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13F-HR filed by Partnership Wealth Management, LLC

Partnership Wealth Management, LLC filed this 13F-HR for the quarter ended 2026-06-30, filed 2026-07-10, with 67 holding rows worth $147,947,821.

Accession
0002010656-26-000004
Filed
2026-07-10
Accepted by EDGAR
acceptance time not in the bulk data set
Ingested
Source
SEC quarterly data set

Original filing

13F report for Q2 2026

A holdings report, 67 entries on the cover page, a total value of $147,947,821 stated on the cover page (in dollars after the unit check, H1), rows summing to $147,947,821 with VALUE read as dollars as filed, 13F file number 028-23630. 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 filedCUSIPClassAmountValueValue read asType
Eli Lilly and Company532457108COM21,162$25,382,338dollars as filed
INVESCO EXCHANGE-TRADED FD TR S&P 500 EQUAL WEIGHT ETF46137V357COM118,841$25,285,800dollars as filed
IJH464287507COM163,831$12,633,046dollars as filed
SPDW78463X889COM218,092$10,989,660dollars as filed
iShares Core S&P Small-Cap ETF464287804SHS70,869$10,510,641dollars as filed
SPDR SER TR78464A508PRTFLO S&P500 VL52,641$3,200,025dollars as filed
ISHARES MSCI EAFE SMALL-CAP ETF464288273ETF38,716$3,185,203dollars as filed
ISHARESRUSSELL1000GROWTHETF464287614STOK25,647$3,184,543dollars as filed
SPDR Portfolio Emerging Markets ETF78463X509SHS58,854$3,047,485dollars as filed
TRANE TECHNOLOGIES PLC SHSG8994E103Stock5,250$2,578,590dollars as filed
Johnson & Johnson478160104COM10,000$2,539,700dollars as filed
NORFOLK SOUTHN CORP COM655844108Stock8,035$2,527,731dollars as filed
Microsoft Corp594918104COM6,055$2,258,609dollars as filed
MOLINA HEALTHCARE INC60855R100COM9,278$2,121,879dollars as filed
DIAMONDBACK ENERGY INC COM25278X109Stock10,576$1,859,049dollars as filed
Bristol-Myers Squibb Company110122108COM31,356$1,806,705dollars as filed
CORNING INC219350105COM6,500$1,660,295dollars as filed
PepsiCo,Inc.713448108COM11,971$1,620,907dollars as filed
COLGATE PALMOLIVE CO COM194162103Stock17,254$1,581,847dollars as filed
Berkshire Hathaway Inc084670702COM3,006$1,504,172dollars as filed
Abbott Laboratories002824100COM14,927$1,354,476dollars as filed
Apple Inc037833100COM4,633$1,340,687dollars as filed
Walt Disney Co254687106COM13,831$1,331,234dollars as filed
Medtronic PlcG5960L103COM16,195$1,266,935dollars as filed
PPG INDS INC COM693506107Stock10,000$1,212,900dollars as filed
EMERSON ELEC CO COM291011104Stock8,193$1,172,828dollars as filed
Cisco Systems,Inc.17275R102COM9,700$1,139,362dollars as filed
Intel Corp458140100COM8,000$1,117,040dollars as filed
CONSTELLATION ENERGY CORP COM21037T109Stock4,489$1,114,933dollars as filed
CENCORA INC COM03073E105Stock3,600$1,018,728dollars as filed
Chevron Corporation166764100COM5,800$961,408dollars as filed
Procter & Gamble Co742718109COM6,078$891,212dollars as filed
McDonalds Corporation580135101COM3,155$852,828dollars as filed
Pfizer Inc.717081103COM29,614$713,105dollars as filed
NextEra Energy,Inc.65339F101COM8,000$702,160dollars as filed
FEDEX CORP COM31428X106Stock2,100$657,573dollars as filed
EXELON CORP COM30161N101Stock13,467$627,832dollars as filed
AbbVie,Inc.00287Y109COM2,349$591,102dollars as filed
AIR PRODS & CHEMS INC009158106COM2,000$586,360dollars as filed
WEC ENERGY GROUP INC COM92939U106Stock4,900$572,173dollars as filed
ALBEMARLE CORP012653101COM4,000$540,120dollars as filed
Raytheon Technologies Corporation75513E101COM2,726$517,260dollars as filed
AT&T Inc00206R102COM24,858$514,561dollars as filed
SPDR Portfolio S&P 1500 Composite Stock Market ETF78464A805SHS5,421$492,163dollars as filed
Automatic Data Processing,Inc.053015103COM2,043$457,530dollars as filed
Vanguard Ultra-Short Bond ETF92203C303SHS9,038$449,912dollars as filed
SYSCOCORP871829107COM5,000$417,900dollars as filed
FIDELITY COVINGTON TRUST316092600MSCI HLTH CARE I5,355$413,676dollars as filed
MASCO CORP574599106COM5,000$406,850dollars as filed
MCCORMICK & CO INC COM NON VTG579780206Stock8,000$403,360dollars as filed
INGERSOLL RAND INC COM45687V106Stock4,790$392,732dollars as filed
American Express Company025816109COM1,010$341,622dollars as filed
Duke Energy Corporation26441C204COM2,612$330,627dollars as filed
Alphabet Inc. Reg. Shares A02079K305COM921$329,121dollars as filed
Coca-Cola Company191216100COM4,000$325,080dollars as filed
3M CO COM88579Y101Stock2,000$323,820dollars as filed
Verizon Communications Inc92343V104COM7,442$315,094dollars as filed
Vanguard Small-Cap ETF922908751SHS975$295,597dollars as filed
KIMBERLY-CLARK CORP COM494368103Stock2,500$274,425dollars as filed
Philip Morris International Inc.718172109COM1,426$257,967dollars as filed
Merck & Co.,Inc.58933Y105COM2,000$257,000dollars as filed
ALLEGION PLCG0176J109ORD SHS1,801$253,022dollars as filed
UGI CORP NEW COM902681105Stock6,750$233,145dollars as filed
Lowes Companies,Inc.548661107COM1,000$220,490dollars as filed
GENERAL MILLS INC COM370334104Stock6,000$208,800dollars as filed
INVESCO QQQ TR46090E103COM280$206,192dollars as filed
FOSSIL GROUP INC34988V106COMMON STOCK16,100$66,654dollars as filed

Amendment chain

FilingRoleFiledAcceptedIngested
13F-HR 0002010656-26-000004this filing2026-07-10acceptance time not in the bulk data set