United Community Bank Portfolio Stock Holdings

United Community Bank disclosed 565 stock positions valued at approximately $299.9 million in its latest SEC 13F filing. The largest holdings include BERKSHIRE HATHAWAY INC DEL CL B NEW COM, ISHARES GOLD TR SHARES REPRESENT ETF, and INVESCO EXCHANGE TRADED FD TR ETF. The filing reflects positions held as of March 31, 2026 and was filed on April 24, 2026.

Report Period
March 31, 2026
No. of Stocks
565
Portfolio Value
$299.9M
Holdings by Sector
United Community Bank Portfolio Holdings in Q1 2026

553 holdings in the latest reporting period.

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CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
BERKSHIRE HATHAWAY INC DEL CL B NEW COMBRK-BFinancial Services9.17%57,373-143-0.25%$27,493,142
ISHARES GOLD TR SHARES REPRESENT ETFIAUMOther5.86%376,344-13,323-3.42%$17,575,241
INVESCO EXCHANGE TRADED FD TR ETFPBPOther3.53%481,748+1,482+0.31%$10,593,628
ISHARES MSCI EAFE ETFEFAOther3.01%92,893-3,724-3.85%$9,022,697
ISHARES TR CORE S&P500 ETFIVVOther2.29%10,524-1,503-12.50%$6,874,382
MICROSOFT CORP COMMSFTTechnology2.17%17,584-841-4.56%$6,509,069
VANGUARD TOTAL STOCK MARKET ETFVTIOther2.00%18,721+5,385+40.38%$6,005,884
ISHARES CORE S&P MIDCAP ETFIJHOther1.91%84,663+6,284+8.02%$5,717,292
INVESCO EXCHANGE TRADED FD TR S&P500SPHQOther1.55%61,925+17,240+38.58%$4,656,141
VANGUARD EXTENDED MARKET ETFVXFOther1.51%22,076+744+3.49%$4,543,241
VANGUARD TOTAL INTL STOCK ETVXUSOther1.51%58,756+19,880+51.14%$4,530,675
VANGUARD GROWTH ETFVUGOther1.47%10,118+2,990+41.95%$4,419,441
APPLE INC COMAAPLTechnology1.33%15,674-40-0.25%$3,977,904
NVIDIA CORPORATION COMNVDATechnology1.29%22,205+235+1.07%$3,872,552
VANGUARD INT TERM CORPORATE ETFVCITOther1.22%44,289+44,289+100.00%$3,664,915
ISHARES GOLD TR ISHARES NEW ETFIAUOther1.20%40,841-9,845-19.42%$3,600,543
CHEVRON CORP NEW COMCVXEnergy1.09%15,852+239+1.53%$3,279,779
ISHARES CORE TOTAL US AGGREGATE BOND ETFAGGOther1.06%32,014+32,014+100.00%$3,178,030
JPMORGAN CHASE & COJPMFinancial Services1.01%10,343+607+6.23%$3,042,497
VANGUARD HIGH DIVIDEND YIELD ETFVYMOther0.99%20,038+5,775+40.49%$2,967,628
ISHARES CORE S&P SMALL CAP ETFIJROther0.98%23,541-2,348-9.07%$2,926,382
J P MORGAN EXCHANGE TRADED FD CORE ETFJCPBOther0.93%59,338+59,338+100.00%$2,793,633
SPDR SER TR SS SPDR BBG INVT FLT RTE ETFFLRNOther0.90%87,260+87,260+100.00%$2,685,863
ISHARES 1-3 YEAR TREASURY BOND ETFSHYOther0.89%32,180+32,180+100.00%$2,657,103
UNITED CMNTY BKS BLAIRSVLE GA COMUCBFinancial Services0.88%84,123+84,123+100.00%$2,649,033
AT&T INC.TCommunication Services0.81%83,879+568+0.68%$2,431,652
VANGUARD FTSE DEVELOPED MARKETS ETFVEAOther0.80%37,216+1,100+3.05%$2,384,801
PHILIP MORRIS INTL INC COMPMConsumer Defensive0.79%14,415+262+1.85%$2,383,376
CISCO SYSTEMS INCCSCOTechnology0.79%30,417-2,088-6.42%$2,360,055
STATE STREET SPDR S&P 500 ETF TRUST UNITSPYOther0.77%3,529+1,823+106.86%$2,295,050
VANGUARD SCOTTSDALE FDS INTER TERM ETFVGITOther0.75%37,960+37,960+100.00%$2,260,518
AMAZON INC COMAMZNConsumer Cyclical0.75%10,737+311+2.98%$2,236,195
VANGUARD INTERMEDIATE TERM BD ETFBIVOther0.73%28,456+28,456+100.00%$2,196,234
VANGUARD INTL EQUITY INDEX FDS FTSE ETFVWOOther0.68%37,585+12+0.03%$2,031,469
ABBVIE INC COMABBVHealthcare0.68%9,336+168+1.83%$2,030,487
ALPHABET INC CAP STK CL CGOOGCommunication Services0.67%7,010-1,252-15.15%$2,010,889
BROADCOM INC COMAVGOTechnology0.66%6,433+115+1.82%$1,991,078
COCA COLA CO COMKOConsumer Defensive0.66%26,158-56-0.21%$1,989,316
DUKE ENERGY CORP NEW COM NEWDUKUtilities0.65%14,870-238-1.58%$1,947,078
MERCK & CO INCMRKHealthcare0.64%16,035+2,770+20.88%$1,928,850
HOME DEPOT INCHDConsumer Cyclical0.64%5,799-1,413-19.59%$1,907,233
META PLATFORMS INC CL A COMMETACommunication Services0.63%3,316-27-0.81%$1,897,183
NEXTERA ENERGY INC COMNEEUtilities0.58%18,746-1,163-5.84%$1,741,128
BRISTOL-MYERS SQUIBB CO COMBMYHealthcare0.57%28,324+405+1.45%$1,717,851
WALMART INC COMWMTConsumer Defensive0.57%13,809-741-5.09%$1,716,183
ISHARES TR ISHS 1-5YR INVS ETFIGSBOther0.56%31,748+31,748+100.00%$1,668,675
ALPHABET INC CL AGOOGLCommunication Services0.55%5,787-397-6.42%$1,664,110
COSTCO WHSL CORP NEW COMCOSTConsumer Defensive0.55%1,650-94-5.39%$1,644,110
GILEAD SCIENCES INC COMGILDHealthcare0.54%11,719+390+3.44%$1,633,277
VERIZON COMMUNICATIONS INC COMVZCommunication Services0.54%32,171+2,865+9.78%$1,614,984
INTERNATIONAL BUSINESS MACHS COMIBMTechnology0.53%6,608-46-0.69%$1,601,713
ONEOK INC NEW COMOKEEnergy0.53%17,718+722+4.25%$1,601,530
BLACKROCK INC COMBLKOther0.53%1,649-29-1.73%$1,585,860
SELECT SECTOR SPDR TR STATE ST TECH ETFXLKOther0.50%11,297-327-2.81%$1,501,371
EXXON MOBIL CORPXOMEnergy0.50%8,786-2,008-18.60%$1,490,633
BP PLC SPONSORED ADRBPEnergy0.49%31,536+2,080+7.06%$1,482,192
ELI LILLY & CO COMLLYHealthcare0.45%1,482+82+5.86%$1,363,099
PNC FINANCIAL SERVICES GROUP INCPNCFinancial Services0.45%6,473-285-4.22%$1,346,967
GOLDMAN SACHS ETF TR ACCES TREASURY ETFGBILOther0.42%12,440+12,440+100.00%$1,246,364
SPDR SER TR SS SPDR PORT SHT TRM BD ETFSPSBOther0.41%41,095+41,095+100.00%$1,235,727
CSX CORPCSXIndustrials0.41%30,039-411-1.35%$1,233,101
JOHNSON & JOHNSON COMJNJHealthcare0.41%5,005-3,410-40.52%$1,223,422
VANGUARD SHORT TERM TREAS BOND ETFVGSHOther0.40%20,537+20,537+100.00%$1,202,236
VISA INC COM CL AVFinancial Services0.39%3,887+320+8.97%$1,174,807
DARDEN RESTAURANTS INC COMDRIConsumer Cyclical0.39%5,908-478-7.49%$1,158,204
EMERSON ELEC CO COMEMRIndustrials0.38%8,788+106+1.22%$1,151,404
AUTOZONE INCAZOConsumer Cyclical0.35%312+308+7700.00%$1,053,867
SCHWAB CHARLES CORP COMSCHWFinancial Services0.35%11,149+124+1.12%$1,047,783
CITIGROUP INC COM NEWCFinancial Services0.34%9,037+395+4.57%$1,024,886
INVESCO QQQ TR UNIT SER ETFQQQOther0.34%1,752-62-3.42%$1,011,219
AUTOMATIC DATA PROCESSING INCADPTechnology0.33%4,907-229-4.46%$997,004
U S BANCORP NEWUSBFinancial Services0.33%18,888-1,242-6.17%$982,365
LOCKHEED MARTIN CORP COMLMTIndustrials0.32%1,565+216+16.01%$945,870
MASTERCARD INC CL AMAFinancial Services0.32%1,891+140+8.00%$944,857
ENBRIDGE INC COMENBEnergy0.31%17,289-4,788-21.69%$936,026
COMCAST CORP CL A (NEW)CMCSACommunication Services0.31%31,921+3,545+12.49%$916,452
FRANKLIN RESOURCES INC COMBENFinancial Services0.30%37,529+3,505+10.30%$886,435
MORGAN STANLEY COM NEWMSFinancial Services0.29%5,376+245+4.77%$884,728
UNITED PARCEL SVCS INC COM CL BUPSIndustrials0.29%8,951+1,263+16.43%$880,599
STATE STRT SPDR S&P MIDCAP 400 ETF TRUSTMDYOther0.28%1,377+40+2.99%$849,279
EATON CORP PLCETNOther0.28%2,373+126+5.61%$848,751
TRUIST FINL CORP COMTFCFinancial Services0.28%18,294+1,115+6.49%$840,975
VALERO ENERGY CORP NEWVLOEnergy0.28%3,366+135+4.18%$831,671
CATERPILLAR INC COMCATIndustrials0.28%1,166+5+0.43%$826,064
OMEGA HEALTHCARE INVESTORSOHIReal Estate0.27%18,540+1,180+6.80%$812,423
TARGET CORPTGTConsumer Defensive0.27%6,690+1,238+22.71%$810,828
TORONTO DOMINION BK ONT COM NEWTDFinancial Services0.26%8,475+365+4.50%$790,802
VANGUARD INDEX FDS REAL ESTATE ETFVNQOther0.25%8,467-3,461-29.02%$751,023
PFIZER INC COMPFEHealthcare0.24%26,033+2,831+12.20%$731,007
WISDOMTREE TR US QTLY DIV GRT ETFDGRWOther0.23%7,849-50-0.63%$689,456
AMERICAN EXPRESS COAXPFinancial Services0.23%2,262-608-21.18%$684,210
MEDTRONIC PLCMDTOther0.23%7,823-1,401-15.19%$677,863
BANK OF AMERICA CORPBACFinancial Services0.22%13,794+1,323+10.61%$672,458
KIMBERLY-CLARK CORP COMKMBConsumer Defensive0.22%6,883-241-3.38%$664,003
ISHARES NORTH AMERICAN TECH-SOFTWARE ETFIGVOther0.22%8,265-1,857-18.35%$661,613
ISHARES SELECT DIVIDEND ETFDVYOther0.22%4,310-1,410-24.65%$652,577
APPLIED MATERIALS INCAMATTechnology0.22%1,908-211-9.96%$652,135
RIO TINTO PLC SPONSORED ADRRIOBasic Materials0.20%6,288+230+3.80%$586,608
ISHARES S&P 500 GROWTH ETFIVWOther0.19%5,087-95-1.83%$575,391
ORACLE CORP COMORCLTechnology0.18%3,643+100+2.82%$535,922