
PACIFIC SUN FINANCIAL CORP
Latest 13F filing data - Q3 2025
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | AAPL | 48K | $12.15M |
![]() | RITM | 35K | $402.43K |
![]() | MODD | 27K | $18.55K |
![]() | UDR | 15K | $570.49K |
![]() | TTEC | 15K | $48.72K |
![]() | BRK-B | 13K | $6.67M |
![]() | BAC | 13K | $645.85K |
![]() | ACHR | 12K | $119.17K |
![]() | NVDA | 12K | $2.24M |
![]() | BXMT | 10K | $185.57K |
![]() | TSLA | 8K | $3.77M |
![]() | AMZN | 8K | $1.82M |
![]() | DLR | 7K | $1.29M |
![]() | WCN | 7K | $1.20M |
![]() | WELL | 6K | $1.09M |
![]() | CUBE | 5K | $204.19K |
![]() | MSFT | 5K | $2.59M |
![]() | DIS | 5K | $549.97K |
![]() | SBUX | 4K | $360.73K |
![]() | PG | 4K | $597.70K |

Apple Inc.
AAPL
Shares Held
48K
Value
$12.15M

Rithm Capital Corp.
RITM
Shares Held
35K
Value
$402.43K

Modular Medical, Inc.
MODD
Shares Held
27K
Value
$18.55K

UDR, Inc.
UDR
Shares Held
15K
Value
$570.49K

TTEC Holdings, Inc.
TTEC
Shares Held
15K
Value
$48.72K

Berkshire Hathaway Inc.
BRK-B
Shares Held
13K
Value
$6.67M

Bank of America Corporation
BAC
Shares Held
13K
Value
$645.85K

Archer Aviation Inc.
ACHR
Shares Held
12K
Value
$119.17K

NVIDIA Corporation
NVDA
Shares Held
12K
Value
$2.24M

Blackstone Mortgage Trust, Inc.
BXMT
Shares Held
10K
Value
$185.57K

Tesla, Inc.
TSLA
Shares Held
8K
Value
$3.77M

Amazon.com, Inc.
AMZN
Shares Held
8K
Value
$1.82M

Digital Realty Trust, Inc.
DLR
Shares Held
7K
Value
$1.29M

Waste Connections, Inc.
WCN
Shares Held
7K
Value
$1.20M

Welltower Inc.
WELL
Shares Held
6K
Value
$1.09M

CubeSmart
CUBE
Shares Held
5K
Value
$204.19K

Microsoft Corporation
MSFT
Shares Held
5K
Value
$2.59M

The Walt Disney Company
DIS
Shares Held
5K
Value
$549.97K

Starbucks Corporation
SBUX
Shares Held
4K
Value
$360.73K

The Procter & Gamble Company
PG
Shares Held
4K
Value
$597.70K
