Ticker | $ Bought |
---|---|
blackrock inc | 5,019,180 |
target corp | 4,794,160 |
ishares tr | 3,522,710 |
alphabet inc | 215,578 |
nvidia corporation | 201,435 |
Ticker | % Inc. |
---|---|
ishares tr | 14.35 |
ishares tr | 14.35 |
ishares tr | 14.35 |
ishares tr | 14.35 |
united parcel service inc | 6.33 |
becton dickinson & co | 5.12 |
hershey co | 3.06 |
realty income corp | 2.13 |
Ticker | % Reduced |
---|---|
nike inc | -8.53 |
walmart inc | -3.56 |
analog devices inc | -3.5 |
kinder morgan inc del | -1.35 |
emerson elec co | -0.82 |
jpmorgan chase & co. | -0.65 |
aflac inc | -0.45 |
american elec pwr co inc | -0.34 |
Ticker | $ Sold |
---|---|
ishares tr | -3,406,380 |
cvs health corp | -3,417,610 |
blackrock inc | -4,622,750 |
VIRGINIA WEALTH MANAGEMENT GROUP, INC. has about 14.3% of it's holdings in Technology sector.
Sector | % |
---|---|
Technology | 14.3 |
Others | 14.2 |
Consumer Defensive | 14.2 |
Financial Services | 13.3 |
Energy | 8.3 |
Consumer Cyclical | 8.3 |
Utilities | 8.2 |
Real Estate | 6.9 |
Industrials | 5.2 |
Healthcare | 5 |
Communication Services | 2.1 |
VIRGINIA WEALTH MANAGEMENT GROUP, INC. has about 83.9% of it's portfolio invested in the large-cap and mega-cap stocks.
Category | % |
---|---|
LARGE-CAP | 58.7 |
MEGA-CAP | 25.2 |
UNALLOCATED | 14.2 |
MID-CAP | 1.9 |
About 82.3% of the stocks held by VIRGINIA WEALTH MANAGEMENT GROUP, INC. either belong to S&P 500 or RUSSELL 2000 index.
Index | % |
---|---|
S&P 500 | 82.3 |
Others | 17.6 |
This heatmap illustrates the top 50 positions within the fund's portfolio.
VIRGINIA WEALTH MANAGEMENT GROUP, INC. has 54 stocks in it's portfolio. About 34.1% of the portfolio is in top 10 stocks. AMGN proved to be the most loss making stock for the portfolio. KMI was the most profitable stock for VIRGINIA WEALTH MANAGEMENT GROUP, INC. last quarter.
Last Reported on: 27 Jan, 2025Ticker | Namesorted descending | % Portfolio | Shares Held | $ Value | Type | % Change | Options | |
---|---|---|---|---|---|---|---|---|
berkshire hathaway inc del | 4.64 | 11.00 | 7,490,120 | unchanged | 0.00 | |||
JPM | jpmorgan chase & co. | 3.84 | 25,882 | 6,204,280 | reduced | -0.65 | ||
KMI | kinder morgan inc del | 3.49 | 205,461 | 5,629,640 | reduced | -1.35 | ||
MSFT | microsoft corp | 3.41 | 13,071 | 5,509,470 | added | 0.44 | ||
AAPL | apple inc | 3.35 | 21,618 | 5,413,650 | added | 0.47 | ||
CB | chubb limited | 3.29 | 19,211 | 5,308,050 | added | 0.6 | ||
blackrock inc | 3.11 | 4,896 | 5,019,180 | new | ||||
DRI | darden restaurants inc | 3.06 | 26,484 | 4,944,300 | added | 1.01 | ||
TGT | target corp | 2.97 | 35,465 | 4,794,160 | new | |||
MAA | mid-amer apt cmntys inc | 2.92 | 30,525 | 4,718,270 | added | 0.81 | ||
SO | southern co | 2.91 | 57,079 | 4,698,730 | added | 0.56 | ||
QCOM | qualcomm inc | 2.82 | 29,665 | 4,557,080 | added | 0.72 | ||
WMT | walmart inc | 2.81 | 50,149 | 4,530,930 | reduced | -3.56 | ||
CSCO | cisco sys inc | 2.72 | 74,294 | 4,398,190 | added | 0.7 | ||
AFL | aflac inc | 2.72 | 42,402 | 4,386,090 | reduced | -0.45 | ||
DUK | duke energy corp new | 2.62 | 39,340 | 4,238,460 | added | 0.87 | ||
PG | procter and gamble co | 2.51 | 24,211 | 4,059,040 | added | 0.05 | ||
MCD | mcdonalds corp | 2.48 | 13,799 | 4,000,330 | added | 0.63 | ||
ACWF | ishares tr | 2.40 | 154,505 | 3,870,350 | added | 14.35 | ||
BGRN | ishares tr | 2.38 | 154,505 | 3,847,180 | added | 14.35 | ||