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Portfolio (Quarterly) Guide ↗

Modera Wealth Management, LLC

· CIK 0001542143
13F Portfolio $8.3B AUM 635 positions Filed May 6, 2026 EDGAR ↗ ← All Funds
Q1 2026 Q4 2025 · All 40 New 150 Added 333 Reduced 48 Exited
Page 8 of 17  ·  333 positions
# Ticker Company Sector Shares Value ↓ % Port Chg Shares Chg % Period Price ① Since Period ①
141 DE DEERE & CO Industrials 6,220.0 $3.5M 0.04% -59.0 -0.9% $563.26 +4.6%
142 INTC INTEL CORP Technology 72,238.0 $3.2M 0.04% -3K -3.6% $44.13 +203.6%
143 MDYV SPDR SERIES TRUST 37,362.0 $3.2M 0.04% -13K -26.2% $85.15 +9.8%
144 PM PHILIP MORRIS INTL INC Consumer Defensive 19,089.0 $3.2M 0.04% -5K -21.0% $165.34 +7.9%
145 ESGV VANGUARD WORLD FD 28,106.0 $3.2M 0.04% -954.0 -3.3% $112.27 +17.9%
146 VWOB VANGUARD WHITEHALL FDS 47,733.0 $3.1M 0.04% -17K -26.6% $65.69 +2.7%
147 JMSI J P MORGAN EXCHANGE TRADED F 60,995.0 $3.0M 0.04% -3K -5.2% $49.75 +1.0%
148 PYPL PAYPAL HLDGS INC Financial Services 64,136.0 $2.9M 0.04% -5K -7.5% $45.23 -6.0%
149 GE GE AEROSPACE Industrials 10,148.0 $2.9M 0.04% -58.0 -0.6% $283.77 +26.0%
150 IQVIA HLDGS INC 16,512.0 $2.8M 0.03% -650.0 -3.8% $170.54
151 GS GOLDMAN SACHS GROUP INC Financial Services 3,294.0 $2.8M 0.03% -918.0 -21.8% $846.04 +29.6%
152 SPSM SPDR SERIES TRUST 57,079.0 $2.8M 0.03% -13K -18.1% $48.32 +15.6%
153 LOGI LOGITECH INTL S A Technology 29,639.0 $2.7M 0.03% -2K -6.7% $91.12 +18.1%
154 CMCSA COMCAST CORP NEW Communication Services 93,328.0 $2.7M 0.03% -15K -13.5% $28.71 -21.9%
155 CVS CVS HEALTH CORP Healthcare 37,116.0 $2.7M 0.03% -2K -5.0% $71.82 +36.9%
156 GPN GLOBAL PMTS INC Industrials 39,513.0 $2.7M 0.03% -402.0 -1.0% $67.30 -0.6%
157 SCHV SCHWAB STRATEGIC TR 86,666.0 $2.6M 0.03% -39K -30.9% $30.50 +13.3%
158 XBI SPDR SERIES TRUST 20,635.0 $2.6M 0.03% -382.0 -1.8% $127.73 +10.2%
159 GPC GENUINE PARTS CO Consumer Cyclical 24,297.0 $2.6M 0.03% -254.0 -1.0% $105.75 +2.8%
160 GLW CORNING INC Technology 18,819.0 $2.6M 0.03% -4K -18.2% $135.97 +43.4%
Page 8 of 17  ·  333 positions

Period Price is the implied market price on the last day of the reporting period, calculated as reported value ÷ shares held. It is not the fund's purchase price or cost basis — the fund may have initiated or added to the position at any point during the quarter at a different price. Since Period shows the price change from that quarter-end snapshot to today's last price — it reflects stock movement after the report date, not the fund's actual return.

Sector Allocation
Technology 33.6%
Financial Services 18.1%
Healthcare 11.7%
Consumer Cyclical 10.0%
Industrials 8.9%
Communication Services 8.0%
Consumer Defensive 6.2%
Energy 1.4%
Basic Materials 1.2%
Utilities 0.8%