Armstrong Advisory Group, Inc Portfolio Stock Holdings

According to the SEC 13F filed on July 13, 2026, Armstrong Advisory Group, Inc disclosed 925 stock positions valued at approximately $1.64B as of quarter-end June 30, 2026. The largest holdings include SCHWAB STRATEGIC TR, ISHARES TR, and VANGUARD WORLD FD.

Report Period
June 30, 2026
No. of Stocks
925
Portfolio Value
$1.64B
Holdings by Sector
Armstrong Advisory Group, Inc Portfolio Holdings in Q2 2026
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
SCHWAB STRATEGIC TRSCHKOther14.31%6,518,923+4,041,006+163.08%$235,072,350
ISHARES TRIVVOther13.88%304,339-119,900-28.26%$227,916,504
VANGUARD WORLD FDVGTOther7.47%1,027,235+899,479+704.06%$122,775,185
SCHWAB STRATEGIC TRSCHPOther5.69%3,527,518+119,464+3.51%$93,479,235
ISHARES TRIEIOther4.70%657,428-427,059-39.38%$77,214,885
VANGUARD MALVERN FDSVTIPOther4.45%1,455,422+1,449,939+26444.26%$73,105,848
VANGUARD BD INDEX FDSBNDOther3.89%869,739+26,604+3.16%$63,847,515
VANGUARD WORLD FDVOXOther2.14%191,215+4,890+2.62%$35,174,061
VANGUARD WORLD FDVHTOther2.14%117,430+567+0.49%$35,112,712
SELECT SECTOR SPDR TRXLYOther2.07%289,741+3,315+1.16%$33,980,770
SELECT SECTOR SPDR TRXLIOther1.81%160,828+4,761+3.05%$29,790,108
INVESCO EXCHANGE TRADED FD TRSPOther1.81%139,600+27,322+24.33%$29,702,639
ISHARES INCEWZOther1.59%755,740+23,250+3.17%$26,073,021
STATE STR SPDR S&P 500 ETF TSPYOther1.58%34,862-77-0.22%$26,034,243
SPDR SERIES TRUSTSPYVOther1.49%403,951+79,878+24.65%$24,556,189
APPLE INCAAPLTechnology1.35%76,572-420-0.55%$22,156,962
EXCHANGE TRADED CONCEPTS TRUROBOOther1.13%217,296+210,454+3075.91%$18,613,568
SELECT SECTOR SPDR TRXLFOther1.13%345,867-4,281-1.22%$18,541,942
FIRST TR EXCHANGE-TRADED FDGRIDOther1.10%94,143+92,101+4510.33%$18,051,999
SELECT SECTOR SPDR TRXLPOther1.01%199,398+4,077+2.09%$16,564,032
SPDR SERIES TRUSTXAROther0.83%48,295+1,902+4.10%$13,705,573
SELECT SECTOR SPDR TRXLEOther0.79%244,158+4,464+1.86%$12,967,243
BERKSHIRE HATHAWAY INC DELBRK-BFinancial Services0.71%23,469+444+1.93%$11,743,653
MICROSOFT CORPMSFTTechnology0.61%26,691-835-3.03%$9,956,268
SELECT SECTOR SPDR TRXLUOther0.52%189,318+3,055+1.64%$8,583,667
AMAZON COM INCAMZNConsumer Cyclical0.52%35,918+604+1.71%$8,560,697
VANGUARD INDEX FDSVOOOther0.49%11,818-19-0.16%$8,116,515
ELI LILLY & COLLYHealthcare0.49%6,723-28-0.41%$8,063,561
INVESCO QQQ TRQQQOther0.44%9,759+194+2.03%$7,186,842
SELECT SECTOR SPDR TRXLREOther0.39%145,903+1,970+1.37%$6,424,127
Showing 30 of 925 holdings in the latest reporting period.