCORPORATED COM CLASS A$2,062,000
-30.0%
35,503
-3.5%
0.62%
-12.2%
DIS SellDISNEY WALT COMPANY$1,780,000
-32.3%
18,857
-1.7%
0.53%
-15.2%
PFE SellPFIZER INCORPORATED$1,591,000
+0.3%
30,353
-1.0%
0.48%
+25.8%
SLY SellSPDR S&P 600 SMALL CAP ETFexchange traded funds$1,563,000
-16.7%
19,512
-2.8%
0.47%
+4.5%
NET SellCLOUDFLARE INCORPORATED CLASS A COM$1,541,000
-64.0%
35,228
-1.5%
0.46%
-54.8%
MMP SellMAGELLAN MIDSTREAM PRTNRS LP COM UNIT RP LPmaster limited partnership$1,491,000
-6.3%
31,223
-3.7%
0.45%
+17.6%
ACLS SellAXCELIS TECHNOLOGIES INCORPORATED COM NEW$1,469,000
-29.1%
26,789
-2.4%
0.44%
-11.1%
AMAT SellAPPLIED MATLS INCORPORATED$1,469,000
-35.1%
16,151
-6.0%
0.44%
-18.6%
TENB SellTENABLE HLDGS INCORPORATED$1,460,000
-23.8%
32,153
-3.0%
0.44%
-4.6%
KKR SellKKR & COMPANY INCORPORATED$1,389,000
-25.4%
30,022
-5.8%
0.42%
-6.5%
CRWD SellCROWDSTRIKE HLDGS INCORPORATED CLASS A$1,310,000
-29.1%
7,772
-4.5%
0.39%
-11.1%
COP SellCONOCOPHILLIPS$1,300,000
-19.6%
14,471
-10.5%
0.39%
+0.8%
TSLA SellTESLA INCORPORATED$1,269,000
-39.0%
1,884
-2.4%
0.38%
-23.5%
SQ SellBLOCK INCORPORATED CLASS A$1,179,000
-55.6%
19,179
-2.1%
0.35%
-44.3%
PWR SellQUANTA SVCS INCORPORATED$1,058,000
-11.4%
8,443
-6.9%
0.32%
+11.2%
YUM SellYUM BRANDS INCORPORATED$986,000
-8.4%
8,688
-4.3%
0.30%
+14.7%
MTUM SellISHARES TR MSCI USA MMENTMexchange traded funds$925,000
-32.9%
6,782
-17.2%
0.28%
-15.8%
VZ SellVERIZON COMMUNICATIONS INCORPORATED$912,000
-1.0%
17,961
-0.7%
0.27%
+24.5%
NFLX SellNETFLIX INCORPORATED$897,000
-57.8%
5,130
-9.6%
0.27%
-47.2%
JAZZ SellJAZZ PHARMACEUTICALS PLC SHS USDordinary shares$821,000
-2.0%
5,262
-2.2%
0.25%
+22.4%
ABT SellABBOTT LABS$799,000
-11.9%
7,350
-4.1%
0.24%
+10.6%
JAMF SellJAMF HLDG CORPORATION$782,000
-36.7%
31,583
-11.0%
0.24%
-20.6%
T SellAT&T INCORPORATED$770,000
-14.8%
36,749
-4.0%
0.23%
+6.9%
INTC SellINTEL CORPORATION$674,000
-25.4%
18,025
-1.1%
0.20%
-6.5%
UNH SellUNITEDHEALTH GROUP INCORPORATED$619,000
-2.5%
1,205
-3.2%
0.19%
+22.4%
BA SellBOEING COMPANY$611,000
-32.0%
4,466
-4.9%
0.18%
-14.9%
GM SellGENERAL MTRS COMPANY$530,000
-43.2%
16,681
-21.8%
0.16%
-28.7%
TRGP SellTARGA RES CORPORATION$483,000
-21.3%
8,101
-0.4%
0.14%
-1.4%
YUMC SellYUM CHINA HLDGS INCORPORATED$450,000
+13.9%
9,286
-2.4%
0.14%
+42.1%
IBM SellINTERNATIONAL BUSINESS MACHINES$441,000
-5.4%
3,124
-12.8%
0.13%
+17.9%
CSCO SellCISCO SYSTEMS INCORPORATED$427,000
-25.3%
10,012
-2.5%
0.13%
-6.6%
ETRN SellEQUITRANS MIDSTREAM CORPORATION$411,000
-28.0%
64,637
-4.4%
0.12%
-10.2%
LOW SellLOWES COMPANIES INCORPORATED$369,000
-35.1%
2,114
-24.8%
0.11%
-18.4%
IJR SellISHARES TR CORE S&P SCP ETFexchange traded funds$356,000
-15.6%
3,850
-1.5%
0.11%
+5.9%
DOW SellDOW INCORPORATED$352,000
-20.5%
6,818
-2.0%
0.11%0.0%
SM SellSM ENERGY COMPANY$349,000
-20.0%
10,209
-8.9%
0.10%
+1.0%
MDT SellMEDTRONIC PLC SHSordinary shares$311,000
-22.2%
3,460
-4.1%
0.09%
-3.1%
ADP SellAUTOMATIC DATA PROCESSING INCORPORATED$308,000
-27.0%
1,465
-21.0%
0.09%
-8.9%
NOW SellSERVICENOW INCORPORATED$300,000
-23.9%
631
-10.9%
0.09%
-4.3%
MMM Sell3M COMPANY$299,000
-15.8%
2,311
-2.8%
0.09%
+5.9%
BAC SellBK OF AMERICA CORPORATION$293,000
-27.7%
9,419
-4.2%
0.09%
-9.3%
IVV SellISHARES TR CORE S&P500 ETFexchange traded funds$292,000
-53.4%
770
-44.2%
0.09%
-41.3%
EFA SellISHARES TR MSCI EAFE ETFexchange traded funds$272,000
-18.8%
4,348
-4.5%
0.08%
+2.5%
C SellCITIGROUP INCORPORATED COM NEW$245,000
-15.5%
5,335
-1.9%
0.07%
+7.2%
TMO SellTHERMO FISHER SCIENTIFIC INCORPORATED$239,000
-30.3%
440
-24.1%
0.07%
-12.2%
ACN SellACCENTURE PLC IRELAND SHS CLASS Aordinary shares$237,000
-30.1%
852
-15.3%
0.07%
-12.3%
DUK SellDUKE ENERGY CORPORATION NEW COM NEW$235,000
-7.8%
2,188
-4.4%
0.07%
+16.4%
BX SellBLACKSTONE INCORPORATED$230,000
-33.3%
2,525
-7.0%
0.07%
-16.9%
SPLV SellINVESCO S&P 500 LOW VOLATILITY ETFexchange traded funds$217,000
-36.5%
3,497
-31.4%
0.06%
-20.7%
SWAN ExitAMPLIFY BLACKSWAN GROWTH & TREASURY CORE ETFexchange traded funds$0-6,398
-100.0%
-0.05%
CVS ExitCVS HEALTH CORPORATION$0-2,007
-100.0%
-0.05%
NOBL ExitPROSHARES S&P 500 DIVIDEND ARISTOCRATS ETFexchange traded funds$0-2,152
-100.0%
-0.05%
IYJ ExitISHARES TR US INDUSTRIALSexchange traded funds$0-1,963
-100.0%
-0.05%
IGIB ExitISHARES TR ISHS 5-10YR INVTexchange traded funds$0-3,838
-100.0%
-0.05%
ACWV ExitISHARES INCORPORATED MSCI GBL MIN VOLexchange traded funds$0-2,108
-100.0%
-0.05%
NEE ExitNEXTERA ENERGY INCORPORATED$0-2,620
-100.0%
-0.05%
IYR ExitISHARES TR U.S. REAL ES ETFexchange traded funds$0-2,053
-100.0%
-0.05%
IWM ExitISHARES TR RUSSELL 2000 ETFexchange traded funds$0-1,097
-100.0%
-0.05%
PH ExitPARKER-HANNIFIN CORPORATION$0-803
-100.0%
-0.06%
ECL ExitECOLAB INCORPORATED$0-1,355
-100.0%
-0.06%
IDXX ExitIDEXX LABS INCORPORATED$0-442
-100.0%
-0.06%
VFC ExitV F CORPORATION$0-4,280
-100.0%
-0.06%
ADI ExitANALOG DEVICES INCORPORATED$0-1,497
-100.0%
-0.06%
UPS ExitUNITED PARCEL SERVICE INCORPORATED CLASS B$0-1,152
-100.0%
-0.06%
SPGI ExitS&P GLOBAL INCORPORATED$0-659
-100.0%
-0.06%
VRSK ExitVERISK ANALYTICS INCORPORATED$0-1,263
-100.0%
-0.06%
PAYC ExitPAYCOM SOFTWARE INCORPORATED$0-791
-100.0%
-0.07%
EEM ExitISHARES TR MSCI EMG MKT ETFexchange traded funds$0-6,294
-100.0%
-0.07%
FAST ExitFASTENAL COMPANY$0-5,133
-100.0%
-0.07%
HEI ExitHEICO CORPORATION NEW$0-2,048
-100.0%
-0.08%
DHR ExitDANAHER CORPORATION$0-1,117
-100.0%
-0.08%
TYL ExitTYLER TECHNOLOGIES INCORPORATED$0-782
-100.0%
-0.08%
WST ExitWEST PHARMACEUTICAL SVSC INCORPORATED$0-951
-100.0%
-0.09%
GLOB ExitGLOBANT S Aordinary shares$0-1,612
-100.0%
-0.10%
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2022-07-12
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
APPLE INCORPORATED16Q3 202314.5%
EXXON MOBIL CORPORATION16Q3 20235.4%
MICROSOFT CORPORATION16Q3 20233.9%
ALPHABET INCORPORATED CAP STK CLASS A16Q3 20234.2%
WILLIAMS COS INC16Q3 20234.0%
NVIDIA CORPORATION16Q3 20236.6%
SALESFORCE INCORPORATED16Q3 20233.5%
PHILIP MORRIS INTL INC16Q3 20232.9%
META PLATFORMS INCORPORATED CLASS A16Q3 20233.4%
VISA INCORPORATED COM CLASS A16Q3 20232.3%

View CFM WEALTH PARTNERS LLC's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-04-15
13F-HR2024-01-12
13F-HR2023-10-11
13F-HR2023-07-14
13F-HR2023-04-12
13F-HR2023-01-20
13F-HR/A2023-01-20
13F-HR2022-10-17
13F-HR2022-07-12
13F-HR2022-04-14

View CFM WEALTH PARTNERS LLC's complete filings history.

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