
49 WEALTH MANAGEMENT, LLC
Latest 13F filing data - Q3 2025
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | ZTS | 2K | $239.69K |
![]() | TJX | 2K | $234.69K |
![]() | CI | 2K | $460.00K |
![]() | QCOM | 1K | $242.48K |
![]() | PGR | 1K | $323.25K |
![]() | PANW | 1K | $254.73K |
![]() | AMGN | 1K | $324.89K |
![]() | CAT | 1K | $522.67K |
![]() | HON | 1K | $227.61K |
![]() | HD | 1K | $427.48K |
![]() | MCD | 1K | $306.91K |
![]() | PWR | 960 | $397.79K |
![]() | ADP | 922 | $270.64K |
![]() | TSLA | 920 | $409.14K |
![]() | UNH | 857 | $295.92K |
![]() | LMT | 675 | $336.80K |
![]() | MCK | 637 | $492.05K |
![]() | SYK | 632 | $233.62K |
![]() | NFLX | 575 | $689.38K |
![]() | LLY | 485 | $370.12K |

Zoetis Inc.
ZTS
Shares Held
2K
Value
$239.69K

The TJX Companies, Inc.
TJX
Shares Held
2K
Value
$234.69K

Cigna Corporation
CI
Shares Held
2K
Value
$460.00K

QUALCOMM Incorporated
QCOM
Shares Held
1K
Value
$242.48K

The Progressive Corporation
PGR
Shares Held
1K
Value
$323.25K

Palo Alto Networks, Inc.
PANW
Shares Held
1K
Value
$254.73K

Amgen Inc.
AMGN
Shares Held
1K
Value
$324.89K

Caterpillar Inc.
CAT
Shares Held
1K
Value
$522.67K

Honeywell International Inc.
HON
Shares Held
1K
Value
$227.61K

The Home Depot, Inc.
HD
Shares Held
1K
Value
$427.48K

McDonald's Corporation
MCD
Shares Held
1K
Value
$306.91K

Quanta Services, Inc.
PWR
Shares Held
960
Value
$397.79K

Automatic Data Processing, Inc.
ADP
Shares Held
922
Value
$270.64K

Tesla, Inc.
TSLA
Shares Held
920
Value
$409.14K

UnitedHealth Group Incorporated
UNH
Shares Held
857
Value
$295.92K

Lockheed Martin Corporation
LMT
Shares Held
675
Value
$336.80K

McKesson Corporation
MCK
Shares Held
637
Value
$492.05K

Stryker Corporation
SYK
Shares Held
632
Value
$233.62K

Netflix, Inc.
NFLX
Shares Held
575
Value
$689.38K

Eli Lilly and Company
LLY
Shares Held
485
Value
$370.12K
