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ANGELES WEALTH MANAGEMENT, LLC

Q2 2026 13F filing

Updated 46 days ago

632 disclosed positions worth $2.2B

Portfolio value
$2.2B
Total holdings
632
New positions
135
Closed positions
31
Increased
286
Decreased
112
Turnover
26.3%
Filed
2026-07-28

Full holdings

Every line item disclosed in Q2 2026

V

VANGUARD WORLD FD

+402.4%
Value
$252.3M
Shares
2.87M
% Port
11.52%
V

VANGUARD INTL EQUITY INDEX F

+2.9%
Value
$237.8M
Shares
1.52M
% Port
10.86%
V

VANGUARD STAR FDS

+4.7%
Value
$147.1M
Shares
1.72M
% Port
6.72%
S

SPDR SERIES TRUST

+5.1%
Value
$140.5M
Shares
2.31M
% Port
6.42%
V

VANGUARD INDEX FDS

+1.9%
Value
$115M
Shares
167.4K
% Port
5.25%
E

ISHARES TR

+1.4%
Value
$83.8M
Shares
778.7K
% Port
3.83%
S

SCHWAB STRATEGIC TR

+2.8%
Value
$82.1M
Shares
2.43M
% Port
3.75%
V

VANGUARD INTL EQUITY INDEX F

+4.7%
Value
$72.4M
Shares
817.3K
% Port
3.30%
A

APPLE INC

+6.2%
Value
$56M
Shares
193.6K
% Port
2.56%
V
10.VGES

VANGUARD INDEX FDS

+0.2%
Value
$54.3M
Shares
248.9K
% Port
2.48%
S
11.SPY

STATE STR SPDR S&P 500 ETF T

+997.8%
Value
$47.2M
Shares
606.5K
% Port
2.15%
M
12.MSFT

MICROSOFT CORP

+6.2%
Value
$38.4M
Shares
103.1K
% Port
1.76%
N
13.NVDA

NVIDIA CORPORATION

+4.4%
Value
$35.4M
Shares
177.1K
% Port
1.62%
E
14.ETHA

ISHARES INC

+5.6%
Value
$33.6M
Shares
360.7K
% Port
1.54%
A
15.AMZN

AMAZON COM INC

+18.7%
Value
$28.2M
Shares
118.5K
% Port
1.29%
S

SPDR SERIES TRUST

+1.7%
Value
$27.7M
Shares
1.11M
% Port
1.27%
G

ALPHABET INC

+14.6%
Value
$25.9M
Shares
72.5K
% Port
1.18%
E
18.ETHA

ISHARES INC

-4.4%
Value
$22.8M
Shares
112.6K
% Port
1.04%
G

ALPHABET INC

+10.3%
Value
$20.5M
Shares
58.1K
% Port
0.94%
V
20.VGES

VANGUARD WHITEHALL FDS

-0.1%
Value
$19.4M
Shares
122.9K
% Port
0.89%
V
21.VGES

VANGUARD INDEX FDS

+0.6%
Value
$19.4M
Shares
52.4K
% Port
0.89%
E
22.ETHA

ISHARES TR

-0.1%
Value
$17M
Shares
178.4K
% Port
0.78%
A
23.AVGO

BROADCOM INC

+4.8%
Value
$17M
Shares
44.9K
% Port
0.78%
V
24.VGES

VANGUARD INDEX FDS

+503.3%
Value
$13.5M
Shares
156.1K
% Port
0.61%
B

BERKSHIRE HATHAWAY INC DEL

+7.3%
Value
$13.4M
Shares
26.7K
% Port
0.61%
J

JPMORGAN CHASE & CO

+6.6%
Value
$12.5M
Shares
38.1K
% Port
0.57%
V
27.V

VISA INC

+14.3%
Value
$10.7M
Shares
31.3K
% Port
0.49%
C
28.COST

COSTCO WHOLESALE CORPORATION

+6.3%
Value
$10.7M
Shares
11.5K
% Port
0.49%
E
29.ETHA

ISHARES TR

+44.5%
Value
$10.5M
Shares
100.7K
% Port
0.48%
M
30.MU

MICRON TECHNOLOGY INC

+16.7%
Value
$9.9M
Shares
8.6K
% Port
0.45%
L
31.LLY

ELI LILLY & CO

+6.3%
Value
$9.5M
Shares
7.9K
% Port
0.43%
V
32.VVR

INVESCO EXCH TRADED FD TR II

-0.3%
Value
$9M
Shares
443.7K
% Port
0.41%
E
33.ETHA

ISHARES TR

-0.2%
Value
$8.7M
Shares
284.9K
% Port
0.40%
B
34.BLK

ISHARES TR

+10.5%
Value
$8.6M
Shares
104.9K
% Port
0.39%
T
35.TSLA

TESLA INC

+12.5%
Value
$8.2M
Shares
19.5K
% Port
0.38%
T

TAIWAN SEMICONDUCTOR MANUFAC

+2.1%
Value
$7.8M
Shares
16.3K
% Port
0.36%
E
37.ETHA

ISHARES TR

Unchanged
Value
$7.5M
Shares
182.0K
% Port
0.34%
M
38.META

META PLATFORMS INC

-8.8%
Value
$7.4M
Shares
13.2K
% Port
0.34%
E
39.ETHA

ISHARES TR

-0.3%
Value
$7.1M
Shares
70.6K
% Port
0.32%
V
40.VGES

VANGUARD TAX-MANAGED FDS

+12.6%
Value
$6.8M
Shares
95.9K
% Port
0.31%
A
41.ABBV

ABBVIE INC

+12.8%
Value
$5.9M
Shares
23.4K
% Port
0.27%
J
42.JNJ

JOHNSON & JOHNSON

+2.2%
Value
$5.3M
Shares
20.7K
% Port
0.24%
G
43.GLD

SPDR GOLD TR

+52.5%
Value
$5.2M
Shares
14.2K
% Port
0.24%
G
44.GE

GE AEROSPACE

-0.9%
Value
$4.9M
Shares
13.1K
% Port
0.22%
M
45.MRK

MERCK & CO INC

-1.3%
Value
$4.8M
Shares
37.1K
% Port
0.22%
P
46.PWR

QUANTA SVCS INC

-5.1%
Value
$4.7M
Shares
6.5K
% Port
0.21%
L
47.LRCX

LAM RESEARCH CORP

+3.0%
Value
$4.5M
Shares
10.5K
% Port
0.21%
A
48.AMD

ADVANCED MICRO DEVICES INC

+16.9%
Value
$4.5M
Shares
7.7K
% Port
0.21%
P

PLAINS ALL AMERN PIPELINE L

+4.2%
Value
$4.5M
Shares
200.9K
% Port
0.20%
M
50.MA

MASTERCARD INCORPORATED

-0.3%
Value
$4.5M
Shares
8.7K
% Port
0.20%