ASHTON THOMAS SECURITIES, LLC
Broker-DealerFiling Date
Global Rank
#3,557
/ 8,696
▼ 826
Top Industry
Semiconductors
14.8%
Period ended 2 months ago
Filed Jul 27, 2026 · 47d
9 quarters · since Jun 2024
Portfolio Concentration
208 tracked positions · as of Jun 30, 2026 · Δ vs Mar 31, 2026Top Position
8.2%
−14.3 pts
Top 5
28.2%
−9.4 pts
Top 10
39.8%
−7.3 pts
HHI
228
Diversified−404
Portfolio Trend
9 quarters · across all stocks
Sector Breakdown
As of Jun 30, 2026| Sector | % Portfolio | Value |
|---|---|---|
| Technology | 33.3% | $109,617,633 |
| Financial Services | 16.9% | $55,588,711 |
| Communication Services | 10.1% | $33,288,597 |
| Consumer Cyclical | 10.1% | $33,241,370 |
| Healthcare | 9.2% | $30,434,814 |
| Industrials | 7.1% | $23,401,742 |
| Consumer Defensive | 5.3% | $17,559,470 |
| Energy | 2.4% | $8,006,893 |
| Utilities | 1.9% | $6,373,155 |
| Unclassified | 1.3% | $4,218,870 |
| Basic Materials | 1.2% | $3,978,398 |
| Real Estate | 1.1% | $3,487,311 |
Last Quarter's Activity
Export CSVAdded To
Positions the filer increased
25 positions
| Ticker | Company | Δ Shares | Shares | Value | Open |
|---|---|---|---|---|---|
| MMT | Aberdeen Multi-Market Income Fund | +121,879 | 172,379 | $758,467 | |
| NVDA | Nvidia Corp | +17,446 | 135,105 | $27,033,159 | |
| AMZN | Amazon Com Inc | +15,170 | 64,429 | $15,356,007 | |
| NRK | Nuveen New York Amt-Free Quality Municipal Income Fund | +12,411 | 61,711 | $661,541 | |
| ZTR | Virtus Total Return Fund Inc. | +10,000 | 236,800 | $1,617,344 | |
| OTF | Blue Owl Technology Finance Corp. | +8,294 | 24,447 | $253,026 | |
| DB | Deutsche Bank Aktiengesellschaft | +7,894 | 25,383 | $856,930 | |
| AAPL | Apple Inc. | +6,743 | 65,791 | $19,037,283 | |
| MO | Altria Group, Inc. | +6,295 | 22,990 | $1,654,130 | |
| BAC | Bank Of America Corp /De/ | +5,900 | 33,010 | $1,880,909 | |
| MSFT | Microsoft Corp | +4,522 | 44,121 | $16,458,015 | |
| SYK | Stryker Corp | +4,455 | 5,575 | $1,755,233 | |
| KLAC | Kla Corp | +4,412 | 4,921 | $1,484,714 | |
| IBKR | Interactive Brokers Group, Inc. | +3,496 | 8,736 | $760,381 | |
| USA | Liberty All Star Equity Fund | +3,196 | 125,801 | $730,903 | |
| NFLX | Netflix Inc | +3,171 | 38,756 | $2,767,178 | |
| KO | Coca Cola Co | +3,170 | 30,148 | $2,450,127 | |
| ABBV | AbbVie Inc. | +3,142 | 8,610 | $2,166,620 | |
| APH | Amphenol Corp /De/ | +3,044 | 9,952 | $1,754,736 | |
| EXC | Exelon Corp | +2,832 | 14,475 | $674,824 | |
| TSLA | Tesla, Inc. | +2,445 | 16,591 | $6,978,174 | |
| JPM | Jpmorgan Chase & Co | +2,410 | 16,055 | $5,255,283 | |
| CSCO | Cisco Systems, Inc. | +2,178 | 10,408 | $1,222,523 | |
| INTC | Intel Corp | +2,143 | 7,923 | $1,106,288 | |
| ORCL | Oracle Corp | +2,141 | 17,041 | $2,497,358 | |
| No positions match the current search. | |||||
Trimmed
Positions the filer reduced
25 positions
| Ticker | Company | Δ Shares | Shares | Value | Open |
|---|---|---|---|---|---|
| T | At&T Inc. | −36,500 | 21,111 | $436,997 | |
| STT | State Street Corp | −31,347 | 1,884 | $319,526 | |
| OXY | Occidental Petroleum Corp /De/ | −19,782 | 70,146 | $3,406,991 | |
| VZ | Verizon Communications Inc | −19,528 | 16,213 | $686,458 | |
| DVN | Devon Energy Corp/De | −10,329 | 6,270 | $259,076 | |
| IAU | Ishares Gold Trust | −9,818 | 17,487 | $1,320,443 | |
| BN | BROOKFIELD Corp /ON/ | −9,813 | 53,346 | $2,272,006 | |
| GOOGL | Alphabet Inc. | −9,687 | 42,008 | $15,012,398 | |
| EVV | Eaton Vance Ltd Duration Income Fund | −9,000 | 19,000 | $178,030 | |
| OTIS | Otis Worldwide Corp | −7,683 | 27,089 | $1,939,572 | |
| CNC | Centene Corp | −6,694 | 34,851 | $2,237,085 | |
| UBER | Uber Technologies, Inc | −5,819 | 2,894 | $208,831 | |
| ANET | Arista Networks, Inc. | −4,854 | 8,812 | $1,496,982 | |
| ZTS | Zoetis Inc. | −4,384 | 17,334 | $1,245,621 | |
| CME | Cme Group Inc. | −3,480 | 9,832 | $2,171,200 | |
| A | Agilent Technologies, Inc. | −3,301 | 16,655 | $2,212,283 | |
| MCK | Mckesson Corp | −2,430 | 3,956 | $2,989,153 | |
| HSY | Hershey Co | −2,354 | 9,369 | $1,643,791 | |
| QCOM | Qualcomm Inc/De | −2,209 | 1,614 | $298,251 | |
| MRSH | Marsh & Mclennan Companies, Inc. | −2,168 | 11,261 | $1,876,870 | |
| FNV | FRANCO NEVADA Corp | −1,957 | 10,631 | $2,215,925 | |
| UNP | Union Pacific Corp | −1,879 | 14,792 | $4,023,424 | |
| TMO | Thermo Fisher Scientific Inc. | −1,656 | 4,124 | $2,067,608 | |
| JNJ | Johnson & Johnson | −1,646 | 10,003 | $2,540,461 | |
| PEP | Pepsico Inc | −1,619 | 8,362 | $1,132,214 | |
| No positions match the current search. | |||||
New Positions
Positions the filer opened this quarter
22 positions
| Ticker | Company | Shares | Value | Open |
|---|---|---|---|---|
| ARM | Arm Holdings PLC /Uk | 2,473 | $876,851 | |
| CVS | CVS HEALTH Corp | 7,412 | $766,771 | |
| SNDK | Sandisk Corp | 296 | $673,024 | |
| STX | Seagate Technology Holdings plc | 549 | $529,785 | |
| COHR | Coherent Corp. | 1,336 | $527,011 | |
| AXON | Axon Enterprise, Inc. | 908 | $509,033 | |
| ADP | Automatic Data Processing Inc | 1,734 | $388,329 | |
| RNR | Renaissancere Holdings Ltd | 1,210 | $383,449 | |
| GLW | Corning Inc /Ny | 1,372 | $350,449 | |
| NXPI | NXP Semiconductors N.V. | 1,063 | $298,734 | |
| DELL | Dell Technologies Inc. | 686 | $295,981 | |
| PWR | Quanta Services, Inc. | 356 | $256,334 | |
| WAT | Waters Corp /De/ | 680 | $255,027 | |
| DXCM | Dexcom Inc | 3,669 | $247,107 | |
| OKTA | Okta, Inc. | 1,677 | $228,826 | |
| HOOD | Robinhood Markets, Inc. | 2,113 | $211,891 | |
| NSC | Norfolk Southern Corp | 672 | $211,404 | |
| GM | General Motors Co | 2,719 | $209,580 | |
| ROST | Ross Stores, Inc. | 947 | $201,568 | |
| OKE | Oneok Inc /New/ | 2,306 | $200,483 | |
| ETO | Eaton Vance Tax-Advantaged Global Dividend Opportunities Fund | 6,480 | $200,037 | |
| DYAI | Dyadic International Inc | 36,155 | $32,539 | |
| No positions match the current search. | ||||
Sold Out
Positions the filer fully exited
25 positions
| Ticker | Company | Shares | Value | Open |
|---|---|---|---|---|
| AAXJ | iShares MSCI All Country Asia ex Japan ETF | 1,973,732 | $170,815,880 | |
| VB | Vanguard Morningstar Small-Cap ETF | 115,057 | $57,061,253 | |
| ABI | VictoryShares Pioneer Asset-Based Income ETF | 385,630 | $22,314,612 | |
| BSCA | Invesco BulletShares 2036 Corporate Bond ETF | 535,099 | $15,412,797 | |
| BAI | iShares A.I. Innovation and Tech Active ETF | 312,170 | $13,968,990 | |
| AAAP | Pacer Barings CLO Market Flex ETF | 245,553 | $13,234,325 | |
| VEA | Vanguard FTSE Developed Markets ETF | 192,354 | $12,326,044 | |
| DVVY | Invesco Diversified Dividend Opportunities ETF | 308,453 | $10,693,002 | |
| XLBI | State Street Materials Select Sector SPDR Premium Income ETF | 94,563 | $10,560,191 | |
| VCRM | Vanguard Core Tax-Exempt Bond ETF | 194,204 | $9,688,837 | |
| — | 153,214 | $9,668,128 | ||
| BNDW | Vanguard Total World Bond ETF | 119,707 | $9,219,788 | |
| V | Visa Inc. | 29,767 | $8,996,778 | |
| BDVG | IMGP Berkshire Dividend Growth ETF | 277,807 | $8,375,881 | |
| FCAL | First Trust California Municipal High income ETF | 146,300 | $6,955,102 | |
| BBAG | JPMorgan BetaBuilders U.S. Aggregate Bond ETF | 132,059 | $6,717,647 | |
| AGGY | WisdomTree Yield Enhanced U.S. Aggregate Bond Fund | 99,070 | $6,124,316 | |
| FNDA | Schwab Fundamental U.S. Small Company ETF | 129,835 | $5,860,490 | |
| BAB | Invesco Taxable Municipal Bond ETF | 226,088 | $5,469,815 | |
| AFGR | First Trust Active Factor Large Cap Growth ETF | 106,658 | $4,286,258 | |
| EDV | Vanguard World Funds Extended Duration ETF | 14,097 | $3,947,714 | |
| NVS | Novartis AG | 22,962 | $3,507,445 | |
| BIV | Vanguard Intermediate-Term Bond ETF | 44,741 | $3,366,899 | |
| CGDV | Capital Group Dividend Value ETF | 75,726 | $3,221,384 | |
| LLY | ELI LILLY & Co | 3,359 | $3,089,507 | |
| No positions match the current search. | ||||
208 tracked positions ·
$329,196,964 total
· as of Jun 30, 2026
All sectors
Basic Materials
Communication Services
Consumer Cyclical
Consumer Defensive
Energy
Financial Services
Healthcare
Industrials
Real Estate
Technology
Utilities
Showing 1–50
of 208 positions by value
· page 1 of 5
| Ticker | Company | Type | Shares | Value (USD) | % of Portfolio | History |
|---|---|---|---|---|---|---|
| NVDA |
Nvidia Corp
Technology
|
Added | 135,105 | $27,033,159 | 8.21% | |
| AAPL |
Apple Inc.
Technology
|
Added | 65,791 | $19,037,283 | 5.78% | |
| MSFT |
Microsoft Corp
Technology
|
Added | 44,121 | $16,458,015 | 5.00% | |
| AMZN |
Amazon Com Inc
Consumer Cyclical
|
Added | 64,429 | $15,356,007 | 4.66% | |
| GOOGL |
Alphabet Inc.
Communication Services
|
Reduced | 42,008 | $15,012,398 | 4.56% | |
| META |
Meta Platforms, Inc.
Communication Services
|
Added | 18,594 | $10,473,814 | 3.18% | |
| AVGO |
Broadcom Inc.
Technology
|
Added | 20,630 | $7,792,982 | 2.37% | |
| BRK-B |
Berkshire Hathaway Inc
Financial Services
|
Reduced | 15,260 | $7,635,951 | 2.32% | |
| TSLA |
Tesla, Inc.
Consumer Cyclical
|
Added | 16,591 | $6,978,174 | 2.12% | |
| JPM |
Jpmorgan Chase & Co
Financial Services
|
Added | 16,055 | $5,255,283 | 1.60% | |
| UNP |
Union Pacific Corp
Industrials
|
Reduced | 14,792 | $4,023,424 | 1.22% | |
| PANW |
Palo Alto Networks Inc
Technology
|
Added | 11,442 | $3,901,950 | 1.19% | |
| MU |
Micron Technology Inc
Technology
|
Added | 3,112 | $3,592,150 | 1.09% | |
| COST |
Costco Wholesale Corp /New
Consumer Defensive
|
Added | 3,708 | $3,468,722 | 1.05% | |
| OXY |
Occidental Petroleum Corp /De/
Energy
|
Reduced | 70,146 | $3,406,991 | 1.03% | |
| MCK |
Mckesson Corp
Healthcare
|
Reduced | 3,956 | $2,989,153 | 0.91% | |
| AMD |
Advanced Micro Devices Inc
Technology
|
Added | 4,890 | $2,840,649 | 0.86% | |
| NFLX |
Netflix Inc
Communication Services
|
Added | 38,756 | $2,767,178 | 0.84% | |
| DIS |
Walt Disney Co
Communication Services
|
Reduced | 27,872 | $2,682,680 | 0.81% | |
| WMT |
Walmart Inc.
Consumer Defensive
|
Added | 23,020 | $2,607,245 | 0.79% | |
| HD |
Home Depot, Inc.
Consumer Cyclical
|
Added | 7,365 | $2,597,488 | 0.79% | |
| JNJ |
Johnson & Johnson
Healthcare
|
Reduced | 10,003 | $2,540,461 | 0.77% | |
| MKL |
Markel Group Inc.
Financial Services
|
Reduced | 1,293 | $2,525,241 | 0.77% | |
| ORCL |
Oracle Corp
Technology
|
Added | 17,041 | $2,497,358 | 0.76% | |
| BGC |
BGC Group, Inc.
Financial Services
|
Held | 231,882 | $2,478,818 | 0.75% | |
| CAT |
Caterpillar Inc
Industrials
|
Added | 2,316 | $2,466,308 | 0.75% | |
| UNH |
Unitedhealth Group Inc
Healthcare
|
Added | 5,914 | $2,458,035 | 0.75% | |
| KO |
Coca Cola Co
Consumer Defensive
|
Added | 30,148 | $2,450,127 | 0.74% | |
| GS |
Goldman Sachs Group Inc
Financial Services
|
Added | 2,405 | $2,432,344 | 0.74% | |
| BA |
Boeing Co
Industrials
|
Added | 11,229 | $2,430,741 | 0.74% | |
| BN |
BROOKFIELD Corp /ON/
Financial Services
|
Reduced | 53,346 | $2,272,006 | 0.69% | |
| CNC |
Centene Corp
Healthcare
|
Reduced | 34,851 | $2,237,085 | 0.68% | |
| FNV |
FRANCO NEVADA Corp
Basic Materials
|
Reduced | 10,631 | $2,215,925 | 0.67% | |
| A |
Agilent Technologies, Inc.
Healthcare
|
Reduced | 16,655 | $2,212,283 | 0.67% | |
| CME |
Cme Group Inc.
Financial Services
|
Reduced | 9,832 | $2,171,200 | 0.66% | |
| ABBV |
AbbVie Inc.
Healthcare
|
Added | 8,610 | $2,166,620 | 0.66% | |
| TMO |
Thermo Fisher Scientific Inc.
Healthcare
|
Reduced | 4,124 | $2,067,608 | 0.63% | |
| NAN |
Nuveen New York Quality Municipal Income Fund
Financial Services
|
Held | 166,556 | $1,953,701 | 0.59% | |
| OTIS |
Otis Worldwide Corp
Industrials
|
Reduced | 27,089 | $1,939,572 | 0.59% | |
| GEV |
GE Vernova Inc.
Industrials
|
Added | 1,633 | $1,918,546 | 0.58% | |
| BAC |
Bank Of America Corp /De/
Financial Services
|
Added | 33,010 | $1,880,909 | 0.57% | |
| MRSH |
Marsh & Mclennan Companies, Inc.
Financial Services
|
Reduced | 11,261 | $1,876,870 | 0.57% | |
| PM |
Philip Morris International Inc.
Consumer Defensive
|
Added | 10,132 | $1,832,980 | 0.56% | |
| MNST |
Monster Beverage Corp
Consumer Defensive
|
Added | 18,852 | $1,812,054 | 0.55% | |
| TSM |
Taiwan Semiconductor Manufacturing Co Ltd
Technology
|
Added | 3,685 | $1,759,845 | 0.53% | |
| SYK |
Stryker Corp
Healthcare
|
Added | 5,575 | $1,755,233 | 0.53% | |
| APH |
Amphenol Corp /De/
Technology
|
Added | 9,952 | $1,754,736 | 0.53% | |
| ISRG |
Intuitive Surgical Inc
Healthcare
|
Added | 4,391 | $1,746,212 | 0.53% | |
| MO |
Altria Group, Inc.
Consumer Defensive
|
Added | 22,990 | $1,654,130 | 0.50% | |
| HSY |
Hershey Co
Consumer Defensive
|
Reduced | 9,369 | $1,643,791 | 0.50% |
Covers the securities this platform tracks: U.S.-listed common stock and the put/call positions reported on it. A 13F can also report security types outside that coverage — preferred shares, bonds, warrants, untracked share classes — so the filing's own declared total can exceed the figures above. The source filing is linked at the top of this table.