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Portfolio (Quarterly) Guide ↗

Rialto Wealth Management, LLC

· CIK 0002054966
13F Portfolio $505M AUM 1,934 positions Filed Aug 11, 2026 EDGAR ↗ ← All Funds
Q2 2026 Q1 2026 · All 292 New 1015 Added 257 Reduced 88 Exited
Page 17 of 51  ·  1,015 positions
# Ticker Company Sector Shares Value ↓ % Port Chg Shares Chg % Period Price ① Since Period ①
321 SMURFIT WESTROCK PLC 150.0 $7K 0.00% +80.0 +114.3% $46.26
322 SPG SIMON PPTY GROUP INC NEW Real Estate 31.0 $7K 0.00% +7.0 +29.2% $223.68 -1.7%
323 CIFR CIPHER DIGITAL INC Financial Services 283.0 $7K 0.00% +218.0 +335.4% $24.50 -33.3%
324 BA BOEING CO Industrials 32.0 $7K 0.00% +7.0 +28.0% $216.50 -2.8%
325 WCC WESCO INTL INC Industrials 20.0 $7K 0.00% +1.0 +5.3% $345.45 -1.4%
326 ADT ADT INC DEL Industrials 1,048.0 $7K 0.00% +153.0 +17.1% $6.50 +14.7%
327 NTAP NETAPP INC Technology 44.0 $7K 0.00% +10.0 +29.4% $154.77 +21.3%
328 IVZ INVESCO LTD Financial Services 258.0 $7K 0.00% +104.0 +67.5% $26.39 +24.7%
329 GWW WW GRAINGER INC Industrials 5.0 $7K 0.00% +2.0 +66.7% $1360.40 -4.2%
330 MCK MCKESSON CORP Healthcare 9.0 $7K 0.00% +4.0 +80.0% $755.67 +19.1%
331 STRL STERLING INFRASTRUCTURE INC Industrials 8.0 $7K 0.00% +1.0 +14.3% $839.38 -42.6%
332 APA APA CORPORATION Energy 204.0 $7K 0.00% +16.0 +8.5% $32.57 +28.1%
333 TWLO TWILIO INC Communication Services 32.0 $7K 0.00% +13.0 +68.4% $206.34 +8.0%
334 SANM SANMINA CORP Technology 26.0 $7K 0.00% +11.0 +73.3% $253.12 -24.8%
335 KDP KEURIG DR PEPPER INC Consumer Defensive 201.0 $7K 0.00% +130.0 +183.1% $32.73 -2.8%
336 AME AMETEK INC Industrials 27.0 $7K 0.00% +10.0 +58.8% $241.96 +0.0%
337 KVUE KENVUE INC Consumer Defensive 339.0 $6K 0.00% +86.0 +34.0% $19.11 +1.1%
338 PPG PPG INDS INC Basic Materials 53.0 $6K 0.00% +21.0 +65.6% $121.30 -6.7%
339 EW EDWARDS LIFESCIENCES CORP Healthcare 71.0 $6K 0.00% +21.0 +42.0% $90.46 +0.7%
340 ADM ARCHER DANIELS MIDLAND CO Consumer Defensive 84.0 $6K 0.00% +24.0 +40.0% $76.40 +4.2%
Page 17 of 51  ·  1,015 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 34.7%
Financial Services 21.0%
Industrials 12.3%
Healthcare 9.4%
Consumer Cyclical 7.8%
Communication Services 3.6%
Energy 3.2%
Real Estate 2.8%
Consumer Defensive 2.4%
Utilities 2.1%