Byrne Financial Freedom, Llc Portfolio Stock Holdings

Byrne Financial Freedom, Llc disclosed 119 stock positions valued at approximately $256.1 million in its latest SEC 13F filing. The largest holdings include MICRON TECHNOLOGY INC, ALPHABET INC, and AMAZON COM INC. The filing reflects positions held as of June 30, 2026 and was filed on July 30, 2026.

Report Period
June 30, 2026
No. of Stocks
119
Portfolio Value
$256.1M
Holdings by Sector
Byrne Financial Freedom, Llc Portfolio Holdings in Q2 2026

117 holdings in the latest reporting period.

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CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
MICRON TECHNOLOGY INCMUTechnology9.86%21,870-67-0.31%$25,244,259
ALPHABET INCGOOGCommunication Services8.33%60,363-997-1.62%$21,328,036
AMAZON COM INCAMZNConsumer Cyclical8.27%88,888-677-0.76%$21,185,688
ARK ETF TRARKKOther3.83%121,220+4,843+4.16%$9,796,975
COLUMBIA ETF TR IRECSOther3.25%192,408+1,896+1.00%$8,327,421
MICROSOFT CORPMSFTTechnology3.21%22,012+1,148+5.50%$8,210,833
INVESCO EXCH TRD SLF IDX FDIUSOther3.20%124,932-2,892-2.26%$8,193,045
APPLE INCAAPLTechnology2.92%25,810-112-0.43%$7,468,365
NUVEEN AMT FREE QLTY MUN INCXNEAXOther2.88%628,111-13,951-2.17%$7,374,020
WALMART INCWMTConsumer Defensive2.64%59,758-420-0.70%$6,768,195
PALANTIR TECHNOLOGIES INCPLTRTechnology2.45%53,791+2,365+4.60%$6,275,837
INVESCO EXCH TRADED FD TR IIQQQMOther2.43%20,581-199-0.96%$6,235,512
ARK ETF TRARKFOther2.41%156,510+15,408+10.92%$6,175,871
INVESCO EXCH TRADED FD TR IIKBWROther2.04%81,841-793-0.96%$5,232,634
INVESCO QQQ TRQQQOther1.97%6,855-83-1.20%$5,048,021
META PLATFORMS INCMETACommunication Services1.95%8,886+2,528+39.76%$5,005,232
GLOBAL X FDSAIQOther1.74%67,921-288-0.42%$4,456,274
ABRDN SILVER ETF TRUSTSIVROther1.67%76,276+4,092+5.67%$4,288,239
PGIM ETF TRPULSOther1.64%85,016+8,730+11.44%$4,212,532
GLOBAL X FDSPAVEOther1.35%58,780-499-0.84%$3,463,303
NVIDIA CORPORATIONNVDATechnology1.25%16,005+123+0.77%$3,202,455
JANUS DETROIT STR TRJSIOther1.25%62,332-5,878-8.62%$3,192,039
STATE STR SPDR S&P 500 ETF TSPYOther0.91%3,136+204+6.96%$2,341,507
SPDR SERIES TRUSTSPYGOther0.89%19,262+87+0.45%$2,292,013
ISHARES TRSMLFOther0.89%25,588+13,221+106.91%$2,280,873
FRANKLIN TEMPLETON ETF TRFLQSOther0.86%44,877-26,653-37.26%$2,189,870
CARDINAL HEALTH INCCAHHealthcare0.82%8,866+295+3.44%$2,106,265
AMPHENOL CORPAPHTechnology0.82%11,935-2,410-16.80%$2,104,407
INVESCO EXCHANGE TRADED FD TPTHOther0.77%32,917-758-2.25%$1,967,138
JANUS DETROIT STR TRJAAAOther0.77%38,880-14,786-27.55%$1,963,055
SELECT SECTOR SPDR TRXLKOther0.76%10,272-322-3.04%$1,957,023
BROADCOM INCAVGOTechnology0.64%4,356+405+10.25%$1,645,638
PIMCO ETF TRPYLDOther0.59%56,623+1,463+2.65%$1,501,643
SPDR SERIES TRUSTXAROther0.58%5,277-100-1.86%$1,497,560
FRANKLIN TEMPLETON ETF TRFLQMOther0.55%24,455-13,032-34.76%$1,415,566
DELL TECHNOLOGIES INCDELLTechnology0.53%3,119-2,675-46.17%$1,345,723
INTERNATIONAL BUSINESS MACHSIBMTechnology0.51%4,622+145+3.24%$1,299,728
ISHARES TRSOXXOther0.47%1,896+1,896+100.00%$1,214,986
FORTINET INCFTNTTechnology0.45%7,537-230-2.96%$1,157,894
CATERPILLAR INCCATIndustrials0.43%1,031+161+18.51%$1,097,912
FRANKLIN TEMPLETON ETF TRDIEMOther0.43%25,205-80,349-76.12%$1,093,985
GE VERNOVA INCGEVUtilities0.42%908+396+77.34%$1,066,773
SELECT SECTOR SPDR TRXLYOther0.40%8,842-50-0.56%$1,037,032
SELECT SECTOR SPDR TRXLFOther0.40%19,252+200+1.05%$1,032,091
FIRST TR EXCHANGE TRADED FDAIRROther0.39%7,586-250-3.19%$1,010,853
JPMORGAN CHASE & COJPMFinancial Services0.39%3,080-51-1.63%$1,008,198
SELECT SECTOR SPDR TRXLVOther0.39%6,353-1,291-16.89%$1,007,924
FIRST TR EXCHANGE TRADED FDFTXLOther0.37%3,315+15+0.45%$944,610
QUALCOMM INCQCOMTechnology0.37%5,111+224+4.58%$944,426
SONIDA SENIOR LIVING INCSNDAHealthcare0.36%22,491-4,894-17.87%$917,633
JOHNSON & JOHNSONJNJHealthcare0.34%3,428-366-9.65%$870,550
FIRST TR EXCHANGE-TRADED FDCIBROther0.32%9,143+4,598+101.17%$821,523
GE AEROSPACEGEIndustrials0.32%2,168+130+6.38%$810,428
ORACLE CORPORCLTechnology0.31%5,361+1,597+42.43%$785,632
VANGUARD WORLD FDVISOther0.28%1,999+1,999+100.00%$720,507
VANECK ETF TRUSTMOATOther0.28%6,879-365-5.04%$715,124
HOME DEPOT INCHDConsumer Cyclical0.26%1,908-30-1.55%$672,914
EXXON MOBIL CORPXOMEnergy0.24%4,563-76-1.64%$623,921
J P MORGAN EXCHANGE TRADED FJPSTOther0.24%12,297-347-2.74%$621,866
ISHARES TRIVVOther0.24%811+182+28.93%$607,717
CISCO SYS INCCSCOTechnology0.22%4,854-1,299-21.11%$570,105
SPDR SERIES TRUSTSPLGOther0.22%6,358+6,358+100.00%$558,729
SPDR SERIES TRUSTXBIOther0.22%3,526-101-2.78%$557,990
ALPHABET INCGOOGLCommunication Services0.21%1,519-89-5.53%$542,970
AMGEN INCAMGNHealthcare0.21%1,454+67+4.83%$526,665
SELECT SECTOR SPDR TRXLPOther0.19%5,804-220-3.65%$482,095
VICTORY PORTFOLIOS IIVFLOOther0.18%9,865-189-1.88%$451,339
SPDR INDEX SHS FDSSPDWOther0.17%8,891-65,448-88.04%$448,003
WISDOMTREE TRDXJOther0.17%2,574-219-7.84%$446,706
FIRST TR EXCHANGE-TRADED FDFTSMOther0.17%7,191-819-10.22%$429,509
PALO ALTO NETWORKS INCPANWTechnology0.17%1,257-72-5.42%$428,662
ISHARES TRIEFAOther0.17%4,411-915-17.18%$426,055
BOEING COBAIndustrials0.17%1,964+120+6.51%$425,054
QUANTA SVCS INCPWRIndustrials0.17%590-91-13.36%$424,512
VANGUARD SPECIALIZED FUNDSVIGOther0.17%1,794+128+7.68%$424,407
ISHARES TREEMOther0.16%5,948-310-4.95%$406,895
SELECT SECTOR SPDR TRXLIOther0.16%2,189+117+5.65%$405,559
LOWES COS INCLOWConsumer Cyclical0.16%1,837-2-0.11%$405,040
WELLS FARGO & COWFCFinancial Services0.16%4,898-44-0.89%$404,729
SPDR SERIES TRUSTXHBOther0.16%3,461--$399,990
SAP SESAPTechnology0.15%2,565+1,146+80.76%$395,293
ISHARES TRIJHOther0.15%5,043--$388,887
BANK OF AMER CORPBACFinancial Services0.15%6,771-132-1.91%$385,810
UBER TECHNOLOGIES INCUBERTechnology0.15%5,244-43-0.81%$378,433
ISHARES TRTLTOther0.15%4,309+417+10.71%$372,391
ISHARES TRIHIOther0.14%7,456+7,456+100.00%$368,402
UNITY SOFTWARE INCUTechnology0.14%12,288+1,500+13.90%$351,191
ABBVIE INCABBVHealthcare0.13%1,327+20+1.53%$334,037
ISHARES TRITAOther0.13%1,371+1,371+100.00%$332,422
SPDR SERIES TRUSTSPYVOther0.13%5,362+262+5.14%$325,949
VANGUARD INDEX FDSVUGOther0.13%3,783+3,783+100.00%$325,867
ISHARES TRIMCBOther0.13%3,349+3,349+100.00%$323,338
ADVANCED MICRO DEVICES INCAMDTechnology0.13%553+553+100.00%$321,243
CIENA CORPCIENTechnology0.13%654+129+24.57%$320,827
PIMCO ETF TRMUNIOther0.12%6,070+120+2.02%$319,282
TJX COS INC NEWTJXConsumer Cyclical0.12%2,063+1+0.05%$312,497
RTX CORPORATIONRTXIndustrials0.12%1,636-623-27.58%$310,364
STARBUCKS CORPSBUXConsumer Cyclical0.12%3,015-240-7.37%$308,146
INTUITINTUTechnology0.11%1,127-891-44.15%$294,147
ISHARES INCIEMGOther0.11%3,503-200-5.40%$290,175