Brighton Securities Corp. Portfolio Stock Holdings

Brighton Securities Corp. disclosed 50 stock positions valued at approximately $232.8 million in its latest SEC 13F filing. The largest holdings include VANGUARD INDEX FDS ETF, VANGUARD INTERMEDIAT ETF, and SPDR PORTFOLIO ETF. 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
50
Portfolio Value
$232.8M
Holdings by Sector
Brighton Securities Corp. Portfolio Holdings in Q2 2026

48 holdings in the latest reporting period.

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CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
VANGUARD INDEX FDS ETFVOOOther31.44%106,571+1,894+1.81%$73,194,370
VANGUARD INTERMEDIAT ETFBIVOther14.61%443,456+8,641+1.99%$34,013,101
SPDR PORTFOLIO ETFSPDWOther11.17%516,023+10,499+2.08%$26,002,385
VANGUARD EXTENDED ETFVXFOther7.38%69,812+1,549+2.27%$17,188,311
VANGUARD GROWTH ETFVUGOther6.27%169,576+142,351+522.87%$14,607,251
VANGUARD VALUE ETFVTVOther3.98%42,570+1,598+3.90%$9,277,297
SPDR PORTFOLIO ETFSPEMOther3.81%171,243+3,921+2.34%$8,866,966
VANGUARD MID CAP ETFVOOther2.96%85,580+64,918+314.19%$6,895,171
VANGUARD TOTAL INTL ETFBNDXOther2.56%123,300+2,120+1.75%$5,971,399
STATE STREET SPDR ETFSPHYOther1.46%144,588+3,934+2.80%$3,389,131
VANGUARD SMALL CAP ETFVBOther1.36%10,409+340+3.38%$3,155,265
ISHARES TR ETFIBDROther1.13%108,413+4,099+3.93%$2,626,842
VANGUARD SHORT TERM ETFBSVOther1.06%31,691+539+1.73%$2,469,063
VANGUARD HIGH DIVIDE ETFVYMOther1.00%14,723+489+3.44%$2,326,738
SPDR GOLD TRUST ETFGLDOther0.97%6,139+359+6.21%$2,261,485
VANGUARD EMERGING ETFVWOBOther0.96%33,289+564+1.72%$2,238,371
VANGUARD LONG TERM ETFBLVOther0.95%32,174+568+1.80%$2,217,720
INVESCO TR II ETFPGXOther0.82%176,237+8,374+4.99%$1,910,414
VANGUARD INTERNATINL ETFVYMIOther0.67%15,829+478+3.11%$1,554,404
VANGUARD MORTGAGE ETFVMBSOther0.64%31,886+2,348+7.95%$1,492,602
VANGUARD SHORT TERM ETFVTIPOther0.62%28,601+437+1.55%$1,436,609
ISHARES ETFNYFOther0.55%23,741+188+0.80%$1,279,773
VANGUARD INTERMEDIATEETFVCITOther0.51%14,306+1,116+8.46%$1,182,365
MICROSOFT CORPMSFTTechnology0.21%1,329+73+5.81%$495,841
APPLE INCAAPLTechnology0.19%1,522+98+6.88%$440,372
AMAZON COM INCAMZNConsumer Cyclical0.15%1,509+35+2.37%$359,655
NVIDIA CORPNVDATechnology0.15%1,770+141+8.66%$354,161
L3HARRIS TECHNOLOGIESLHXIndustrials0.14%1,144+23+2.05%$332,551
VANGUARD MUN BD FDS ETFVTEBOther0.14%6,510+112+1.75%$329,264
ONEOK INC NEWOKEEnergy0.13%3,368-428-11.28%$292,805
MERCK & CO INC NEWMRKHealthcare0.12%2,102-46-2.14%$270,123
ELI LILLY & COLLYHealthcare0.11%223-24-9.72%$267,473
HOME DEPOT INCHDConsumer Cyclical0.11%702+21+3.08%$247,609
ITT INCITTIndustrials0.11%1,248-140-10.09%$246,769
WASTE MGMT INC DELWMIndustrials0.11%1,104-37-3.24%$245,989
VISA INC CLASS AVFinancial Services0.10%702-11-1.54%$240,851
RLI CORPRLIFinancial Services0.10%4,076+444+12.22%$240,793
AAON INCAAONIndustrials0.10%1,888-993-34.47%$239,506
SOUTHERN COMPANYSOUtilities0.10%2,428-150-5.82%$232,393
JPMORGAN CHASE & COJPMFinancial Services0.10%707+64+9.95%$231,365
DT MIDSTREAM INCDTMEnergy0.10%1,531-292-16.02%$224,609
META PLATFORMS INCMETACommunication Services0.10%396+9+2.33%$223,076
INTERNATIONAL BUSINESSIBMTechnology0.09%781+30+3.99%$219,625
STRYKER CORPSYKHealthcare0.09%662+38+6.09%$208,424
VANGUARD DIVIDEND ETFVIGOther0.09%880-92-9.47%$208,226
DUKE ENERGY CORPDUKUtilities0.09%1,622-113-6.51%$205,276
COCA-COLA COMPANYKOConsumer Defensive0.09%2,516-2,902-53.56%$204,439
EXXON MOBIL CORP CHGXOMEnergy0.09%1,479-1,118-43.05%$202,181