Unique Wealth Strategies, LLC quarter change: USA Stocks, Added
In share positions in stocks (listed in the US), from the quarter ended 2026-03-31 to 2026-06-30, Unique Wealth Strategies, LLC opened 49 positions, added to 36, reduced 65, sold out of 41 and left 3 unchanged. The largest increase in value was AMAT (+$2,073,108); the largest decrease was SBUX (-$1,133,107).
- GOOGL: Country of operation United States; Class CAP STK CL A; Shares 2026-03-31 18,994; Shares 2026-06-30 20,387.
- NVDA: Country of operation United States; Class COM; Shares 2026-03-31 24,463; Shares 2026-06-30 26,338.
- NFLX: Country of operation United States; Class COM; Shares 2026-03-31 2,974; Shares 2026-06-30 15,398.
- BDX: Country of operation United States; Class COM; Shares 2026-03-31 4,353; Shares 2026-06-30 9,142.
Two Form 13F-HR filings compared (SEC CIK 2009809): 2026-03-31 (filed 2026-07-15) and 2026-06-30 (filed 2026-07-15). Rows for the same security, class and put/call are added together. Value change is the filed value at each quarter end, so it includes the price move; share change is the position change.
| Stock | Country of operation | Class | Shares 2026-03-31 | Shares 2026-06-30 | Share change | Value 2026-03-31 | Value 2026-06-30 | Value change |
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GOOGL ALPHABET INC | United States | CAP STK CL A | 18,994 | 20,387 | +1,393 | $5,461,977 | $7,285,751 | +$1,823,774 |
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NVDA NVIDIA CORPORATION | United States | COM | 24,463 | 26,338 | +1,875 | $4,266,298 | $5,270,029 | +$1,003,731 |
|---|
NFLX NETFLIX INC. | United States | COM | 2,974 | 15,398 | +12,424 | $285,979 | $1,099,389 | +$813,410 |
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BDX BECTON DICKINSON & CO | United States | COM | 4,353 | 9,142 | +4,789 | $684,485 | $1,383,494 | +$699,009 |
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GD GENERAL DYNAMICS CORP | United States | COM | 3,626 | 5,348 | +1,722 | $1,244,440 | $1,894,631 | +$650,191 |
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ICE INTERCONTINENTAL EXCHANGE IN | United States | COM | 3,335 | 8,163 | +4,828 | $524,535 | $1,004,954 | +$480,419 |
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KLAC KLA CORP | United States | COM NEW | 378 | 3,130 | +2,752 | $556,803 | $944,336 | +$387,533 |
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FTDR FRONTDOOR INC | United States | COM | 8,220 | 10,173 | +1,953 | $434,533 | $789,359 | +$354,826 |
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BKNG BOOKING HOLDINGS INC | United States | COM | 704 | 18,611 | +17,907 | $2,965,508 | $3,317,309 | +$351,801 |
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ABBV ABBVIE INC | United States | COM | 2,710 | 3,306 | +596 | $589,315 | $832,031 | +$242,716 |
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CARG CARGURUS INC | United States | COM CL A | 16,188 | 23,253 | +7,065 | $551,207 | $792,712 | +$241,505 |
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JPM JPMORGAN CHASE & CO | United States | COM | 4,976 | 5,143 | +167 | $1,463,844 | $1,683,374 | +$219,530 |
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MHH MASTECH HLDGS INC | United States | COM | 67,298 | 77,298 | +10,000 | $382,926 | $597,514 | +$214,588 |
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TDC TERADATA CORP DEL | United States | COM | 17,885 | 19,188 | +1,303 | $458,387 | $664,848 | +$206,461 |
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TPR TAPESTRY INC | United States | COM | 3,558 | 4,736 | +1,178 | $502,019 | $693,242 | +$191,223 |
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COF CAPITAL ONE FINL CORP | United States | COM | 3,367 | 3,914 | +547 | $614,308 | $785,198 | +$170,890 |
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QS QUANTUMSCAPE CORP | United States | COM CL A | 109,400 | 112,625 | +3,225 | $697,972 | $851,445 | +$153,473 |
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F FORD MTR CO | United States | COM | 47,408 | 49,784 | +2,376 | $547,090 | $691,994 | +$144,904 |
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YOU CLEAR SECURE INC | United States | COM CL A | 10,700 | 11,880 | +1,180 | $517,968 | $662,063 | +$144,095 |
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BRKB BERKSHIRE HATHAWAY INC DEL | | CL B NEW | 5,387 | 5,429 | +42 | $2,581,450 | $2,716,617 | +$135,167 |
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CCEP COCA-COLA EUROPACIFIC PARTNE | | SHS | 5,927 | 6,519 | +592 | $537,404 | $652,380 | +$114,976 |
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DHI D R HORTON INC | United States | COM | 3,781 | 3,888 | +107 | $518,829 | $633,277 | +$114,448 |
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MSFT MICROSOFT CORP | United States | COM | 10,928 | 11,138 | +210 | $4,045,142 | $4,154,560 | +$109,418 |
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AMGN AMGEN INC | United States | COM | 1,951 | 2,190 | +239 | $686,421 | $793,195 | +$106,774 |
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BR BROADRIDGE FINL SOLUTIONS IN | United States | COM | 3,072 | 3,194 | +122 | $499,141 | $437,421 | -$61,720 |
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PEP PEPSICO INC | United States | COM | 3,900 | 4,021 | +121 | $605,624 | $544,495 | -$61,129 |
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MDT MEDTRONIC PLC | Ireland | SHS | 10,309 | 10,663 | +354 | $893,275 | $834,166 | -$59,109 |
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GLD SPDR GOLD TR | United States | GOLD SHS | 1,115 | 1,170 | +55 | $479,773 | $431,005 | -$48,768 |
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META META PLATFORMS INC | United States | CL A | 8,378 | 8,586 | +208 | $4,793,102 | $4,836,574 | +$43,472 |
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AMRZ AMRIZE LTD | | SHS | 11,800 | 11,830 | +30 | $661,036 | $630,539 | -$30,497 |
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LHX L3HARRIS TECHNOLOGIES INC | United States | COM | 1,682 | 2,063 | +381 | $580,698 | $599,532 | +$18,834 |
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EA ELECTRONIC ARTS INC | United States | COM | 2,900 | 2,974 | +74 | $591,305 | $609,804 | +$18,499 |
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NEM NEWMONT CORP | United States | COM | 5,605 | 6,307 | +702 | $606,714 | $589,103 | -$17,611 |
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FERG FERGUSON ENTERPRISES INC | | COMMON STOCK NEW | 1,941 | 1,975 | +34 | $452,758 | $468,727 | +$15,969 |
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OMC OMNICOM GROUP INC | United States | COM | 7,531 | 8,005 | +474 | $567,174 | $582,974 | +$15,800 |
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APD AIR PRODUCTS AND CHEMICALS I | United States | COM | 4,406 | 4,417 | +11 | $1,280,023 | $1,294,850 | +$14,827 |
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