
ALLIANCE WEALTH MANAGEMENT GROUP
Latest 13F filing data - Q3 2025
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | CVX | 2K | $387.91K |
![]() | C | 2K | $252.33K |
![]() | DIS | 2K | $260.12K |
![]() | IBM | 2K | $600.50K |
![]() | META | 2K | $1.41M |
![]() | HD | 2K | $674.24K |
![]() | ORCL | 2K | $438.45K |
![]() | V | 1K | $466.32K |
![]() | PG | 1K | $204.97K |
![]() | AVGO | 1K | $412.39K |
![]() | HSY | 1K | $205.75K |
![]() | ABBV | 1K | $234.09K |
![]() | LIN | 893 | $424.18K |
![]() | TSLA | 870 | $386.91K |
![]() | UNH | 755 | $260.70K |
![]() | BRK-B | 720 | $361.97K |
![]() | COST | 361 | $333.70K |
![]() | NFLX | 256 | $306.92K |

Chevron Corporation
CVX
Shares Held
2K
Value
$387.91K

Citigroup Inc.
C
Shares Held
2K
Value
$252.33K

The Walt Disney Company
DIS
Shares Held
2K
Value
$260.12K

International Business Machines Corporation
IBM
Shares Held
2K
Value
$600.50K

Meta Platforms, Inc.
META
Shares Held
2K
Value
$1.41M

The Home Depot, Inc.
HD
Shares Held
2K
Value
$674.24K

Oracle Corporation
ORCL
Shares Held
2K
Value
$438.45K

Visa Inc.
V
Shares Held
1K
Value
$466.32K

The Procter & Gamble Company
PG
Shares Held
1K
Value
$204.97K

Broadcom Inc.
AVGO
Shares Held
1K
Value
$412.39K

The Hershey Company
HSY
Shares Held
1K
Value
$205.75K

AbbVie Inc.
ABBV
Shares Held
1K
Value
$234.09K

Linde plc
LIN
Shares Held
893
Value
$424.18K

Tesla, Inc.
TSLA
Shares Held
870
Value
$386.91K

UnitedHealth Group Incorporated
UNH
Shares Held
755
Value
$260.70K

Berkshire Hathaway Inc.
BRK-B
Shares Held
720
Value
$361.97K

Costco Wholesale Corporation
COST
Shares Held
361
Value
$333.70K

Netflix, Inc.
NFLX
Shares Held
256
Value
$306.92K
