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Asset Manager ← All Institutions

LPL Financial LLC

4707 EXECUTIVE DRIVE, SAN DIEGO, CA 92121 • 704-733-3300

Q1 2026 · Filed 2026-05-06
Market Value
$374.0B
+2.6%
Holdings
5,637
+92
New Purchases
266
Added To
3,109
Closed
155
Reduced
2,049
Top 10 Concentration
14.0%
Turnover
7.5%

Top Buys (by % of Portfolio)

SymbolCur %Prior %Chg %Value
VONV 0.66% 0.29% +0.37% $2.5B
VONG 0.49% 0.27% +0.22% $1.8B
EFG 0.24% 0.07% +0.17% $881M
DBMF 0.18% 0.04% +0.13% $664M
BLCR 0.12% 0.00% +0.12% $462M
IEFA 1.11% 1.00% +0.11% $4.2B
GOVT 0.86% 0.75% +0.11% $3.2B
XLE 0.25% 0.16% +0.10% $946M
SLYG 0.22% 0.12% +0.09% $805M
XOM 0.32% 0.24% +0.08% $1.2B
BIL 0.41% 0.33% +0.08% $1.5B
CGMM 0.10% 0.02% +0.08% $388M
LMUB 0.08% 0.00% +0.08% $290M
CVX 0.24% 0.17% +0.07% $900M
SPLG 1.20% 1.13% +0.07% $4.5B

Top Sells (by % of Portfolio)

SymbolCur %Prior %Chg %Value
VTI 0.89% 1.30% -0.41% $3.3B
OEF 0.10% 0.43% -0.32% $386M
MSFT 1.02% 1.33% -0.31% $3.8B
IWM 0.25% 0.50% -0.26% $927M
QQQ 1.63% 1.81% -0.18% $6.1B
SPY 1.73% 1.90% -0.17% $6.5B
AAPL 1.61% 1.76% -0.15% $6.0B
VOO 1.02% 1.17% -0.15% $3.8B
SPYG 1.04% 1.18% -0.13% $3.9B
NVDA 1.56% 1.70% -0.13% $5.8B
IJH 0.42% 0.53% -0.11% $1.6B
AMZN 0.93% 1.04% -0.11% $3.5B
VUG 0.63% 0.74% -0.10% $2.4B
META 0.47% 0.55% -0.08% $1.8B
QQQM 0.67% 0.74% -0.08% $2.5B

Sector Allocation Over Time

Industry Breakdown

IndustryWeight
Financial Services 77.9%
Technology 7.8%
Industrials 2.5%
Consumer Cyclical 2.4%
Communication Services 2.3%

Market Cap Concentration

TierHoldingsValueWeight
Mega Cap 82 $92.1B 24.6%
Large Cap 1,049 $187.2B 50.1%
Mid Cap 1,354 $57.8B 15.5%
Small Cap 1,708 $29.3B 7.8%
Micro Cap 1,444 $7.6B 2.0%

Portfolio Analytics

Avg Market Cap
$20.3B
Median Market Cap
$1.4B
Avg P/E
30.8
Median P/E
18.7
Avg Dividend Yield
0.03%
Avg Beta
0.96
# Stocks
2,955
# ETFs / Funds
2,683

Top Holdings (5,637 total)

# Symbol % Port Shares Value Avg Price Q/Q Value Chg Share Chg Chg % Status
1 IVV 2.02% 11,586,990 $7.6B $653.21 $389M +1,104,430 +10.5%
2 SPY 1.73% 9,962,967 $6.5B $650.34 -$456M -207,794 -2.0%
3 QQQ 1.63% 10,558,431 $6.1B $577.18 -$497M -170,856 -1.6%
4 AAPL 1.61% 23,695,604 $6.0B $253.79 -$404M +89,415 +0.4%
5 NVDA 1.56% 33,503,160 $5.8B $174.40 -$341M +347,242 +1.1%
6 SPLG 1.20% 58,660,538 $4.5B $76.54 $358M +7,149,483 +13.9%
7 IEFA 1.11% 46,029,515 $4.2B $90.53 $518M +5,240,582 +12.8%
8 SPYG 1.04% 39,830,479 $3.9B $97.91 -$391M -387,298 -1.0%
9 MSFT 1.02% 10,337,597 $3.8B $370.17 -$1.0B +329,577 +3.3%
10 VOO 1.02% 6,401,368 $3.8B $597.55 -$448M -412,912 -6.1%
11 IEMG 0.97% 52,231,526 $3.6B $69.75 $117M -229,673 -0.4%
12 AMZN 0.93% 16,776,756 $3.5B $208.27 -$312M +285,977 +1.7%
13 VTI 0.89% 10,325,305 $3.3B $320.81 -$1.4B -3,754,475 -26.7%
14 GOVT 0.86% 140,890,662 $3.2B $22.91 $486M +21,803,239 +18.3%
15 QUAL 0.83% 16,156,372 $3.1B $191.81 -$114M -19,728 -0.1%
16 CGDV 0.82% 71,850,473 $3.1B $42.54 $286M +8,359,833 +13.2%
17 SPYV 0.78% 51,485,691 $2.9B $56.58 $67M +1,386,584 +2.8%
18 MBB 0.71% 27,984,290 $2.7B $94.95 $169K +81,121 +0.3%
19 GOOGL 0.68% 8,883,479 $2.6B $287.56 -$167M +187,108 +2.1%
20 DYNF 0.68% 43,801,022 $2.5B $58.18 -$196M -1,330,497 -3.0%
21 QQQM 0.67% 10,526,183 $2.5B $237.62 -$212M -199,708 -1.9%
22 VONV 0.66% 26,151,759 $2.5B $93.74 $1.4B +14,733,438 +129.0%
23 IVW 0.63% 20,889,253 $2.4B $113.11 -$80M +1,072,772 +5.4%
24 VUG 0.63% 5,395,832 $2.4B $436.79 -$322M -95,066 -1.7%
25 IUSG 0.60% 14,379,337 $2.2B $155.11 -$159M +154,735 +1.1%
26 IVE 0.59% 10,505,241 $2.2B $211.15 -$117M -508,018 -4.6%
27 RDVY 0.59% 32,332,134 $2.2B $68.28 $89M +1,828,018 +6.0%
28 VTV 0.59% 11,180,221 $2.2B $196.20 $142M +438,590 +4.1%
29 IUSB 0.58% 47,282,506 $2.2B $46.19 $66M +1,775,051 +3.9%
30 CGGR 0.56% 52,561,577 $2.1B $40.19 $93M +7,150,524 +15.8%
31 XLK 0.56% 15,714,943 $2.1B $132.90 -$212M -262,211 -1.6%
32 IJR 0.55% 16,639,004 $2.1B $124.31 -$38M -886,614 -5.1%
33 AVGO 0.55% 6,643,394 $2.1B $309.51 -$140M +299,266 +4.7%
34 GLD 0.54% 4,735,301 $2.0B $430.29 $132M -73,970 -1.5%
35 VONG 0.49% 16,782,350 $1.8B $109.69 $846M +8,608,153 +105.3%
36 GOOG 0.48% 6,225,801 $1.8B $286.86 -$141M +85,514 +1.4%
37 VEA 0.48% 27,795,967 $1.8B $64.08 -$2M -745,681 -2.6%
38 META 0.47% 3,087,517 $1.8B $572.13 -$238M +50,848 +1.7%
39 IUSV 0.47% 17,225,624 $1.8B $102.25 $79M +819,093 +5.0%
40 SPIB 0.47% 51,974,915 $1.7B $33.54 $85M +2,918,486 +6.0%
41 SPDW 0.46% 38,025,802 $1.7B $45.65 $77M +681,940 +1.8%
42 IWF 0.44% 3,839,355 $1.6B $426.40 -$140M +83,696 +2.2%
43 BRK-B 0.44% 3,408,718 $1.6B $479.20 -$59M +41,312 +1.2%
44 BUFR 0.43% 47,103,344 $1.6B $33.77 $62M +2,481,521 +5.6%
45 JPM 0.42% 5,390,938 $1.6B $294.16 -$173M -68,886 -1.3%
46 IJH 0.42% 23,069,377 $1.6B $67.53 -$364M -6,054,433 -20.8%
47 EFV 0.41% 20,848,511 $1.6B $74.35 $155M +1,312,413 +6.7%
48 SPTI 0.41% 53,851,890 $1.5B $28.66 $136M +5,039,791 +10.3%
49 BIL 0.41% 16,776,336 $1.5B $91.64 $333M +3,601,119 +27.3%
50 VIG 0.40% 7,002,475 $1.5B $215.06 -$13M +92,654 +1.3%
51 DGRO 0.38% 20,236,610 $1.4B $70.18 $118M +1,473,264 +7.8%
52 BND 0.38% 19,093,602 $1.4B $73.64 $29M +506,926 +2.7%
53 AGG 0.37% 13,878,686 $1.4B $99.27 -$29M -206,675 -1.5%
54 RSP 0.34% 6,660,526 $1.3B $191.92 $227M +1,173,578 +21.4%
55 TSLA 0.33% 3,368,120 $1.3B $371.75 -$202M +134,843 +4.2%
56 MUB 0.33% 11,762,384 $1.2B $106.15 $60M +663,075 +6.0%
57 XOM 0.32% 7,125,105 $1.2B $169.66 $328M -198,591 -2.7%
58 JNJ 0.32% 4,898,849 $1.2B $244.44 $154M -143,241 -2.8%
59 SPSM 0.32% 24,590,961 $1.2B $48.32 -$77M -2,399,316 -8.9%
60 COWZ 0.31% 18,606,409 $1.2B $62.56 $38M -102,124 -0.6%
61 COST 0.30% 1,113,122 $1.1B $996.43 $190M +46,785 +4.4%
62 WMT 0.30% 8,904,910 $1.1B $124.28 $121M +53,611 +0.6%
63 LLY 0.29% 1,196,696 $1.1B $919.77 -$158M +25,134 +2.1%
64 SGOV 0.29% 10,856,515 $1.1B $100.66 $210M +2,060,160 +23.4%
65 SCHG 0.29% 37,283,856 $1.1B $29.13 -$28M +3,117,202 +9.1%
66 SMH 0.29% 2,824,700 $1.1B $383.40 $107M +114,825 +4.2%
67 CGUS 0.29% 28,053,759 $1.1B $38.42 $123M +4,319,582 +18.2%
68 VO 0.27% 3,577,437 $1.0B $287.18 $75M +295,193 +9.0%
69 DGRW 0.27% 11,527,081 $1.0B $87.84 -$80M -692,506 -5.7%
70 JPST 0.27% 19,901,775 $1.0B $50.61 $15M +280,875 +1.4%
71 VYM 0.27% 6,759,886 $1.0B $148.10 $22M -60,233 -0.9%
72 XLF 0.27% 20,178,033 $996M $49.37 -$194M -1,547,590 -7.1%
73 SDVY 0.26% 24,870,852 $981M $39.43 $27M -21,317 -0.1%
74 SCHD 0.25% 30,861,601 $947M $30.68 $65M -1,291,833 -4.0%
75 XLE 0.25% 15,447,428 $946M $61.26 $371M +2,573,216 +20.0%
76 JEPQ 0.25% 16,876,937 $937M $55.52 $72M +1,993,383 +13.4%
77 VCIT 0.25% 11,226,310 $929M $82.75 $16M +330,817 +3.0%
78 XLV 0.25% 6,333,092 $928M $146.61 -$88M -230,221 -3.5%
79 IWM 0.25% 3,737,240 $927M $248.00 -$906M -3,709,737 -49.8%
80 IWD 0.24% 4,284,792 $916M $213.67 $13M -5,710 -0.1%
81 SPHQ 0.24% 12,165,867 $915M $75.19 $20M +248,502 +2.1%
82 JBND 0.24% 16,888,797 $908M $53.77 $199M +3,769,643 +28.7%
83 IWB 0.24% 2,536,712 $904M $356.56 -$11M +85,699 +3.5%
84 BAI 0.24% 27,365,121 $902M $32.95 $122M +3,958,770 +16.9%
85 CVX 0.24% 4,352,184 $900M $206.90 $270M +218,175 +5.3%
86 IAU 0.24% 10,179,920 $897M $88.16 -$218M -3,562,366 -25.9%
87 VTIP 0.24% 17,789,030 $889M $49.95 -$26M -701,306 -3.8%
88 V 0.24% 2,928,554 $885M $302.24 -$152M -29,934 -1.0%
89 VWO 0.24% 16,343,095 $883M $54.05 -$3M -135,215 -0.8%
90 EFG 0.24% 7,906,644 $881M $111.37 $635M +5,750,000 +266.6%
91 VGT 0.23% 1,252,584 $874M $697.72 -$107M -49,338 -3.8%
92 VB 0.23% 3,322,073 $870M $261.92 -$139M -591,321 -15.1%
93 ABBV 0.23% 3,945,266 $858M $217.49 -$22M +92,169 +2.4%
94 ITOT 0.23% 5,929,433 $845M $142.43 -$96M -394,791 -6.2%
95 XLI 0.22% 5,116,989 $828M $161.73 $65M +202,910 +4.1%
96 TLH 0.22% 8,209,020 $827M $100.72 -$113M -1,035,977 -11.2%
97 BINC 0.22% 15,777,188 $819M $51.93 -$4M +166,726 +1.1%
98 MTUM 0.22% 3,366,370 $808M $239.99 -$16M +74,513 +2.3%
99 THRO 0.22% 22,288,405 $807M $36.22 $22M +1,913,437 +9.4%
100 SLYG 0.22% 8,332,950 $805M $96.62 $364M +3,653,444 +78.1%

Options Breakdown

95 Calls $63M Call Value 156 Puts $323M Put Value 5.1 P/C Ratio

Top Calls

SymbolSharesValueStatus
META 10,000 $6M
SPY 8,600 $6M
COST 5,000 $5M
AMZN 19,800 $4M
QQQ 5,500 $3M
NVDA 16,800 $3M
MSFT 7,800 $3M
CSX 55,000 $2M
IGV 26,700 $2M NEW
JD 55,200 $2M

Top Puts

SymbolSharesValueStatus
SPY 210,100 $137M
QQQ 50,300 $29M
AAPL 45,800 $12M
META 15,000 $9M
BABA 58,700 $7M
BA 27,700 $6M
APP 13,400 $5M
COST 5,100 $5M
IWM 20,200 $5M
MSFT 13,000 $5M

New Positions

SymbolValue% Port
BLCR $462M 0.12%
LMUB $290M 0.08%
AZN $129M 0.03%
BENJ $46M 0.01%
FSCC $25M 0.01%
HBTA $23M 0.01%
BGIG $19M 0.01%
CRUX $18M —%
AVNM $15M —%
FLCC $11M —%
TMB $9M —%
EMOP $8M —%
BNO $7M —%
SEPI $7M —%
FCUS $7M —%

Sold Out Positions

SymbolValue% Port
NRGV —%
CPAC —%
RYAM —%
GPGI —%
ABM —%
WD —%
WHD —%
CTS —%
FVRR —%
MTW —%
HMN —%
GHI —%
BGX —%
BUXX —%
BBW —%
View SEC EDGAR Filings for LPL Financial LLC →

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms