ECLECTIC ASSOCIATES INC /ADV
Filing Date
Global Rank
#200
/ 295
▲ 6343
Top Industry
Consumer Electronics
19.6%
3Y Alpha vs SPY
-0.2%
Period ended 9 days ago
Filed Jul 7, 2026 · 2d
23 quarters · since Dec 2020
Clone Performance
Jul 2023–Jul 2026 · vs SPYHypothetical growth of cloning every reported 13F position and rebalancing on each filing, indexed to the same start.
Cloned portfolio
+77.0%
SPY
+76.0%
Annualised alpha
+0.3%
Max drawdown
−18.3%
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
63 positions · as of Jun 30, 2026 · Δ vs Mar 31, 2026Top Position
18.5%
+0.5 pts
Top 5
40.5%
+1.5 pts
Top 10
55.0%
−1.0 pts
HHI
569
Diversified+11
Portfolio Trend
23 quarters · across all stocks
Sector Breakdown
As of Jun 30, 2026| Sector | % Portfolio | Value |
|---|---|---|
| Technology | 30.7% | $20,698,142 |
| Financial Services | 19.2% | $12,946,623 |
| Healthcare | 11.5% | $7,755,908 |
| Consumer Cyclical | 10.2% | $6,905,655 |
| Industrials | 9.0% | $6,051,712 |
| Consumer Defensive | 7.3% | $4,896,243 |
| Unclassified | 5.7% | $3,826,559 |
| Communication Services | 3.1% | $2,074,315 |
| Energy | 2.2% | $1,461,400 |
| Real Estate | 0.9% | $627,584 |
| Basic Materials | 0.3% | $233,004 |
Last Quarter's Activity
Export CSVAdded To
Positions the filer increased
15 positions
| Ticker | Company | Δ Shares | Shares | Value | Open |
|---|---|---|---|---|---|
| EDF | Virtus Stone Harbor Emerging Markets Income Fund | +3,524 | 127,002 | $708,671 | |
| BWG | BrandywineGLOBAL-Global Income Opportunities Fund Inc | +3,511 | 44,441 | $352,861 | |
| BHK | Blackrock Core Bond Trust | +2,451 | 89,517 | $820,870 | |
| BP | Bp PLC | +1,008 | 6,446 | $238,179 | |
| IGR | Cbre Global Real Estate Income Fund | +854 | 42,552 | $196,164 | |
| BGT | Blackrock Floating Rate Income Trust | +368 | 15,096 | $160,923 | |
| RTX | RTX Corp | +351 | 5,774 | $1,095,501 | |
| GOOGL | Alphabet Inc. | +265 | 2,336 | $834,816 | |
| NAC | Nuveen California Quality Municipal Income Fund | +89 | 24,637 | $298,600 | |
| PLTR | Palantir Technologies Inc. | +87 | 14,909 | $1,739,433 | |
| AMZN | Amazon Com Inc | +68 | 8,019 | $1,911,248 | |
| TSLA | Tesla, Inc. | +43 | 2,497 | $1,050,238 | |
| PG | PROCTER & GAMBLE Co | +14 | 3,076 | $451,064 | |
| HOOD | Robinhood Markets, Inc. | +10 | 3,189 | $319,792 | |
| MCD | Mcdonalds Corp | +9 | 1,090 | $294,637 | |
| No positions match the current search. | |||||
Trimmed
Positions the filer reduced
25 positions
| Ticker | Company | Δ Shares | Shares | Value | Open |
|---|---|---|---|---|---|
| PIM | Putnam Master Intermediate Income Trust | −4,660 | 67,441 | $217,834 | |
| VCV | Invesco California Value Municipal Income Trust | −2,943 | 10,254 | $110,640 | |
| AGD | abrdn Global Dynamic Dividend Fund | −1,805 | 28,251 | $342,119 | |
| KO | Coca Cola Co | −1,165 | 24,746 | $2,011,107 | |
| AAPL | Apple Inc. | −822 | 43,063 | $12,460,709 | |
| RVT | Royce Small-Cap Trust, Inc. | −806 | 22,148 | $409,073 | |
| RMT | Royce Micro-Cap Trust, Inc. | −748 | 16,457 | $240,930 | |
| QQQ | Invesco Qqq Trust, Series 1 | −613 | 3,446 | $2,537,634 | |
| DIS | Walt Disney Co | −594 | 7,880 | $758,450 | |
| HD | Home Depot, Inc. | −568 | 10,348 | $3,649,532 | |
| MSFT | Microsoft Corp | −484 | 4,447 | $1,658,819 | |
| WFC | Wells Fargo & Company/Mn | −466 | 15,124 | $1,249,847 | |
| JPM | Jpmorgan Chase & Co | −433 | 14,037 | $4,594,731 | |
| CVX | Chevron Corp | −417 | 5,779 | $957,927 | |
| BAC | Bank Of America Corp /De/ | −403 | 4,434 | $252,649 | |
| INTC | Intel Corp | −367 | 11,055 | $1,543,609 | |
| BRK-B | Berkshire Hathaway Inc | −341 | 3,942 | $1,972,537 | |
| CSCO | Cisco Systems, Inc. | −284 | 2,762 | $324,424 | |
| ABBV | AbbVie Inc. | −268 | 5,575 | $1,402,893 | |
| WMT | Walmart Inc. | −257 | 5,469 | $619,418 | |
| ORCL | Oracle Corp | −237 | 3,579 | $524,502 | |
| BA | Boeing Co | −207 | 4,449 | $963,075 | |
| NVDA | Nvidia Corp | −189 | 5,516 | $1,103,696 | |
| META | Meta Platforms, Inc. | −178 | 854 | $481,049 | |
| JNJ | Johnson & Johnson | −100 | 8,062 | $2,047,506 | |
| No positions match the current search. | |||||
New Positions
Positions the filer opened this quarter
6 positions
| Ticker | Company | Shares | Value | Open |
|---|---|---|---|---|
| AMD | Advanced Micro Devices Inc | 825 | $479,250 | |
| SPG | Simon Property Group Inc. | 1,050 | $234,832 | |
| MCHP | Microchip Technology Inc | 2,269 | $206,932 | |
| SNOW | Snowflake Inc. | 798 | $203,091 | |
| OHI | Omega Healthcare Investors Inc | 4,258 | $203,021 | |
| LOAN | Manhattan Bridge Capital, Inc | 41,976 | $189,731 | |
| No positions match the current search. | ||||
63 positions ·
$67,477,145 total
· as of Jun 30, 2026
All sectors
Basic Materials
Communication Services
Consumer Cyclical
Consumer Defensive
Energy
Financial Services
Healthcare
Industrials
Real Estate
Technology
Showing 1–50
of 63 positions by value
· page 1 of 2
| Ticker | Company | Type | Shares | Value (USD) | % of Portfolio | History |
|---|---|---|---|---|---|---|
| AAPL |
Apple Inc.
Technology
|
Reduced | 43,063 | $12,460,709 | 18.47% | |
| JPM |
Jpmorgan Chase & Co
Financial Services
|
Reduced | 14,037 | $4,594,731 | 6.81% | |
| UNH |
Unitedhealth Group Inc
Healthcare
|
Reduced | 9,776 | $4,063,198 | 6.02% | |
| HD |
Home Depot, Inc.
Consumer Cyclical
|
Reduced | 10,348 | $3,649,532 | 5.41% | |
| QQQ |
Invesco Qqq Trust, Series 1
|
Reduced | 3,446 | $2,537,634 | 3.76% | |
| JNJ |
Johnson & Johnson
Healthcare
|
Reduced | 8,062 | $2,047,506 | 3.03% | |
| KO |
Coca Cola Co
Consumer Defensive
|
Reduced | 24,746 | $2,011,107 | 2.98% | |
| BRK-B |
Berkshire Hathaway Inc
Financial Services
|
Reduced | 3,942 | $1,972,537 | 2.92% | |
| AMZN |
Amazon Com Inc
Consumer Cyclical
|
Added | 8,019 | $1,911,248 | 2.83% | |
| NOC |
Northrop Grumman Corp /De/
Industrials
|
Held | 3,645 | $1,856,434 | 2.75% | |
| PLTR |
Palantir Technologies Inc.
Technology
|
Added | 14,909 | $1,739,433 | 2.58% | |
| MSFT |
Microsoft Corp
Technology
|
Reduced | 4,447 | $1,658,819 | 2.46% | |
| INTC |
Intel Corp
Technology
|
Reduced | 11,055 | $1,543,609 | 2.29% | |
| ABBV |
AbbVie Inc.
Healthcare
|
Reduced | 5,575 | $1,402,893 | 2.08% | |
| SPY |
Spdr S&P 500 ETF Trust
|
Reduced | 1,726 | $1,288,925 | 1.91% | |
| WFC |
Wells Fargo & Company/Mn
Financial Services
|
Reduced | 15,124 | $1,249,847 | 1.85% | |
| NVDA |
Nvidia Corp
Technology
|
Reduced | 5,516 | $1,103,696 | 1.64% | |
| RTX |
RTX Corp
Industrials
|
Added | 5,774 | $1,095,501 | 1.62% | |
| TSLA |
Tesla, Inc.
Consumer Cyclical
|
Added | 2,497 | $1,050,238 | 1.56% | |
| COST |
Costco Wholesale Corp /New
Consumer Defensive
|
Reduced | 1,057 | $988,791 | 1.47% | |
| BA |
Boeing Co
Industrials
|
Reduced | 4,449 | $963,075 | 1.43% | |
| CVX |
Chevron Corp
Energy
|
Reduced | 5,779 | $957,927 | 1.42% | |
| CAT |
Caterpillar Inc
Industrials
|
Reduced | 872 | $928,592 | 1.38% | |
| GOOGL |
Alphabet Inc.
Communication Services
|
Added | 2,336 | $834,816 | 1.24% | |
| MNST |
Monster Beverage Corp
Consumer Defensive
|
Held | 8,592 | $825,863 | 1.22% | |
| BHK |
Blackrock Core Bond Trust
Financial Services
|
Added | 89,517 | $820,870 | 1.22% | |
| DIS |
Walt Disney Co
Communication Services
|
Reduced | 7,880 | $758,450 | 1.12% | |
| EDF |
Virtus Stone Harbor Emerging Markets Income Fund
Financial Services
|
Added | 127,002 | $708,671 | 1.05% | |
| WMT |
Walmart Inc.
Consumer Defensive
|
Reduced | 5,469 | $619,418 | 0.92% | |
| ORCL |
Oracle Corp
Technology
|
Reduced | 3,579 | $524,502 | 0.78% | |
| UNP |
Union Pacific Corp
Industrials
|
Reduced | 1,880 | $511,360 | 0.76% | |
| META |
Meta Platforms, Inc.
Communication Services
|
Reduced | 854 | $481,049 | 0.71% | |
| AMD |
Advanced Micro Devices Inc
Technology
|
NEW | 825 | $479,250 | 0.71% | |
| AVGO |
Broadcom Inc.
Technology
|
Reduced | 1,201 | $453,677 | 0.67% | |
| PG |
PROCTER & GAMBLE Co
Consumer Defensive
|
Added | 3,076 | $451,064 | 0.67% | |
| GE |
General Electric Co
Industrials
|
Reduced | 1,135 | $424,183 | 0.63% | |
| RVT |
Royce Small-Cap Trust, Inc.
Financial Services
|
Reduced | 22,148 | $409,073 | 0.61% | |
| BWG |
BrandywineGLOBAL-Global Income Opportunities Fund Inc
Financial Services
|
Added | 44,441 | $352,861 | 0.52% | |
| AGD |
abrdn Global Dynamic Dividend Fund
Financial Services
|
Reduced | 28,251 | $342,119 | 0.51% | |
| CSCO |
Cisco Systems, Inc.
Technology
|
Reduced | 2,762 | $324,424 | 0.48% | |
| HOOD |
Robinhood Markets, Inc.
Financial Services
|
Added | 3,189 | $319,792 | 0.47% | |
| NAC |
Nuveen California Quality Municipal Income Fund
Financial Services
|
Added | 24,637 | $298,600 | 0.44% | |
| MCD |
Mcdonalds Corp
Consumer Cyclical
|
Added | 1,090 | $294,637 | 0.44% | |
| V |
Visa Inc.
Financial Services
|
Reduced | 822 | $282,019 | 0.42% | |
| GEV |
GE Vernova Inc.
Industrials
|
Reduced | 232 | $272,567 | 0.40% | |
| PAA |
Plains All American Pipeline LP
Energy
|
Held | 11,918 | $265,294 | 0.39% | |
| BAC |
Bank Of America Corp /De/
Financial Services
|
Reduced | 4,434 | $252,649 | 0.37% | |
| SCD |
Lmp Capital & Income Fund Inc.
Financial Services
|
Held | 16,125 | $252,356 | 0.37% | |
| CAH |
Cardinal Health Inc
Healthcare
|
Held | 1,020 | $242,311 | 0.36% | |
| RMT |
Royce Micro-Cap Trust, Inc.
Financial Services
|
Reduced | 16,457 | $240,930 | 0.36% |