13F-HR filed by Signature Wealth Management Group
Signature Wealth Management Group filed this 13F-HR for the quarter ended 2025-03-31, filed 2025-04-17, with 113 holding rows worth $256,610,443.
- Accession
- 0001736666-25-000003
- Filer
- CIK 1736666
- Filed
- 2025-04-17
- Accepted by EDGAR
- acceptance time not in the bulk data set
- Ingested
- Source
- SEC quarterly data set
13F report for Q1 2025
A holdings report, 113 entries on the cover page, a total value of $256,610,443 stated on the cover page (in dollars after the unit check, H1), rows summing to $256,610,443 with VALUE read as dollars as filed, 13F file number 028-18713. The quarter's positions are built on this report. The resolved quarter.
The information table after summing rows of one CUSIP and put or call (H4), with the CUSIP and issuer name as filed. Values in dollars after the unit check (method).
| Issuer as filed | CUSIP | Class | Amount | Value | Value read as | Type |
|---|---|---|---|---|---|---|
| Southern Company | 842587107 | COM | 121,660 | $11,186,670 | dollars as filed | |
| ISHARES TR | 46434VBD1 | IBONDS DEC25 ETF | 359,184 | $9,033,466 | dollars as filed | |
| iShares iBonds Dec. 2027 Corporate Bond ETF | 46435UAA9 | ETF | 256,628 | $6,205,254 | dollars as filed | |
| iShares iBonds Dec. 2029 Corporate Bond ETF | 46436E205 | ETF | 243,874 | $5,640,810 | dollars as filed | |
| iShares iBonds Dec 2026 Term Corporate ETF | 46435GAA0 | SHS | 230,154 | $5,572,022 | dollars as filed | |
| iShares iBonds Dec. 2028 Corporate Bond ETF | 46435U515 | ETF | 214,174 | $5,410,037 | dollars as filed | |
| ISHARES TR | 46436E726 | IBONDS DEC 2030 | 247,643 | $5,378,797 | dollars as filed | |
| Home Depot, Inc | 437076102 | COM | 14,335 | $5,253,580 | dollars as filed | |
| AbbVie,Inc. | 00287Y109 | COM | 24,779 | $5,191,653 | dollars as filed | |
| WILLIAMS COS INC COM | 969457100 | Stock | 84,666 | $5,059,669 | dollars as filed | |
| Johnson & Johnson | 478160104 | COM | 28,626 | $4,747,383 | dollars as filed | |
| PAYCHEX INC | 704326107 | COM | 30,581 | $4,717,970 | dollars as filed | |
| Cisco Systems,Inc. | 17275R102 | COM | 75,876 | $4,682,326 | dollars as filed | |
| International Business Machines Corporation | 459200101 | COM | 18,512 | $4,603,193 | dollars as filed | |
| Bristol-Myers Squibb Company | 110122108 | COM | 75,162 | $4,584,129 | dollars as filed | |
| KIMBERLY-CLARK CORP COM | 494368103 | Stock | 32,111 | $4,566,853 | dollars as filed | |
| Chevron Corporation | 166764100 | COM | 26,841 | $4,490,259 | dollars as filed | |
| iShares TIPS Bond ETF | 464287176 | SHS | 40,334 | $4,480,682 | dollars as filed | |
| REALTY INCOME CORP COM | 756109104 | REIT | 76,167 | $4,418,442 | dollars as filed | |
| Microsoft Corp | 594918104 | COM | 11,731 | $4,403,633 | dollars as filed | |
| AMPLIFY ETF TR | 032108409 | CWP ENHANCED DIV | 106,853 | $4,356,389 | dollars as filed | |
| Vanguard Ultra-Short Bond ETF | 92203C303 | SHS | 86,061 | $4,290,597 | dollars as filed | |
| ISHARES TR | 46436E486 | IBONDS DEC 2031 | 206,377 | $4,282,322 | dollars as filed | |
| GAMING & LEISURE P COM | 36467J108 | REIT | 82,998 | $4,224,593 | dollars as filed | |
| BANK OF NY MELLON CORP COM | 064058100 | Stock | 49,126 | $4,120,173 | dollars as filed | |
| HERSHEY CO COM | 427866108 | Stock | 23,944 | $4,095,116 | dollars as filed | |
| Pfizer Inc. | 717081103 | COM | 153,511 | $3,889,957 | dollars as filed | |
| ISHARES TR | 46436E312 | IBONDS DEC 2032 | 151,755 | $3,792,369 | dollars as filed | |
| TRUIST FINL CORP COM | 89832Q109 | Stock | 89,518 | $3,683,674 | dollars as filed | |
| LAMAR ADVERTISING CO CL A | 512816109 | REIT | 32,231 | $3,667,236 | dollars as filed | |
| PepsiCo,Inc. | 713448108 | COM | 24,168 | $3,623,711 | dollars as filed | |
| FLOWERS FOODS INC COM | 343498101 | Stock | 188,911 | $3,591,197 | dollars as filed | |
| Texas Instruments Incorporated | 882508104 | COM | 18,386 | $3,303,981 | dollars as filed | |
| GENERAL MILLS INC COM | 370334104 | Stock | 52,537 | $3,141,191 | dollars as filed | |
| ENTERGY CORP NEW COM | 29364G103 | Stock | 36,462 | $3,117,103 | dollars as filed | |
| United Parcel Service,Inc. Class B | 911312106 | COM | 27,986 | $3,078,219 | dollars as filed | |
| TARGET CORP COM | 87612E106 | Stock | 28,527 | $2,977,115 | dollars as filed | |
| ISHARES TR | 464287432 | 20 YR TR BD ETF | 28,112 | $2,558,994 | dollars as filed | |
| FISERV INC | 337738108 | COM | 11,022 | $2,433,988 | dollars as filed | |
| American Express Company | 025816109 | COM | 8,902 | $2,394,958 | dollars as filed | |
| WILLIAMS SONOMA INC COM | 969904101 | Stock | 15,136 | $2,392,982 | dollars as filed | |
| Apple Inc | 037833100 | COM | 10,526 | $2,338,227 | dollars as filed | |
| BlackRock,Inc. | 09290D101 | COM | 2,347 | $2,221,556 | dollars as filed | |
| ISHARES TR | 46436E130 | IBONDS DEC 2033 | 86,472 | $2,210,228 | dollars as filed | |
| Deere & Company | 244199105 | COM | 4,621 | $2,168,634 | dollars as filed | |
| DOW HLDGS INC COM | 260557103 | Stock | 61,348 | $2,142,261 | dollars as filed | |
| TRACTOR SUPPLY CO COM | 892356106 | Stock | 37,889 | $2,087,688 | dollars as filed | |
| UnitedHealth Group Inc | 91324P102 | COM | 3,924 | $2,055,247 | dollars as filed | |
| Vertex Pharmaceuticals Incorporated | 92532F100 | COM | 4,218 | $2,044,971 | dollars as filed | |
| INVESCO EXCH TRADED FD TR II | 46138g805 | TAXABLE MUN BD | 75,462 | $2,013,329 | dollars as filed | |
| Intuit Inc. | 461202103 | COM | 3,197 | $1,962,917 | dollars as filed | |
| NVIDIA Corp | 67066G104 | COM | 17,598 | $1,907,236 | dollars as filed | |
| Salesforce.com, Inc | 79466L302 | COM | 7,103 | $1,906,159 | dollars as filed | |
| KBHOME | 48666K109 | COM | 32,574 | $1,893,173 | dollars as filed | |
| FIRST TRUST TCW OPPORTUNISTIC | 33740F805 | TCW OPPORTUNIS | 43,141 | $1,891,301 | dollars as filed | |
| Alphabet Inc. Reg. Shares C | 02079K107 | COM | 11,391 | $1,779,657 | dollars as filed | |
| CROWDSTRIKE HLDGS INC | 22788C105 | COM | 5,025 | $1,771,715 | dollars as filed | |
| ZOETIS INC CL A | 98978V103 | Stock | 10,516 | $1,731,398 | dollars as filed | |
| Tesla Motors, Inc | 88160R101 | COM | 6,105 | $1,582,172 | dollars as filed | |
| TJX Companies Inc | 872540109 | COM | 12,627 | $1,537,965 | dollars as filed | |
| TRANE TECHNOLOGIES PLC SHS | G8994E103 | Stock | 4,560 | $1,536,474 | dollars as filed | |
| ServiceNow,Inc. | 81762P102 | COM | 1,921 | $1,529,598 | dollars as filed | |
| NXP SEMICONDUCTORS N V COM | N6596X109 | Stock | 8,005 | $1,521,501 | dollars as filed | |
| iShares iBonds Dec. 2026 Municipal Bond ETF | 46435U259 | ETF | 58,693 | $1,500,184 | dollars as filed | |
| Bit Digital, Inc. Ordinary Shares | 09174C104 | COM | 32,871 | $1,475,249 | dollars as filed | |
| ISHARES | 46435U432 | EXCHANGE TRADED | 55,070 | $1,473,122 | dollars as filed | |
| SNAP ON INC COM | 833034101 | Stock | 4,235 | $1,427,165 | dollars as filed | |
| WINGSTOP INC COM | 974155103 | Stock | 5,943 | $1,340,673 | dollars as filed | |
| iShares iBonds Dec. 2027 Municipal Bond ETF | 46435U283 | ETF | 51,506 | $1,302,075 | dollars as filed | |
| VANECK ETF TRUST | 92189F429 | PREFERRED SECURT | 77,604 | $1,300,642 | dollars as filed | |
| Coca-Cola Company | 191216100 | COM | 16,603 | $1,189,107 | dollars as filed | |
| CHENIERE ENERGY INC COM NEW | 16411R208 | Stock | 5,127 | $1,186,494 | dollars as filed | |
| iShares iBonds Dec. 2028 Municipal Bond ETF | 46435U325 | ETF | 46,606 | $1,178,676 | dollars as filed | |
| CAPITAL GROUP INTL FOCUS EQT | 14019W109 | SHS CREAT UNIT | 45,482 | $1,113,400 | dollars as filed | |
| Adobe Inc | 00724F101 | COM | 2,665 | $1,022,107 | dollars as filed | |
| Walmart Inc. | 931142103 | COM | 9,609 | $843,574 | dollars as filed | |
| RAYMOND JAMES FINL INC COM | 754730109 | Stock | 5,565 | $773,034 | dollars as filed | |
| FIRST TR EXCH TRADED FD III | 33739N108 | MANAGD MUN ETF | 14,941 | $753,358 | dollars as filed | |
| iShares iBonds Dec. 2029 Municipal Bond ETF | 46436E163 | ETF | 29,551 | $739,968 | dollars as filed | |
| Vanguard S&P 500 ETF | 922908363 | COM | 1,285 | $660,382 | dollars as filed | |
| CAPITAL GROUP DIVIDEND GROWE | 14021L109 | SHS ETF | 21,250 | $656,625 | dollars as filed | |
| ISHARES TR | 46436E866 | IBONDS 25 TRM TS | 27,078 | $632,813 | dollars as filed | |
| ISHARES TR | 46436E858 | IBONDS 26 TRM TS | 27,146 | $622,729 | dollars as filed | |
| Eli Lilly and Company | 532457108 | COM | 715 | $590,526 | dollars as filed | |
| Amgen Inc. | 031162100 | COM | 1,798 | $560,233 | dollars as filed | |
| CAPITAL GROUP GROWTH ETF | 14020G101 | SHS CREAT UNIT | 15,972 | $547,041 | dollars as filed | |
| JPMorgan Chase & Co | 46625H100 | COM | 2,213 | $542,864 | dollars as filed | |
| ISHARES TR | 46436E841 | IBONDS 27 TRM TS | 23,863 | $535,008 | dollars as filed | |
| CAPITAL GROUP GBL GROWTH EQT | 14020X104 | SHS CREAT UNIT | 18,435 | $522,264 | dollars as filed | |
| ISHARES TR | 46436E825 | IBONDS 29 TRM TS | 23,908 | $520,477 | dollars as filed | |
| ISHARES TR | 46436E833 | IBONDS 28 TRM TS | 23,266 | $517,669 | dollars as filed | |
| CAPITAL GROUP DIVIDEND VALUE | 14020W106 | SHS CREAT UNIT | 12,226 | $435,735 | dollars as filed | |
| Automatic Data Processing,Inc. | 053015103 | COM | 1,417 | $432,936 | dollars as filed | |
| Procter & Gamble Co | 742718109 | COM | 2,115 | $360,438 | dollars as filed | |
| Berkshire Hathaway Inc | 084670702 | COM | 658 | $350,438 | dollars as filed | |
| DIMENSIONAL ETF TRUST | 25434V401 | US EQUI MARK ETF | 5,764 | $348,614 | dollars as filed | |
| Dimensional US Small Cap ETF | 25434V500 | COM | 5,691 | $340,037 | dollars as filed | |
| EXXON MOBIL CORP | 30231G102 | COM | 2,843 | $338,118 | dollars as filed | |
| ISHARES TR | 46438G687 | IBONDS DEC 2030 | 13,117 | $333,172 | dollars as filed | |
| Lockheed Martin Corporation | 539830109 | COM | 718 | $320,779 | dollars as filed | |
| J P MORGAN EXCHANGE TRADED F | 46641Q134 | INTRNL RES EQT | 4,965 | $316,370 | dollars as filed | |
| Abbott Laboratories | 002824100 | COM | 2,338 | $310,136 | dollars as filed | |
| NextEra Energy,Inc. | 65339F101 | COM | 4,296 | $304,543 | dollars as filed | |
| Charles Schwab Corp | 808513105 | COM | 3,737 | $292,505 | dollars as filed | |
| iShares Gold Trust | 464285204 | COM | 4,806 | $283,362 | dollars as filed | |
| Visa Inc | 92826C839 | COM | 762 | $267,051 | dollars as filed | |
| Merck & Co.,Inc. | 58933Y105 | COM | 2,706 | $242,905 | dollars as filed | |
| AMERICAN CENTY ETF TR | 025072794 | FOCUSED LRG CAP | 3,372 | $235,678 | dollars as filed | |
| SPDR S&P Dividend ETF | 78464A763 | SHS | 1,680 | $227,942 | dollars as filed | |
| SPY | 78462F103 | SHS | 405 | $226,553 | dollars as filed | |
| McDonalds Corporation | 580135101 | COM | 709 | $221,470 | dollars as filed | |
| KROGER CO COM | 501044101 | Stock | 3,221 | $218,029 | dollars as filed | |
| AMERICAN ELEC PWR CO INC COM | 025537101 | Stock | 1,831 | $200,073 | dollars as filed |
Amendment chain
| Filing | Role | Filed | Accepted | Ingested |
|---|---|---|---|---|
| 13F-HR 0001736666-25-000003 | this filing | 2025-04-17 | acceptance time not in the bulk data set |