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Strategic Wealth Management Group, LLC

Location
FULTON, MD
Portfolio Value
Micro $296,093
Diversification
Diversified
Filing Date
Global Rank
#4,884 / 5,923 ▼ 174
Top Industry
Consumer Electronics 18.8%
3Y Alpha vs SPY
-8.0%
Period ended 4 years ago
Filed Aug 13, 2021 · 4y
6 quarters · since Mar 2020

Clone Performance

Jun 2023–Jun 2026 · vs SPY

Hypothetical growth of cloning every reported 13F position and rebalancing on each filing, indexed to the same start.

Cloned portfolio
+43.7%
SPY
+76.3%
Annualised alpha
-8.0%
Max drawdown
−19.0%

Estimate. 13F holdings are quarter-lagged and long-only, so the clone rebalances about 45 days after each period end — when the filing becomes public — and excludes options and short positions. Past performance does not predict future results.

Portfolio Concentration

67 positions · as of Jun 30, 2021 · Δ vs Mar 31, 2021
Top Position
17.4%
+1.5 pts
Top 5
37.6%
+3.5 pts
Top 10
52.7%
+3.0 pts
HHI
508
Mar 2020 → Jun 2021 · range 304 – 548
Diversified+60

Portfolio Trend

6 quarters · across all stocks

Sector Breakdown

As of Jun 30, 2021
Sector % Portfolio Value
Technology 25.6% $14,937,833
Financial Services 16.9% $9,826,923
Consumer Cyclical 12.1% $7,040,024
Industrials 8.0% $4,686,186
Healthcare 7.5% $4,362,646
Communication Services 7.5% $4,342,752
Unclassified 7.3% $4,226,201
Utilities 7.1% $4,145,819
Consumer Defensive 4.7% $2,717,900
Energy 2.9% $1,681,182
Basic Materials 0.5% $296,093

Last Quarter's Activity

Export CSV
Jun 30, 2021 vs Mar 31, 2021

Added To

Positions the filer increased
11 positions
Ticker Δ Shares Shares Value Open

Trimmed

Positions the filer reduced
25 positions
Ticker Δ Shares Shares Value Open

New Positions

Positions the filer opened this quarter
1 positions
Ticker Shares Value Open

Sold Out

Positions the filer fully exited
10 positions
Ticker Shares Value Open

Portfolio Positions

Export CSV View 13F filing
1 positions · $296,093 total · Basic Materials only · as of Jun 30, 2021
Ticker Company Shares Value (USD) % of Portfolio History