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Summit X, LLC

SEC CIK
0001697729
Latest filing
Nov 13, 2025

Holdings in Q1 2024

Holdings as of Mar 31, 2024, filed May 8, 2024. Long positions only; changes compare share counts with Q4 2023.

Institution overview
Positions
207
+17 vs. Q4 2023
Portfolio value
$390.2M
+$39.0M (+11.1%) vs. Q4 2023
Filed
May 8, 2024
SEC
Holdings of Summit X, LLC in Q1 2024
SecurityClassSharesValue% of portfolioShare changeActionHistory
HUMHumana IncStock1,996$692.5K0.2%+1,996NewHistory
Vanguard S&P 500 ETF922908363ETF1,434$689.6K0.2%+13+0.9%Added–
SBUXStarbucks CorpStock7,234$661.9K0.2%+4+0.1%AddedHistory
iShares Core MSCI Total International Stock ETF46432F834ETF9,375$636.2K0.2%−267−2.8%Reduced–
RGAReinsurance Group of America IncCOM NEW3,244$625.7K0.2%00.0%UnchangedHistory
DIASPDR Dow Jones Industrial Average ETF TrustUT SER 11,492$594.6K0.2%+53+3.7%AddedHistory
State Street Real Estate Select Sector SPDR ETF81369Y860ETF14,748$583.0K0.1%+14,748New–
ONOn Semiconductor CorpStock7,902$581.3K0.1%−367−4.4%ReducedHistory
HDHome Depot, Inc.Stock1,511$580.1K0.1%−19−1.2%ReducedHistory
NMZNuveen Municipal High Income Opportunity FundCOM53,702$567.1K0.1%−18,356−25.5%ReducedHistory
iShares S&P 500 Value ETF464287408ETF2,872$536.8K0.1%−154−5.1%Reduced–
iShares Tr464287580US CONSUM DISCRE6,508$533.5K0.1%−27−0.4%Reduced–
UNPUnion Pacific CorpStock2,095$515.7K0.1%+44+2.1%AddedHistory
Vanguard Star FDS921909768VG TL INTL STK F8,519$513.7K0.1%+85+1.0%Added–
SEMSelect Medical Holdings CorpCOM16,596$500.4K0.1%−609−3.5%ReducedHistory
State Street Health Care Select Sector SPDR ETF81369Y209ETF3,344$494.6K0.1%+761+29.5%Added–
iShares Core U.S. Aggregate Bond ETF464287226ETF4,993$489.1K0.1%−2,060−29.2%Reduced–
iShares Semiconductor ETF464287523ETF2,121$479.2K0.1%−561−20.9%ReducedConverted for a 3-for-1 split–
WBAWalgreens Boots Alliance, Inc.COM22,052$478.4K0.1%+2,342+11.9%AddedHistory
American Centy ETF Tr025072604AVANTIS EMGMKT8,175$474.0K0.1%+1,187+17.0%Added–
iShares Tr46435G102CONV BD ETF5,727$457.2K0.1%+5,727New–
PANWPalo Alto Networks IncStock1,580$449.6K0.1%+302+23.6%AddedHistory
DLYDoubleLine Yield Opportunities FundCOM27,516$438.7K0.1%+1,191+4.5%AddedHistory
iShares Tr464287762US HLTHCARE ETF6,838$423.3K0.1%−2,032−22.9%ReducedConverted for a 5-for-1 split–
NFLXNetflix IncStock671$408.4K0.1%−32−4.6%ReducedHistory
State Street Technology Select Sector SPDR ETF81369Y803ETF1,961$408.4K0.1%+409+26.4%Added–
Fidelity Covington Trust316092329FIDELITY MAGELAN14,259$400.2K0.1%−738−4.9%Reduced–
PIMCO ETF Tr72201R866INTER MUN BD ACT7,500$393.6K0.1%−10.0%Reduced–
MRKMerck & Co., Inc.Stock2,985$393.2K0.1%+100+3.5%AddedHistory
BABoeing CoStock2,020$390.4K0.1%−6,028−74.9%ReducedHistory
LOWLowes Companies IncStock1,491$379.9K0.1%−1−0.1%ReducedHistory
SHELShell plcADR5,643$378.3K0.1%+571+11.3%AddedHistory
iShares Tr46434V4070-5YR HI YL CP8,761$372.8K0.1%−384−4.2%Reduced–
QCRHQCR Holdings IncCOM6,120$371.7K0.1%00.0%UnchangedHistory
ELVElevance Health, Inc.Stock715$371.4K0.1%+43+6.4%AddedHistory
iShares Tr46435G474FALN ANGLS USD13,764$369.7K0.1%−160−1.1%Reduced–
State Street Energy Select Sector SPDR ETF81369Y506ETF3,898$368.0K0.1%+907+30.3%Added–
ADBEAdobe Inc.Stock704$356.1K0.1%−51−6.8%ReducedHistory
PLDPrologis, Inc.REIT2,662$346.7K0.1%−22−0.8%ReducedHistory
Vanguard Ftse All-World Ex-US Index Fund922042775ETF5,851$343.2K0.1%−112−1.9%Reduced–
CATCaterpillar IncStock932$341.1K0.1%−60−6.0%ReducedHistory
Vanguard Morningstar Large-Cap ETF922908637ETF1,421$340.7K0.1%00.0%Unchanged–
LAZRQLuminar Technologies, Inc.COM CL A172,605$340.1K0.1%−13,092−7.1%ReducedHistory
MMDNYLI MacKay DefinedTerm Muni Opportunities FundCOM20,755$339.4K0.1%−4,297−17.2%ReducedHistory
GEGeneral Electric CoStock1,881$330.2K0.1%−2−0.1%ReducedHistory
COSTCostco Wholesale CorpStock448$329.1K0.1%00.0%UnchangedHistory
ORCLOracle CorpStock2,579$324.1K0.1%+2,579NewHistory
PFEPfizer IncStock11,590$321.8K0.1%+694+6.4%AddedHistory
USBUS Bancorp DECOM NEW7,155$319.9K0.1%+30.0%AddedHistory
BPBP PLCADR8,455$318.6K0.1%+411+5.1%AddedHistory
iShares Tr464288158SHRT NAT MUN ETF2,987$312.9K0.1%−680−18.5%Reduced–
iShares Tr464287754US INDUSTRIALS2,458$309.0K0.1%−226−8.4%Reduced–
PSAPublic StorageCOM1,046$303.6K0.1%−4−0.4%ReducedHistory
FDXFedEx CorpStock1,040$302.4K0.1%+80+8.3%AddedHistory
iShares Tr464287291GLOBAL TECH ETF4,014$300.3K0.1%−27−0.7%Reduced–
MPCMarathon Petroleum CorpStock1,460$294.2K0.1%00.0%UnchangedHistory
BLUEbluebird bio, Inc.COM229,773$294.1K0.1%+50,821+28.4%AddedHistory
DVNDevon Energy CorpStock5,848$293.6K0.1%+5,848NewHistory
CMCSAComcast CorpStock6,706$290.8K0.1%+927+16.0%AddedHistory
iShares MSCI USA Momentum Factor ETF46432F396ETF1,544$289.4K0.1%−62−3.9%Reduced–
GPCGenuine Parts CoStock1,861$288.6K0.1%−29−1.5%ReducedHistory
Vanguard High Dividend Yield Index ETF921946406ETF2,384$288.6K0.1%+20+0.8%Added–
QCOMQualcomm IncStock1,664$282.0K0.1%+54+3.4%AddedHistory
ROKRockwell Automation, IncStock955$278.2K0.1%+955NewHistory
REGNRegeneron Pharmaceuticals, Inc.COM288$277.2K0.1%−546−65.5%ReducedHistory
State Street Financial Select Sector SPDR ETF81369Y605ETF6,581$277.2K0.1%+6,581New–
iShares Inc464286533MSCI EMERG MRKT4,837$273.9K0.1%−1,622−25.1%Reduced–
iShares Russell Top 200 Growth ETF464289438ETF1,379$269.2K0.1%−105−7.1%Reduced–
LMTLockheed Martin CorpStock579$264.9K0.1%+19+3.4%AddedHistory
State Street Industrial Select Sector SPDR ETF81369Y704ETF2,077$261.6K0.1%+2,077New–
CVXChevron CorpStock1,654$261.1K0.1%+305+22.6%AddedHistory
iShares Tr46429B291A RATE CP BD ETF5,433$258.0K0.1%−5,359−49.7%Reduced–
MOAltria Group, Inc.Stock5,896$257.4K0.1%−18−0.3%ReducedHistory
WYWeyerhaeuser CoCOM NEW7,125$255.9K0.1%+7,125NewHistory
GLWCorning IncCOM7,758$255.7K0.1%−628−7.5%ReducedHistory
CSXCSX CorpStock6,837$253.4K0.1%−50−0.7%ReducedHistory
Global X FDS37954Y632ARTIFICIAL ETF7,384$250.8K0.1%+796+12.1%Added–
URIUnited Rentals, Inc.COM339$244.5K0.1%+339NewHistory
NEENextera Energy IncStock3,692$236.0K0.1%00.0%UnchangedHistory
DUKDuke Energy CORPStock2,403$232.6K0.1%−108−4.3%ReducedHistory
State Street Consumer Discretionary Select Sector SPDR ETF81369Y407ETF1,260$231.8K0.1%+1,260New–
SLViShares Silver TrustETF10,093$229.7K0.1%−30.0%ReducedHistory
iShares Tr46434V613CORE UNIVRSL USD5,013$228.5K0.1%−412−7.6%Reduced–
CRWDCrowdStrike Holdings, Inc.Stock703$225.7K0.1%+703NewHistory
WFCWells Fargo & CompanyStock3,891$225.6K0.1%+3,891NewHistory
CNCCentene CorpStock2,847$223.5K0.1%−279−8.9%ReducedHistory
Vanguard World FD921910873MEGA CAP INDEX1,195$223.4K0.1%−23,523−95.2%Reduced–
GMGeneral Motors CoCOM4,921$223.3K0.1%+4,921NewHistory
TAT&T Inc.Stock12,631$222.4K0.1%+1,510+13.6%AddedHistory
SPDR Series Trust78464A763ST STR SP DIV1,672$219.5K0.1%−58−3.4%Reduced–
Fidelity Covington Trust316092824LOW VOLITY ETF3,822$214.7K0.1%−35,080−90.2%Reduced–
iShares Inc46434G863ESG AWR MSCI EM6,649$214.4K0.1%−1,172−15.0%Reduced–
iShares Russell Midcap ETF464287499ETF2,548$214.3K0.1%−18−0.7%Reduced–
PMPhilip Morris International Inc.Stock2,330$213.7K0.1%−168−6.7%ReducedHistory
MUMicron Technology IncStock1,803$212.7K0.1%+1,803NewHistory
Vanguard Morningstar Total Stock Market ETF922908769ETF815$211.8K0.1%+815New–
Schwab U.S. Broad Market ETF808524102ETF3,426$209.2K0.1%+3,426New–
iShares Future AI & Tech ETF46435U556ETF6,066$208.4K0.1%−94−1.5%Reduced–
iShares Tr464287119MORNINGSTAR GRWT2,745$207.4K0.1%+2,745New–
VZVerizon Communications IncStock4,927$207.0K0.1%+4,927NewHistory

Sold out since Q4 2023 (10)

Positions held at the end of Q4 2023 that are gone from this filing.

Positions of Summit X, LLC sold out since Q4 2023
SecurityClassShares in Q4 2023Value in Q4 2023% of portfolio in Q4 2023History
iShares Tr46434V860TRS FLT RT BD112,444$5.68M1.6%–
RNPCohen & Steers REIT & Preferred & Income Fund IncCOM29,881$602.4K0.2%History
State Street SPDR Portfolio S&P 500 High Dividend ETF78468R788ETF12,631$495.0K0.1%–
iShares Tr464287275GBL COMM SVC ETF5,741$421.5K0.1%–
iShares Select U.S. REIT ETF464287564ETF5,999$306.5K0.1%–
DXCDXC Technology CoStock10,963$250.7K0.1%History
iShares Tr464288646ISHS 1-5YR INVS2,018$208.2K0.1%–
iShares Tr46432F388MSCI USA VALUE2,028$205.2K0.1%–
SERSerina Therapeutics, Inc.COM22,500$8.66K<0.1%History
iShares Tr464288562RESIDENTIAL MULT698–––