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Advisory Resource Group

SEC CIK
0001764968
Latest filing
Jul 14, 2026

Holdings in Q2 2026

Holdings as of Jun 30, 2026, filed Jul 14, 2026. Long positions only; changes compare share counts with Q1 2026.

Institution overview
Positions
183
+11 vs. Q1 2026
Portfolio value
$665.0M
+$83.8M (+14.4%) vs. Q1 2026
Filed
Jul 14, 2026
SEC
Holdings of Advisory Resource Group in Q2 2026
SecurityClassSharesValue% of portfolioShare changeActionHistory
FLRFluor CorpStock3,921$205.4K<0.1%+3,921NewHistory
First Tr Exch Traded FD III33739P830SHRT DUR MNG MUN10,280$205.5K<0.1%+10,280New–
AXPAmerican Express CoStock617$208.7K<0.1%+617NewHistory
UNHUnitedHealth Group IncStock504$209.5K<0.1%+504NewHistory
Invesco Exchange Traded FD T46137V357S&P500 EQL WGT990$210.5K<0.1%+990New–
DEDeere & CoStock335$212.5K<0.1%+335NewHistory
FFord Motor CoStock15,339$213.2K<0.1%+58+0.4%AddedHistory
TRVTravelers Companies, Inc.Stock649$214.2K<0.1%+649NewHistory
Virtus ETF Tr II92790A868KAR MID-CAP ETF8,655$217.1K<0.1%+8+0.1%Added–
HDHome Depot, Inc.Stock650$229.2K<0.1%00.0%UnchangedHistory
PMPhilip Morris International Inc.Stock1,274$230.5K<0.1%−229−15.2%ReducedHistory
DISWalt Disney CoStock2,510$241.5K<0.1%+50+2.0%AddedHistory
CUZCousins Properties IncCOM NEW8,164$244.8K<0.1%+8,164NewHistory
PECOPhillips Edison & Company, Inc.COMMON STOCK5,914$246.1K<0.1%00.0%UnchangedHistory
GLTRabrdn Precious Metals Basket ETF TrustPHYSCL PRECS MET1,371$248.4K<0.1%00.0%UnchangedHistory
PGProcter & Gamble CoStock1,742$255.4K<0.1%00.0%UnchangedHistory
DVNDevon Energy CorpStock6,299$260.3K<0.1%00.0%UnchangedHistory
EATBrinker International, IncStock1,670$280.6K<0.1%00.0%UnchangedHistory
JNJJohnson & JohnsonStock1,114$282.9K<0.1%+25+2.3%AddedHistory
ABBVAbbVie Inc.Stock1,136$285.9K<0.1%−36−3.1%ReducedHistory
APAAPA CorpStock8,990$292.8K<0.1%+26+0.3%AddedHistory
DGDollar General CorpCOM2,561$294.8K<0.1%+52+2.1%AddedHistory
TJXTJX Companies IncStock1,959$296.8K<0.1%−165−7.8%ReducedHistory
WFCWells Fargo & CompanyStock3,619$299.1K<0.1%+516+16.6%AddedHistory
iShares Tr464288414NATIONAL MUN ETF2,964$319.0K<0.1%+33+1.1%Added–
LOWLowes Companies IncStock1,516$334.3K0.1%00.0%UnchangedHistory
OGEOGE Energy Corp.COM7,052$343.1K0.1%00.0%UnchangedHistory
SYKStryker CorpStock1,105$347.9K0.1%00.0%UnchangedHistory
WMWaste Management IncStock1,591$354.5K0.1%+2+0.1%AddedHistory
JPMJPMorgan Chase & CoStock1,103$361.0K0.1%00.0%UnchangedHistory
IBMInternational Business Machines CorpStock1,360$382.4K0.1%+118+9.5%AddedHistory
GOOGLAlphabet Inc.Stock1,084$387.4K0.1%00.0%UnchangedHistory
iShares Core U.S. Aggregate Bond ETF464287226ETF3,977$393.7K0.1%+1,438+56.6%Added–
State Street Energy Select Sector SPDR ETF81369Y506ETF7,500$398.3K0.1%+2,006+36.5%Added–
SPCXSpace Exploration Technologies CorpCLASS A COM STK2,355$402.4K0.1%+2,355NewHistory
First Tr Exchng Traded FD VI33740F755FT LADD BUFF ETF11,018$402.5K0.1%−9,827−47.1%Reduced–
State Street Technology Select Sector SPDR ETF81369Y803ETF2,131$405.9K0.1%+10.0%Added–
AEPAmerican Electric Power Co IncStock3,014$412.4K0.1%−54−1.8%ReducedHistory
HALHalliburton CoStock12,627$428.7K0.1%−107−0.8%ReducedHistory
Invesco Exch Traded FD Tr II46138E537NATL AMT MUNI18,228$428.7K0.1%+207+1.1%Added–
First Tr Exch Traded FD III33739N108MANAGD MUN ETF8,411$432.1K0.1%+104+1.3%Added–
GEVGE Vernova Inc.Stock379$445.3K0.1%−39−9.3%ReducedHistory
STXSeagate Technology Holdings plcORD SHS508$490.2K0.1%+508NewHistory
SPYSPDR S&P 500 ETF TrustETF665$496.6K0.1%+205+44.6%AddedHistory
TAT&T Inc.Stock25,124$520.1K0.1%+1,803+7.7%AddedHistory
SPDR Index Shs FDS78463X509ST PORT MARK ETF10,790$558.7K0.1%−40,273−78.9%Reduced–
American Centy ETF Tr025072877US SML CP VALU4,526$564.7K0.1%+4,526New–
BACBank of America CorpStock9,914$564.9K0.1%+36+0.4%AddedHistory
Vanguard Morningstar Total Stock Market ETF922908769ETF1,551$573.9K0.1%+25+1.6%Added–
CVXChevron CorpStock3,615$599.2K0.1%+11+0.3%AddedHistory
BlackRock ETF Trust II092528108SHOR DURA HI ETF32,370$726.7K0.1%−113,287−77.8%Reduced–
HRHealthcare Realty Trust IncCL A COM37,497$756.3K0.1%00.0%UnchangedHistory
AMDAdvanced Micro Devices IncStock1,303$756.9K0.1%+12+0.9%AddedHistory
AHRAmerican Healthcare REIT, Inc.COM SHS15,916$830.0K0.1%00.0%UnchangedHistory
Vanguard Scottsdale FDS92206C680VNG RUS1000GRW6,669$852.4K0.1%−57,349−89.6%Reduced–
BXBlackstone Inc.COM7,773$914.6K0.1%+37+0.5%AddedHistory
BBBLACKBERRY LtdCOM74,162$938.1K0.1%+10,911+17.3%AddedHistory
Vanguard Intl Equity Index F922042866FTSE PACIFIC ETF8,144$942.2K0.1%+4,077+100.2%Added–
WMTWalmart Inc.Stock8,513$964.1K0.1%+54+0.6%AddedHistory
BNY Mellon ETF Trust09661T404INTERNATIONL EQT9,649$970.7K0.1%−81−0.8%Reduced–
Vanguard Information Technology ETF92204A702ETF8,168$976.3K0.1%+160+2.0%AddedConverted for a 8-for-1 split–
State Street Real Estate Select Sector SPDR ETF81369Y860ETF22,535$992.2K0.1%+1,376+6.5%Added–
Vanguard S&P 500 ETF922908363ETF1,539$1.06M0.2%−6−0.4%Reduced–
Schwab International Equity ETF808524805ETF40,860$1.13M0.2%+13,536+49.5%Added–
GRMNGarmin LtdSHS4,872$1.16M0.2%+4,872NewHistory
PUKPrudential PLCADR45,065$1.21M0.2%+45,065NewHistory
SONYSony Group CorpSPONSORED ADR63,190$1.27M0.2%+10,583+20.1%AddedHistory
AZNAstraZeneca PLCADR6,819$1.29M0.2%+1,638+31.6%AddedHistory
GLWCorning IncCOM5,066$1.29M0.2%00.0%UnchangedHistory
SHOPShopify Inc.Stock11,619$1.33M0.2%+2,048+21.4%AddedHistory
CRHCRH Public Ltd CoORD12,553$1.34M0.2%+1,226+10.8%AddedHistory
First Tr Exchng Traded FD VI33740U620VEST US EQUITY B42,987$1.35M0.2%+14,175+49.2%Added–
VALEVale S.A.SPONSORED ADS90,600$1.36M0.2%+72+0.1%AddedHistory
First Tr Exchng Traded FD VI33740F235VEST US EQUITY B44,909$1.37M0.2%+1,074+2.5%Added–
CBChubb LtdStock4,119$1.40M0.2%−392−8.7%ReducedHistory
OKEONEOK IncCOM16,176$1.41M0.2%+1,911+13.4%AddedHistory
CNICanadian National Railway CoStock12,450$1.48M0.2%+1,898+18.0%AddedHistory
NTESNetEase, Inc.SPONSORED ADS11,774$1.51M0.2%+2,130+22.1%AddedHistory
TTTrane Technologies plcSHS3,105$1.53M0.2%−160−4.9%ReducedHistory
NFLXNetflix IncStock21,448$1.53M0.2%+1,122+5.5%AddedHistory
NVSNovartis AGADR9,787$1.53M0.2%−1,039−9.6%ReducedHistory
MFCManulife Financial CorpCOM37,977$1.54M0.2%−343−0.9%ReducedHistory
HPIJohn Hancock Preferred Income FundSH BEN INT100,187$1.62M0.2%+76+0.1%AddedHistory
RYRoyal Bank of CanadaStock7,903$1.64M0.2%−70−0.9%ReducedHistory
UBERUber Technologies, IncStock23,198$1.67M0.3%+3,190+15.9%AddedHistory
SLFSun Life Financial IncCOM22,286$1.75M0.3%−548−2.4%ReducedHistory
iShares Russell 1000 Growth ETF464287614ETF14,130$1.75M0.3%00.0%UnchangedConverted for a 4-for-1 split–
CATCaterpillar IncStock1,648$1.75M0.3%+6+0.4%AddedHistory
MAMastercard IncStock3,422$1.76M0.3%+365+11.9%AddedHistory
VRTXVertex Pharmaceuticals IncStock3,638$1.81M0.3%+111+3.1%AddedHistory
Pacer FDS Tr69374H659CASH COWS ETF38,599$1.82M0.3%−814−2.1%Reduced–
SOLSSolstice Advanced Materials Inc.COM SHS20,956$1.86M0.3%−1,729−7.6%ReducedHistory
INTCIntel CorpStock13,330$1.86M0.3%−1,149−7.9%ReducedHistory
COSTCostco Wholesale CorpStock2,000$1.87M0.3%−133−6.2%ReducedHistory
AVGOBroadcom Inc.Stock4,972$1.88M0.3%+186+3.9%AddedHistory
Invesco Exch Traded FD Tr II46138G870VAR RATE PFD77,689$1.89M0.3%+1,303+1.7%Added–
Schwab US Dividend Equity ETF808524797ETF59,694$1.89M0.3%+10,855+22.2%Added–
ETNEaton Corp plcStock4,479$1.91M0.3%−297−6.2%ReducedHistory
NETCloudflare, Inc.CL A COM7,890$1.94M0.3%−130−1.6%ReducedHistory
DASHDoorDash, Inc.Stock10,543$1.95M0.3%+2,374+29.1%AddedHistory

Sold out since Q1 2026 (10)

Positions held at the end of Q1 2026 that are gone from this filing.

Positions of Advisory Resource Group sold out since Q1 2026
SecurityClassShares in Q1 2026Value in Q1 2026% of portfolio in Q1 2026History
HONHoneywell International IncCOM31,170$7.05M1.2%History
ELVElevance Health, Inc.Stock18,304$5.36M0.9%History
Franklin Templeton ETF Tr35473P769FRANKLIN INDIA67,900$2.26M0.4%–
CPNGCoupang, Inc.CL A79,920$1.51M0.3%History
SPOTSpotify Technology S.A.Stock2,959$1.43M0.2%History
MELIMercadolibre IncCOM770$1.33M0.2%History
IBNIcici Bank LtdADR44,229$1.15M0.2%History
BABAAlibaba Group Holding LtdADR9,096$1.14M0.2%History
First Tr Exchng Traded FD VI33740U752FT VEST NASD ETF6,865$242.5K<0.1%–
First Tr Exchng Traded FD VI33740F169FT VEST INTL ETF9,435$211.2K<0.1%–