CWA Asset Management Group, LLC

Holdings as of 2026-06-30, filed 2026-07-14

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 14 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
720
Value reported by manager
$3.3B
Sum of our stored positions
$3.3B
should match the line above
Disclosure lag
14 d
quarter end to filing
Top 5 concentration
21.0%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
1
puts and calls

Positions

200 largest shown
IssuerClassValueSharesTypeCUSIP
NVIDIA CORPORATIONCOM$200M999,79867066G104
APPLE INCCOM$167.6M579,127037833100
MICROSOFT CORPCOM$77.1M206,608594918104
ISHARES TR1 3 YR TREAS BD$69.3M843,777464287457
VANGUARD SCOTTSDALE FDSINT-TERM CORP$66.5M804,32792206C870
CAPITOL SER TRSTERL CAP BD ETF$59.6M2,380,80414064D444
AMAZON COM INCCOM$57.7M242,287023135106
TEXAS PACIFIC LAND CORPORATICOM$55.9M127,62788262P102
ALPHABET INCCAP STK CL C$55.6M157,28502079K107
TENARIS S ASPONSORED ADS$54.8M987,29188031M109
ALPHABET INCCAP STK CL A$52.5M146,95102079K305
TRANSOCEAN LTDREGISTERED SHS$42.5M8,688,877H8817H100
VANGUARD INDEX FDSTOTAL STK MKT$40.5M109,459922908769
BERKSHIRE HATHAWAY INC DELCL B NEW$39.5M78,903084670702
SPDR GOLD TRGOLD SHS$33.2M90,23878463V107
JPMORGAN CHASE & COCOM$32.5M99,41346625H100
META PLATFORMS INCCL A$31M55,04830303M102
COSTCO WHOLESALE CORPORATIONCOM$30.9M33,08222160K105
J P MORGAN EXCHANGE TRADED FULTRA SHT MUNCPL$30.7M601,09146641Q654
BROADCOM INCCOM$28.8M76,19911135F101
SPDR SERIES TRUSTST STR BLO 1 ETF$28.5M310,57078468R663
NOBLE CORP PLCORD SHS A$27.9M746,959G65431127
JOHNSON & JOHNSONCOM$24.8M97,695478160104
CORNING INCCOM$24.8M97,057219350105
ERIE INDTY COCL A$21.8M91,11029530P102
ABBVIE INCCOM$21.7M86,25900287Y109
CAMECO CORPCOM$21M205,82713321L108
VISA INCCOM CL A$20.6M59,92392826C839
SOUTHERN COCOM$20.5M214,338842587107
CORE LABORATORIES INCCOM$20.4M1,755,08521867A105
LAM RESEARCH CORPCOM NEW$20.4M46,999512807306
ISHARES TRCORE S&P500 ETF$19.5M25,990464287200
MERCADOLIBRE INCCOM$19.2M11,34058733R102
ISHARES TRRUSEL 2500 ETF$18.8M205,08246435G268
SPDR SERIES TRUSTST STR BL 12 ETF$18.4M184,85878468R523
CARDINAL HEALTH INCCOM$18.3M76,98014149Y108
STATE STR SPDR S&P 500 ETF TTR UNIT$17.3M23,17078462F103
JABIL INCCOM$16.8M43,636466313103
DUKE ENERGY CORP NEWCOM NEW$16.7M131,79126441C204
GOLDMAN SACHS GROUP INCCOM$16.6M16,39738141G104
RELIANCE INCCOM$16.1M43,053759509102
WESTERN DIGITAL CORPCOM$15.8M24,730958102105
ALTRIA GROUP INCCOM$15.8M219,50502209S103
SEABOARD CORP DELCOM$15.6M3,495811543107
DEERE & COCOM$15M23,679244199105
ISHARES TRTRUST ISHARE 0-1$14.7M133,320464288679
PALANTIR TECHNOLOGIES INCCL A$14.1M120,45669608A108
WHEATON PRECIOUS METALS CORPCOM$13.9M124,002962879102
CASEYS GEN STORES INCCOM$13.6M17,057147528103
MESABI TRCTF BEN INT$13.1M518,974590672101
CISCO SYS INCCOM$13M110,41117275R102
PUBLIC STORAGECOM$12.7M39,96874460D109
TESLA INCCOM$12.5M29,80788160R101
VANGUARD TAX-MANAGED FDSVAN FTSE DEV MKT$11.7M163,511921943858
GENERAL MTRS COCOM$11.2M145,54037045V100
CITIGROUP INCCOM NEW$11M78,722172967424
QUALCOMM INCCOM$11M59,588747525103
GARMIN LTDSHS$10.9M45,935H2906T109
ISHARES TRNATIONAL MUN ETF$10.8M100,214464288414
SELECT SECTOR SPDR TRST STR SVC ETF$10.8M100,54381369Y852
MASTERCARD INCORPORATEDCL A$10.7M20,91057636Q104
INTERACTIVE BROKERS GROUP INCOM CL A$10.7M122,48645841N107
ORLA MNG LTD NEWCOM$10.7M1,088,69968634K106
BANK OF AMER CORPCOM$10.6M186,197060505104
ALAMOS GOLD INCCOM CL A$10.5M345,801011532108
BRISTOL-MYERS SQUIBB COCOM$10.3M179,351110122108
SPROTT INCCOM NEW$9.9M88,339852066208
LOCKHEED MARTIN CORPCOM$9.8M19,198539830109
AGNICO EAGLE MINES LTDCOM$9.7M62,708008474108
VANGUARD INDEX FDSS&P 500 ETF SHS$9.7M14,162922908363
HUBBELL INCCOM$9.5M18,111443510607
INCYTE CORPCOM$9.4M83,24945337C102
MAGNA INTL INCCOM$9.4M142,741559222401
ORACLE CORPCOM$9.2M63,03968389X105
CUMMINS INCCOM$9.2M12,953231021106
APPLIED MATLS INCCOM$9.1M12,639038222105
VANGUARD SCOTTSDALE FDSSHRT TRM CORP BD$9M113,43692206C409
ELI LILLY & COCOM$8.9M7,425532457108
RTX CORPORATIONCOM$8.6M45,53875513E101
GREENLIGHT CAP RE LTDCLASS A$8.6M532,059G4095J109
PROLOGIS INC.COM$8.6M63,25174340W103
BLACKSTONE INCCOM$8.5M71,88609260D107
ZOOM COMMUNICATIONS INCCL A$8.3M96,68598980L101
MICRON TECHNOLOGY INCCOM$8.3M7,175595112103
BIOGEN INCCOM$8.2M38,12709062X103
CATERPILLAR INCCOM$8.2M7,727149123101
RAYMOND JAMES FINL INCCOM$8.2M53,655754730109
GILEAD SCIENCES INCCOM$8M63,399375558103
FTI CONSULTING INCCOM$8M53,706302941109
ADVANCED MICRO DEVICES INCCOM$7.9M13,553007903107
FIRST HORIZON CORPORATIONCOM$7.8M306,050320517105
PROCTER & GAMBLE COCOM$7.8M53,343742718109
ASML HLDG NVN Y REGISTRY SHS$7.8M3,931N07059210
SLB LIMITEDCOM STK$7.8M166,985806857108
TEXAS INSTRS INCCOM$7.8M26,007882508104
AUTODESK INCCOM$7.7M39,651052769106
SYNCHRONY FINANCIALCOM$7.6M100,19387165B103
ISHARES TRCORE MSCI EAFE$7.6M78,87746432F842
MOSAIC COCOM$7.5M354,29461945C103
EMCOR GROUP INCCOM$7.5M9,03329084Q100
WALMART INCCOM$7.5M66,184931142103
PULTE GROUP INCCOM$7.5M54,358745867101
GLOBE LIFE INCCOM$7.4M41,48337959E102
EXXON MOBIL CORPCOM$7.3M53,40430231G102
FIRSTCASH HOLDINGS INCCOM$7.2M33,13833768G107
TAPESTRY INCCOM$7.1M48,458876030107
EXPEDIA GROUP INCCOM NEW$7M27,23130212P303
MUELLER INDS INCCOM$7M56,645624756102
FORTINET INCCOM$6.9M45,21734959E109
ROKU INCCOM CL A$6.9M49,69477543R102
AVISTA CORPCOM$6.9M167,76405379B107
ISHARES TRRUSSELL 2000 ETF$6.7M22,412464287655
CHEVRON CORPORATIONCOM$6.7M40,293166764100
VANGUARD INDEX FDSSMALL CP ETF$6.6M21,843922908751
FIRST TR EXCH TRADED FD IIIMANAGD MUN ETF$6.5M127,17433739N108
EBAY INC.COM$6.4M57,483278642103
LINDSAY CORPCOM$6.4M51,785535555106
APPLOVIN CORPCOM CL A$6.4M12,36203831W108
BORGWARNER INCCOM$6.4M95,886099724106
SNAP ON INCCOM$6.1M15,239833034101
KRAFT HEINZ COCOM$6.1M256,812500754106
VERISIGN INCCOM$6M23,86492343E102
M & T BK CORPCOM$5.8M24,45155261F104
EDISON INTLCOM$5.8M77,835281020107
ENTERGY CORP NEWCOM$5.8M50,40629364G103
ISHARES TR0-3 MTH TREASURY$5.7M56,43246436E718
HOME DEPOT INCCOM$5.6M15,886437076102
COCA COLA CONS INCCOM$5.5M28,919191098102
VODAFONE GROUP PLCSPONSORED ADR$5.5M412,35392857W308
ENBRIDGE INCCOM$5.4M100,42229250N105
KLA CORPCOM NEW$5.4M17,920482480100
FIDELITY NATL FINL INCCOM SHS$5.4M114,07931620R303
ARCHER DANIELS MIDLAND COCOM$5.3M69,592039483102
CONSOLIDATED WATER CO INCORD$5.3M179,551G23773107
ENERSYSCOM$5.3M22,48829275Y102
GE VERNOVA INCCOM$5.2M4,45436828A101
PORTLAND GEN ELEC COCOM NEW$5.2M100,356736508847
SABINE RTY TRUNIT BEN INT$5.2M70,788785688102
PINNACLE WEST CAP CORPCOM$5.2M48,259723484101
NXP SEMICONDUCTORS N VCOM$5.1M18,322N6596X109
VANECK ETF TRUSTOIL SERVICES ETF$5.1M13,800Call92189H607
SELECT SECTOR SPDR TRST STR ENERG ETF$5.1M95,33181369Y506
DAVITA INCCOM$5M22,49023918K108
MERCK & CO INCCOM$4.9M38,42958933Y105
VALERO ENERGY CORPCOM$4.8M18,57891913Y100
VANGUARD WORLD FDINF TECH ETF$4.8M40,25392204A702
INTERNATIONAL BUSINESS MACHSCOM$4.8M17,005459200101
DIMENSIONAL ETF TRUSTUS EQUI MARK ETF$4.8M58,33625434V401
GRACO INCCOM$4.8M62,954384109104
ISHARES TRISHS 1-5YR INVS$4.8M90,724464288646
JAZZ PHARMACEUTICALS PLCSHS USD$4.7M19,619G50871105
PLAINS ALL AMERN PIPELINE LUNIT LTD PARTN$4.7M211,034726503105
EVERSOURCE ENERGYCOM$4.7M64,96230040W108
APA CORPORATIONCOM$4.7M143,83603743Q108
MCDONALDS CORPCOM$4.6M17,143580135101
MYR GROUP INCCOM$4.6M9,21055405W104
JONES LANG LASALLE INCCOM$4.6M14,82448020Q107
VANGUARD INSTL INDEX FD0 3 MO TR BI ETF$4.6M60,593922040845
SELECT SECTOR SPDR TRST STR TECHN ETF$4.6M24,05581369Y803
STATE STR CORPCOM$4.6M26,978857477103
PENGUIN SOLUTIONS INCCOM$4.6M60,179706915105
NOVARTIS AGSPONSORED ADR$4.6M29,08366987V109
KARAT PACKAGING INCCOM$4.6M136,16048563L101
MARRIOTT INTL INC NEWCL A$4.5M12,243571903202
INVESCO QQQ TRUNIT SER 1$4.5M6,15246090E103
RAMBUS INC DELCOM$4.5M33,994750917106
TENET HEALTHCARE CORPCOM NEW$4.5M24,09588033G407
ECOPETROL S ASPONSORED ADS$4.4M309,290279158109
BRITISH AMERN TOB PLCSPONSORED ADR$4.4M71,243110448107
NEXTERA ENERGY INCCOM$4.3M49,31065339F101
VANGUARD INDEX FDSSM CP VAL ETF$4.3M17,777922908611
VANGUARD INTL EQUITY INDEX FFTSE EMR MKT ETF$4.3M71,941922042858
QORVO INCCOM$4.2M45,25174736K101
MATCH GROUP INC NEWCOM$4.2M110,14257667L107
FRANCO NEV CORPCOM$4.1M19,767351858105
ALGONQUIN POWER & UTILITIESCOM$4.1M701,578015857105
LAS VEGAS SANDS CORPCOM$4.1M88,730517834107
FEDEX CORPCOM$4.1M12,96831428X106
PLAINS GP HLDGS L PLTD PARTNR INT A$4.1M167,04972651A207
CIRRUS LOGIC INCCOM$4M27,246172755100
DEVON ENERGY CORP NEWCOM$4M97,32125179M103
GRANITE RIDGE RESOURCES INCCOM$4M911,580387432107
HUNT J B TRANS SVCS INCCOM$4M13,780445658107
AERCAP HOLDINGS NVSHS$3.9M26,516N00985106
INTEL CORPCOM$3.9M27,682458140100
GARRETT MOTION INCCOM$3.9M106,623366505105
COSTAMARE INCSHS$3.8M273,556Y1771G102
PHINIA INCCOMMON STOCK$3.8M46,41071880K101
KINDER MORGAN INC DELCOM$3.7M117,19149456B101
BERKSHIRE HATHAWAY INC DELCL A$3.7M5084670108
HAVERTY FURNITURE COS INCCOM$3.7M144,000419596101
VANGUARD INDEX FDSVALUE ETF$3.7M16,826922908744
SUNCOR ENERGY INC NEWCOM$3.6M67,877867224107
HALLIBURTON COCOM$3.6M105,394406216101
ADOBE INCCOM$3.5M17,04400724F101
GE AEROSPACECOM NEW$3.5M9,286369604301
EXELIXIS INCCOM$3.4M63,17330161Q104
AURINIA PHARMACEUTICALS INCCOM$3.4M202,44005156V102
SMITH A O CORPCOM$3.4M54,678831865209
CHINA YUCHAI INTL LTDCOM$3.4M71,366G21082105
Values are shown exactly as filed. Before 2023 managers reported in thousands of dollars and afterwards in whole dollars; the reporting unit is not always determinable from the document, so nothing is converted automatically.

Source: U.S. Securities and Exchange Commission, Form 13F · as of 2026-07-14