13FBOX
Diversify Advisory Services, LLC · 13F Holdings
Options Calculator Rankings

Diversify Advisory Services, LLC

No.3553
Latest AUM (Q2 2026)
$672.7M
QoQ Change Q1 2026
+$17.7M+2.7%
Holdings
210
New Buys
0
Adds
0
Reduces
0
Exits
0
Unchanged
210
Holdings Value Trend
Holdings by Sector
Stock Ownership TrendPortfolio %Prev Q %Q2 2026 ValueQ2 2026 SharesPrev Q ValuePrev Q SharesShares ChangeAction
NVIDIA CORPORATIONNVDA
13.96%14.34%$93.9M448,932$93.9M448,93200.00%Unchanged
MICRON TECHNOLOGY INCMU
5.57%2.57%$37.4M32,447$16.8M32,44700.00%Unchanged
APPLE INCAAPL
5.31%5.46%$35.7M132,290$35.7M132,29000.00%Unchanged
META PLATFORMS INCMETA
4.79%4.92%$32.2M48,173$32.2M48,17300.00%Unchanged
BROADCOM INCAVGO
4.58%4.7%$30.8M75,982$30.8M75,98200.00%Unchanged
ADVANCED MICRO DEVICES INCAMD
4.46%4.58%$30.0M88,965$30.0M88,96500.00%Unchanged
TAIWAN SEMICONDUCTOR MANUFACTSM
4.45%4.57%$29.9M75,981$29.9M75,98100.00%Unchanged
ALPHABET INCGOOGL
4.09%4.2%$27.5M78,630$27.5M78,63000.00%Unchanged
AMAZON COM INCAMZN
4.03%4.13%$27.1M102,942$27.1M102,94200.00%Unchanged
AAlphabet Inc Class CGOOG
3.81%3.91%$25.6M73,709$25.6M73,70900.00%Unchanged
MARVELL TECHNOLOGY INCMRVL
3.08%3.16%$20.7M132,230$20.7M132,23000.00%Unchanged
AFFIRM HLDGS INC COM CL AAFRM
2.65%2.72%$17.8M280,693$17.8M280,69300.00%Unchanged
MICROSOFT CORPMSFT
2.4%2.46%$16.1M37,963$16.1M37,96300.00%Unchanged
SERVICENOW INCNOW
2.24%2.3%$15.1M169,735$15.1M169,73500.00%Unchanged
ORACLE CORPORCL
2.1%2.15%$14.1M86,106$14.1M86,10600.00%Unchanged
SOFI TECHNOLOGIES INC COMSOFI
2.07%2.13%$14.0M898,614$14.0M898,61400.00%Unchanged
ARM HOLDINGS PLCARM
1.83%1.88%$12.3M60,893$12.3M60,89300.00%Unchanged
SNOWFLAKE INC COM SHSSNOW
1.82%1.87%$12.3M86,884$12.3M86,88400.00%Unchanged
IISHARES TRITA
1.68%1.73%$11.3M53,094$11.3M53,09400.00%Unchanged
TTALEN ENERGY CORPTLN
1.35%1.38%$9.1M25,761$9.1M25,76100.00%Unchanged
PALO ALTOPANW
1.25%1.28%$8.4M46,190$8.4M46,19000.00%Unchanged
SUPER MICRO COMPUTER INCSMCI
1.18%1.21%$7.9M301,620$7.9M301,62000.00%Unchanged
TESLA INCTSLA
1%1.02%$6.7M17,994$6.7M17,99400.00%Unchanged
COCA COLA COKO
0.63%0.65%$4.3M54,091$4.3M54,09100.00%Unchanged
CISCO SYS INCCSCO
0.56%0.58%$3.8M42,219$3.8M42,21900.00%Unchanged
CELESTICA INCCLS
0.48%0.5%$3.2M8,619$3.2M8,61900.00%Unchanged
CREDO TECHNOLOGY GROUP HOLDING LTD COM USD0.00005CRDO
0.44%0.45%$2.9M16,736$2.9M16,73600.00%Unchanged
VISA INCV
0.42%0.43%$2.8M8,475$2.8M8,47500.00%Unchanged
CCITIGROUP INCC
0.35%0.35%$2.3M18,215$2.3M18,21500.00%Unchanged
CADENCE DESIGN SYSTEM INC COMAYI
0.34%0.35%$2.3M6,875$2.3M6,87500.00%Unchanged
OKTA INC CLASS AOKTA
0.3%0.31%$2.0M26,690$2.0M26,69000.00%Unchanged
OUTFRONT MEDIAOUT
0.29%0.3%$2.0M65,121$2.0M65,12100.00%Unchanged
HOST HOTELS & RESORTS INCHST
0.26%0.27%$1.8M83,716$1.8M83,71600.00%Unchanged
TTEMPUS AI INCTEM
0.26%0.26%$1.7M34,658$1.7M34,65800.00%Unchanged
OMEGA HEALTHCARE INVS INCOHI
0.25%0.26%$1.7M36,231$1.7M36,23100.00%Unchanged
SABRA HEALTH CARE REIT INCSBRA
0.25%0.25%$1.7M81,104$1.7M81,10400.00%Unchanged
KKINETIK HOLDINGS INCKNTK
0.24%0.25%$1.6M32,640$1.6M32,64000.00%Unchanged
FFTAI AVIATION LTDFTAI
0.24%0.24%$1.6M7,487$1.6M7,48700.00%Unchanged
IINVESCO QQQ TRVOO
0.24%0.24%$1.6M2,397$1.6M2,39700.00%Unchanged
MMEDICAL PROPERTIES TRUST INCMPT
0.23%0.24%$1.6M303,781$1.6M303,78100.00%Unchanged
PHILIP MORRIS INTL INCPM
0.23%0.24%$1.5M9,483$1.5M9,48300.00%Unchanged
SEAGATE TECHNOLOGY HLDNGS PLSTX
0.23%0.24%$1.5M2,396$1.5M2,39600.00%Unchanged
DOW HLDGS INC COMDOW
0.23%0.23%$1.5M38,363$1.5M38,36300.00%Unchanged
ONEOK INC NEWOKE
0.22%0.23%$1.5M16,667$1.5M16,66700.00%Unchanged
BBANK AMERICA CORP 7.25CNV PFD LBAC
0.22%0.23%$1.5M1,212$1.5M1,21200.00%Unchanged
UNITED RENTALS INCURI
0.21%0.22%$1.4M1,506$1.4M1,50600.00%Unchanged
LLTC PPTYS INCLTC
0.21%0.22%$1.4M37,494$1.4M37,49400.00%Unchanged
JPMORGAN CHASE & COJPM
0.21%0.21%$1.4M4,528$1.4M4,52800.00%Unchanged
CCLEARWAY ENERGY INC CL ANY4B
0.2%0.2%$1.3M34,601$1.3M34,60100.00%Unchanged
Boeing Co/TheBA
0.19%0.2%$1.3M18,064$1.3M18,06400.00%Unchanged

🧭 Institutional Sector Flow Heatmap

Net Outflow Net Inflow