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Portfolio (Quarterly) Guide ↗

Gibbs Wealth Management

· CIK 0002081110
13F Portfolio $413M AUM 325 positions Filed Jan 23, 2026 EDGAR ↗ ← All Funds
Q4 2025 Q3 2025 · All 21 New 50 Added 227 Reduced 25 Exited
Page 9 of 12  ·  227 positions
# Ticker Company Sector Shares Value ↓ % Port Chg Shares Chg % Period Price ① Since Period ①
161 CXT CRANE NXT CO Industrials 10,040.0 $502K 0.12% -321.0 -3.1% $49.98 -19.8%
162 POOL POOL CORP Industrials 1,953.0 $493K 0.12% -879.0 -31.0% $252.31 -27.9%
163 BOX BOX INC Technology 16,541.0 $491K 0.12% -985.0 -5.6% $29.71 -14.5%
164 BILS SPDR SERIES TRUST 4,928.0 $489K 0.12% -1K -19.0% $99.30 +0.0%
165 SFBS SERVISFIRST BANCSHARES INC Financial Services 6,335.0 $480K 0.12% -2K -25.4% $75.74 +1.9%
166 KO COCA COLA CO Consumer Defensive 6,757.0 $476K 0.12% -200.0 -2.9% $70.51 +15.1%
167 TMO THERMO FISHER SCIENTIFIC INC Healthcare 767.0 $475K 0.12% -12.0 -1.5% $618.92 -27.0%
168 VCEL VERICEL CORP Healthcare 12,220.0 $471K 0.11% -1K -7.9% $38.56 -8.2%
169 HDB HDFC BANK LTD Financial Services 14,221.0 $471K 0.11% -2K -14.7% $33.10 -25.6%
170 KNF KNIFE RIVER CORP Basic Materials 5,676.0 $453K 0.11% -358.0 -5.9% $79.85 -7.8%
171 XHLF BONDBLOXX ETF TRUST 8,880.0 $447K 0.11% -3K -22.3% $50.29 -0.0%
172 ONESTREAM INC 18,677.0 $441K 0.11% -15K -44.2% $23.62
173 LII LENNOX INTL INC Industrials 822.0 $436K 0.10% -131.0 -13.8% $530.26 -9.4%
174 ALGN ALIGN TECHNOLOGY INC Healthcare 2,514.0 $434K 0.10% -386.0 -13.3% $172.79 -5.6%
175 NDSN NORDSON CORP Industrials 1,643.0 $429K 0.10% -221.0 -11.9% $261.25 +9.8%
176 T AT&T INC Communication Services 17,189.0 $412K 0.10% -4K -17.0% $23.99 +3.9%
177 PG PROCTER AND GAMBLE CO Consumer Defensive 2,883.0 $409K 0.10% -759.0 -20.8% $141.89 +0.4%
178 TMAT NORTHERN LTS FD TR IV 16,288.0 $407K 0.10% -4K -20.4% $25.01 +12.8%
179 IBM INTERNATIONAL BUSINESS MACHS Technology 1,335.0 $406K 0.10% -19.0 -1.4% $304.22 -16.8%
180 UPS UNITED PARCEL SERVICE INC Industrials 3,724.0 $402K 0.10% -50.0 -1.3% $108.06 -8.5%
Page 9 of 12  ·  227 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 28.9%
Financial Services 15.7%
Healthcare 14.0%
Industrials 11.9%
Consumer Cyclical 10.7%
Communication Services 7.2%
Consumer Defensive 3.4%
Basic Materials 2.9%
Energy 2.7%
Utilities 1.8%