180 Wealth Advisors, Llc Portfolio Stock Holdings

180 Wealth Advisors, Llc disclosed 486 stock positions valued at approximately $997.2 million in its latest SEC 13F filing. The largest holdings include MICROSOFT CORP, NVIDIA CORPORATION, and APPLE INC. The filing reflects positions held as of June 30, 2026 and was filed on July 7, 2026.

Report Period
June 30, 2026
No. of Stocks
486
Portfolio Value
$997.2M
Holdings by Sector
180 Wealth Advisors, Llc Portfolio Holdings in Q2 2026

474 holdings in the latest reporting period.

Page 1 of 5
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
MICROSOFT CORPMSFTTechnology4.02%107,359-762-0.70%$40,047,119
NVIDIA CORPORATIONNVDATechnology3.83%190,662-4,868-2.49%$38,149,593
APPLE INCAAPLTechnology2.80%96,456-3,234-3.24%$27,910,594
AMAZON COM INCAMZNConsumer Cyclical2.40%100,386-244-0.24%$23,925,901
BROADCOM INCAVGOTechnology2.19%57,811-969-1.65%$21,838,172
MANNKIND CORPMNKDHealthcare2.12%4,959,351+667,648+15.56%$21,126,835
ISHARES INCSLVPOther1.62%524,854-3,516-0.67%$16,181,239
ALPHABET INCGOOGLCommunication Services1.38%38,497-271-0.70%$13,757,677
ALPHABET INCGOOGCommunication Services1.31%36,937-812-2.15%$13,050,944
TESLA INCTSLAConsumer Cyclical1.31%30,999+380+1.24%$13,038,055
VANGUARD INTL EQUITY INDEX FVWOOther1.30%217,753+1,726+0.80%$12,997,676
BLACKROCK RES & COMMODITIESBCXFinancial Services1.23%1,086,189+6,115+0.57%$12,284,796
LAM RESEARCH CORPLRCXOther1.22%28,088-402-1.41%$12,171,288
ETFS GOLD TRSGOLOther1.20%312,216-4,204-1.33%$11,936,001
TAIWAN SEMICONDUCTOR MANUFACTSMTechnology1.17%24,463-712-2.83%$11,682,766
ISHARES INCRINGOther1.07%164,821-6,339-3.70%$10,647,460
CROWDSTRIKE HLDGS INCCRWDTechnology1.05%13,733-186-1.34%$10,480,046
TWILIO INCTWLOTechnology1.04%50,259-3,759-6.96%$10,369,935
VANGUARD SPECIALIZED FUNDSVIGOther1.01%42,713-1,005-2.30%$10,106,859
META PLATFORMS INCMETACommunication Services0.97%17,239+540+3.23%$9,710,557
APPLIED MATLS INCAMATTechnology0.93%12,808-260-1.99%$9,260,347
VANGUARD WHITEHALL FDSVYMOther0.92%57,815-3,119-5.12%$9,136,430
INTEL CORPINTCTechnology0.90%64,588-32,850-33.71%$9,018,482
DIMENSIONAL ETF TRUSTDFAIOther0.90%217,332+15,288+7.57%$8,964,960
GRAIL INCGRALHealthcare0.87%127,774+427+0.34%$8,723,113
ABRDN SILVER ETF TRUSTSIVROther0.87%153,580-2,513-1.61%$8,634,285
VANECK ETF TRUSTGDXOther0.86%113,806+2,721+2.45%$8,586,634
VANGUARD WHITEHALL FDSVIGIOther0.74%79,453+8,250+11.59%$7,419,308
ARM HOLDINGS PLCARMTechnology0.72%20,260-265-1.29%$7,183,588
WALMART INCWMTConsumer Defensive0.71%62,654-945-1.49%$7,096,220
AXON ENTERPRISE INCAXONIndustrials0.71%12,655+2,474+24.30%$7,094,638
SNOWFLAKE INCSNOWTechnology0.71%27,637-20-0.07%$7,033,654
ADVANCED MICRO DEVICES INCAMDTechnology0.70%11,977-320-2.60%$6,957,338
ISHARES TRIOOOther0.68%49,920-1,720-3.33%$6,819,049
COSTCO WHOLESALE CORPORATIONCOSTConsumer Defensive0.67%7,146-74-1.02%$6,684,799
ILLUMINA INCILMNHealthcare0.61%34,354-263-0.76%$6,040,394
BERKSHIRE HATHAWAY INC DELBRK-BFinancial Services0.60%12,044+628+5.50%$6,026,562
JPMORGAN CHASE & COJPMFinancial Services0.60%18,391-212-1.14%$6,020,001
QUALCOMM INCQCOMTechnology0.60%32,113-57-0.18%$5,934,179
MERCK & CO INCMRKHealthcare0.58%44,833+279+0.63%$5,761,078
UIPATH INCPATHTechnology0.57%520,891+339+0.07%$5,662,090
ISHARES TRIUSVOther0.56%50,297-2,935-5.51%$5,540,235
AMGEN INCAMGNHealthcare0.55%15,157-1,387-8.38%$5,488,792
SELECT SECTOR SPDR TRXLEOther0.54%101,817-5,667-5.27%$5,407,487
ISHARES TREFVOther0.53%68,633-5,458-7.37%$5,253,873
MICRON TECHNOLOGY INCMUTechnology0.51%4,445-559-11.17%$5,130,357
DIMENSIONAL ETF TRUSTDFASOther0.50%61,038+737+1.22%$5,025,845
SPDR SERIES TRUSTXMEOther0.49%46,048+3,419+8.02%$4,923,877
EXXON MOBIL CORPXOMEnergy0.48%35,035-897-2.50%$4,789,937
NXP SEMICONDUCTORS N VN6596X109Other0.48%17,026-535-3.05%$4,784,700
DIMENSIONAL ETF TRUSTDFAUOther0.48%92,471+2,215+2.45%$4,779,806
EVERPURE INCPSTGTechnology0.47%59,759-47-0.08%$4,708,394
EATON CORP PLCETNOther0.47%10,953-306-2.72%$4,667,459
PLANET LABS PBCPLIndustrials0.47%140,180-6,775-4.61%$4,644,163
CATERPILLAR INCCATIndustrials0.46%4,293+114+2.73%$4,571,619
PNC FINL SVCS GROUP INCPNCFinancial Services0.45%18,241-4,399-19.43%$4,491,313
VANGUARD WHITEHALL FDSVYMIOther0.44%44,915-1,133-2.46%$4,410,617
INTERNATIONAL BUSINESS MACHSIBMTechnology0.44%15,459+338+2.24%$4,347,104
EMERSON ELEC COEMRIndustrials0.42%29,483+106+0.36%$4,220,542
FREEPORT MCMORAN INCFCXBasic Materials0.42%66,823+4,731+7.62%$4,202,470
GE VERNOVA INCGEVUtilities0.42%3,555+49+1.40%$4,177,068
SCHWAB CHARLES CORPSCHWFinancial Services0.41%44,698+825+1.88%$4,124,331
ENERGY TRANSFER L PETEnergy0.40%211,064-640-0.30%$4,035,541
VISA INCVFinancial Services0.39%11,257-111-0.98%$3,862,275
ISHARES TRILFOther0.38%111,019+29,507+36.20%$3,746,891
OUSTER INCOUSTTechnology0.37%58,546-528-0.89%$3,660,265
CORNING INCGLWTechnology0.36%14,113-688-4.65%$3,604,984
TEMPLETON DRAGON FD INCTDFFinancial Services0.36%329,251+16,590+5.31%$3,585,543
PROLOGIS INC.PLDReal Estate0.36%26,272+60+0.23%$3,559,014
MARVELL TECHNOLOGY INCMRVLTechnology0.35%11,739+95+0.82%$3,496,865
STARBUCKS CORPSBUXConsumer Cyclical0.35%33,761-1,462-4.15%$3,450,056
DIMENSIONAL ETF TRUSTDFAEOther0.34%85,051-522-0.61%$3,419,906
ISHARES TRMCHIOther0.34%66,489+7,323+12.38%$3,392,578
VANGUARD INDEX FDSVOOOther0.34%4,937-125-2.47%$3,390,709
BOEING COBAIndustrials0.33%15,325-168-1.08%$3,317,329
VANECK ETF TRUSTREMXOther0.33%37,272-2,142-5.43%$3,298,576
BLACKROCK INCBLKOther0.33%3,427-18-0.52%$3,294,883
JOHNSON & JOHNSONJNJHealthcare0.32%12,751+538+4.41%$3,238,405
PEPSICO INCPEPConsumer Defensive0.31%22,792+544+2.45%$3,086,028
ORGANON & COOGNHealthcare0.31%226,383-1,588-0.70%$3,065,226
ABRDN LIFE SCIENCES INVESTORHQLFinancial Services0.31%152,829+3,271+2.19%$3,058,108
VANGUARD INDEX FDSVTIOther0.30%8,187-780-8.70%$3,029,635
ELI LILLY & COLLYHealthcare0.30%2,524-44-1.71%$3,027,064
GLOBAL X FDSCOPXOther0.29%38,051+8,354+28.13%$2,928,761
CHEVRON CORPORATIONCVXEnergy0.29%17,584-816-4.43%$2,914,777
CHIPOTLE MEXICAN GRILL INCCMGConsumer Cyclical0.29%85,161+18,630+28.00%$2,895,466
PALO ALTO NETWORKS INCPANWTechnology0.29%8,365-303-3.50%$2,852,758
ARISTA NETWORKS INCANETOther0.29%16,733+842+5.30%$2,842,620
ISHARES TRIEFAOther0.28%29,220-3,062-9.49%$2,822,109
BUNGE GLOBAL SABGOther0.28%26,274+26,274+100.00%$2,804,224
SYMBOTIC INCSYMIndustrials0.28%61,717+2,116+3.55%$2,774,175
RTX CORPORATIONRTXIndustrials0.27%14,406-31-0.21%$2,733,274
LITHIA MTRS INCLADConsumer Cyclical0.27%9,116+328+3.73%$2,648,107
VANGUARD INDEX FDSVOEOther0.27%13,392-607-4.34%$2,646,279
VANGUARD SCOTTSDALE FDSVTWOOther0.26%21,623-133-0.61%$2,625,488
ORACLE CORPORCLTechnology0.26%17,416+1,410+8.81%$2,552,255
GOLDMAN SACHS GROUP INCGSFinancial Services0.25%2,511-1,105-30.56%$2,539,478
GE AEROSPACEGEIndustrials0.25%6,724+9+0.13%$2,513,115
MODERNA INCMRNAHealthcare0.25%35,750+611+1.74%$2,503,573
PROSHARES TRQLDOther0.25%25,853+5,874+29.40%$2,501,549
180 Wealth Advisors, Llc Options Holdings in Q2 2026

7 options positions in the latest reporting period.

Page 1 of 1
QuarterSymbolCompanyOptionContractsNotional Value
Q2 2026PSTGPure Storage, Inc.CALL2,000$157,580
Q2 2026ZSZscaler, Inc.CALL400$56,460
Q2 2026ORCLOracle CorporationCALL200$29,310
Q2 2026WYWeyerhaeuser CompanyCALL700$16,758
Q2 2026BABAAlibaba Group Holding LimitedCALL100$9,598
Q2 2026QSQuantumScape CorporationCALL1,000$7,560
Q2 2026MNKDMannKind CorporationCALL500$2,130

Notional value represents the total exposure of the options position.