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Howard Wealth Management, LLC

SEC CIK
0001766286
Latest filing
Jul 21, 2026

Holdings in Q3 2021

Holdings as of Sep 30, 2021, filed Oct 19, 2021. Long positions only; changes compare share counts with Q2 2021.

Institution overview
Positions
127
−1 vs. Q2 2021
Portfolio value
$178.9M
−$2.90M (−1.6%) vs. Q2 2021
Filed
Oct 19, 2021
SEC
Holdings of Howard Wealth Management, LLC in Q3 2021
SecurityClassSharesValue% of portfolioShare changeActionHistory
PIMCO Enhanced Short Maturity Active Exchange-Traded Fund72201R833ETF122,345$12.5M7.0%+825+0.7%Added–
Vanguard Morningstar Growth ETF922908736ETF31,919$9.26M5.2%−562−1.7%Reduced–
Vanguard High Dividend Yield Index ETF921946406ETF87,700$9.06M5.1%−805−0.9%Reduced–
Vanguard Total Bond Market ETF921937835ETF82,440$7.04M3.9%−703−0.8%Reduced–
Vanguard Morningstar Small-Cap ETF922908751ETF32,018$7.00M3.9%+279+0.9%Added–
AAPLApple Inc.Stock36,187$5.12M2.9%−3,263−8.3%ReducedHistory
SPXXNuveen S&P 500 Dynamic Overwrite FundCOM298,398$5.10M2.9%−2,670−0.9%ReducedHistory
Vanguard Dividend Appreciation ETF921908844ETF31,796$4.88M2.7%−721−2.2%Reduced–
iShares Tr464288687PFD AND INCM SEC111,509$4.33M2.4%−2,088−1.8%Reduced–
Invesco Exch Traded FD Tr II46138E511PFD ETF261,432$3.93M2.2%+863+0.3%Added–
Vanguard Total World Stock ETF922042742ETF36,162$3.68M2.1%−116−0.3%Reduced–
EVVEaton Vance Ltd Duration Income FundCOM274,959$3.62M2.0%+15,667+6.0%AddedHistory
PPTFranklin Premier Income TrustSH BEN INT734,495$3.36M1.9%+15,820+2.2%AddedHistory
JPMorgan Ultra-Short Income ETF46641Q837ETF63,905$3.24M1.8%−2,532−3.8%Reduced–
Vanguard Scottsdale FDS92206C409SHRT TRM CORP BD36,765$3.03M1.7%+334+0.9%Added–
SPYSPDR S&P 500 ETF TrustETF6,128$2.63M1.5%−149−2.4%ReducedHistory
First Tr Exchange-Traded FD33739Q408FIRST TR ENH NEW42,836$2.57M1.4%−4,735−10.0%Reduced–
iShares S&P 500 Growth ETF464287309ETF33,719$2.49M1.4%−415−1.2%Reduced–
Vanguard Intermediate-Term Corporate Bond ETF92206C870ETF26,161$2.47M1.4%+110+0.4%Added–
Invesco Exch Traded FD Tr II46138G508SR LN ETF107,259$2.37M1.3%+7,039+7.0%Added–
State Street SPDR Bloomberg Convertible Securities ETF78464A359ETF27,590$2.35M1.3%−467−1.7%Reduced–
Ssga Active ETF Tr78467V608ST STR BL LN ETF46,480$2.14M1.2%−318−0.7%Reduced–
iShares Tips Bond ETF464287176ETF16,461$2.10M1.2%+566+3.6%Added–
iShares Core S&P 500 ETF464287200ETF4,794$2.06M1.2%−18−0.4%Reduced–
NUVNuveen Municipal Value Fund IncCOM179,950$2.04M1.1%+13,515+8.1%AddedHistory
Vanguard Morningstar Value ETF922908744ETF15,033$2.04M1.1%−295−1.9%Reduced–
iShares Tr464288646ISHS 1-5YR INVS34,115$1.86M1.0%+533+1.6%Added–
iShares Tr46429B655FLTG RATE NT ETF35,876$1.82M1.0%+356+1.0%Added–
iShares U S ETF Tr46431W507SHOR DURA BD ETF35,439$1.78M1.0%−1,542−4.2%Reduced–
Vanguard Ftse All-World Ex-US Index Fund922042775ETF28,985$1.77M1.0%+605+2.1%Added–
Vanguard Morningstar Total Stock Market ETF922908769ETF7,887$1.75M1.0%+52+0.7%Added–
Invesco Exch Traded FD Tr II46138E784EMRNG MKT SVRG64,643$1.72M1.0%+1,214+1.9%Added–
Vanguard Star FDS921909768VG TL INTL STK F27,061$1.71M1.0%−463−1.7%Reduced–
Vanguard S&P 500 ETF922908363ETF3,988$1.57M0.9%−3−0.1%Reduced–
AMZNAmazon Com IncStock478$1.57M0.9%−14−2.8%ReducedHistory
Vanguard Malvern FDS922020805STRM INFPROIDX29,797$1.57M0.9%+1,848+6.6%Added–
Vanguard Index FDS922908652EXTEND MKT ETF8,177$1.49M0.8%+256+3.2%Added–
Vanguard Real Estate ETF922908553ETF12,853$1.31M0.7%+23+0.2%Added–
State Street SPDR Portfolio S&P 500 Value ETF78464A508ETF32,837$1.28M0.7%+2,041+6.6%Added–
SPDR Series Trust78464A763ST STR SP DIV10,411$1.22M0.7%−100−1.0%Reduced–
SPDR Series Trust78468R408ST TERM HIGH ETF43,945$1.20M0.7%+2,875+7.0%Added–
TSLATesla, Inc.Stock1,501$1.16M0.7%+1+0.1%AddedHistory
Vanguard Health Care ETF92204A504ETF4,692$1.16M0.6%−106−2.2%Reduced–
WisdomTree Tr97717W844GLOB EX US QU FD28,117$1.14M0.6%+222+0.8%Added–
Vanguard Morningstar Large-Cap ETF922908637ETF5,520$1.11M0.6%+322+6.2%Added–
WisdomTree Tr97717W562US SMALLCAP FUND21,935$1.06M0.6%00.0%Unchanged–
Vanguard Total International Bond ETF92203J407ETF18,585$1.06M0.6%+1,450+8.5%Added–
iShares Russell 2000 ETF464287655ETF4,801$1.05M0.6%−66−1.4%Reduced–
iShares Tr46434V878ULTRA SHORT DUR20,677$1.04M0.6%−1,188−5.4%Reduced–
PLTRPalantir Technologies Inc.Stock42,133$1.01M0.6%00.0%UnchangedHistory
MSFTMicrosoft CorpStock3,547$999.0K0.6%+7+0.2%AddedHistory
GOOGLAlphabet Inc.Stock367$981.0K0.5%−48−11.6%ReducedHistory
GOOGAlphabet Inc.Stock364$970.0K0.5%00.0%UnchangedHistory
State Street SPDR Portfolio Developed World Ex-US ETF78463X889ETF26,755$968.0K0.5%−956−3.4%Reduced–
iShares Tr464287572GLOBAL 100 ETF12,719$904.0K0.5%00.0%Unchanged–
VVisa Inc.Stock3,987$888.0K0.5%+3+0.1%AddedHistory
Invesco Actively Managed Exc46090A887ULTRA SHRT DUR16,804$848.0K0.5%+97+0.6%Added–
Goldman Sachs ETF Tr381430529ACCES TREASURY8,385$839.0K0.5%−265−3.1%Reduced–
SPDR Series Trust78468R739ST NUVE TERM ETF16,490$814.0K0.5%−993−5.7%Reduced–
iShares Tr464287119MORNINGSTAR GRWT12,415$813.0K0.5%00.0%Unchanged–
METAMeta Platforms, Inc.Stock2,290$777.0K0.4%−41−1.8%ReducedHistory
Invesco QQQ Trust Series I46090E103ETF2,140$766.0K0.4%−5−0.2%Reduced–
Vanguard Mun BD FDS922907746TAX EXEMPT BD13,787$755.0K0.4%+684+5.2%Added–
XYZBlock, Inc.CL A3,012$722.0K0.4%00.0%UnchangedHistory
MAMastercard IncStock1,999$695.0K0.4%+4+0.2%AddedHistory
Janus Detroit STR Tr47103U886HENDRSN SHRT ETF13,758$690.0K0.4%+303+2.3%Added–
iShares Core U.S. Aggregate Bond ETF464287226ETF5,916$679.0K0.4%00.0%Unchanged–
iShares Core S&P Mid-Cap ETF464287507ETF2,435$640.0K0.4%00.0%Unchanged–
Invesco Exchange Traded FD T46137V621FINL PFD ETF33,075$626.0K0.3%+35+0.1%Added–
JNJJohnson & JohnsonStock3,776$609.0K0.3%−77−2.0%ReducedHistory
Invesco Exchange Traded FD T46137V738LARGE CAP VALUE13,485$599.0K0.3%00.0%Unchanged–
PBCTPeople's United Financial, Inc.COM33,178$579.0K0.3%+80.0%AddedHistory
BXMXNuveen S&P 500 BuyWrite Income FundCOM40,534$576.0K0.3%−244−0.6%ReducedHistory
iShares Inc464286285JP MRGN EM HI BD12,660$561.0K0.3%−175−1.4%Reduced–
DIASPDR Dow Jones Industrial Average ETF TrustUT SER 11,585$536.0K0.3%+15+1.0%AddedHistory
NFLXNetflix IncStock875$534.0K0.3%−99−10.2%ReducedHistory
iShares MSCI Eafe ETF464287465ETF6,715$523.0K0.3%−50−0.7%Reduced–
iShares Tr464288760US AER DEF ETF5,015$522.0K0.3%−300−5.6%Reduced–
iShares Russell 1000 Growth ETF464287614ETF1,878$514.0K0.3%00.0%Unchanged–
RMMRiverNorth Managed Duration Municipal Income Fund, Inc.COM25,315$502.0K0.3%+2,815+12.5%AddedHistory
VZVerizon Communications IncStock9,252$499.0K0.3%+59+0.6%AddedHistory
PFEPfizer IncStock11,622$499.0K0.3%−231−1.9%ReducedHistory
iShares Core S&P Small Cap ETF464287804ETF4,404$480.0K0.3%00.0%Unchanged–
PIMCO ETF Tr72201R7830-5 HIGH YIELD4,816$477.0K0.3%+241+5.3%Added–
JPMJPMorgan Chase & CoStock2,741$448.0K0.3%−165−5.7%ReducedHistory
iShares Tr464288752US HOME CONS ETF6,278$415.0K0.2%−226−3.5%Reduced–
PEGPublic Service Enterprise Group IncCOM6,739$410.0K0.2%00.0%UnchangedHistory
Vanguard Morningstar Mid-Cap ETF922908629ETF1,648$390.0K0.2%00.0%Unchanged–
HDHome Depot, Inc.Stock1,160$380.0K0.2%−15−1.3%ReducedHistory
SPDR Series Trust78464A805ST STR PR SP15007,084$375.0K0.2%+20+0.3%Added–
INTCIntel CorpStock7,014$373.0K0.2%00.0%UnchangedHistory
iShares Tr464288158SHRT NAT MUN ETF3,330$358.0K0.2%−560−14.4%Reduced–
JPMorgan Chase & Co46625H365ALERIAN ML ETN18,492$335.0K0.2%00.0%Unchanged–
iShares U.S. Medical Devices ETF464288810ETF5,255$329.0K0.2%−115−2.1%ReducedConverted for a 6-for-1 split–
State Street SPDR S&P Biotech ETF78464A870ETF2,593$325.0K0.2%+44+1.7%Added–
WDFCWD 40 CoCOM1,400$324.0K0.2%00.0%UnchangedHistory
MRKMerck & Co., Inc.Stock4,196$315.0K0.2%−19−0.5%ReducedHistory
TAT&T Inc.Stock11,408$308.0K0.2%+35+0.3%AddedHistory
Vanguard Short-Term Bond ETF921937827ETF3,616$296.0K0.2%−155−4.1%Reduced–
iShares Tr464287556ISHARES BIOTECH1,835$296.0K0.2%−105−5.4%Reduced–

Sold out since Q2 2021 (3)

Positions held at the end of Q2 2021 that are gone from this filing.

Positions of Howard Wealth Management, LLC sold out since Q2 2021
SecurityClassShares in Q2 2021Value in Q2 2021% of portfolio in Q2 2021History
ROKURoku, IncCOM CL A529$242.0K0.1%History
MCDMcDonalds CorpStock946$218.0K0.1%History
Flagstar Bank, National Association649445103COM10,140$111.0K0.1%–