HoldingsChannel.com
All Stocks Held By Sweet Financial Partners LLC
As of  06/30/2022, we find all stocks held by Sweet Financial Partners LLC to be as follows, presented in the table below with each row detailing each Sweet Financial Partners LLC position, ordered by largest to smallest position size. The all-stocks-held-by-Sweet Financial Partners LLC table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Sweet Financial Partners LLC as of the latest filing.

   EntityAmountChange
 03/31/2022 to 06/30/2022
Position Size
($ in 1000's)
VANGUARD INDEX FDS (VOO) 164,978 +61,771 $57,227
     VOO164,978+61,771$57,227
VICTORY PORTFOLIOS II 456,366 +5,082 $29,326
     CFO456,366+5,082$29,326
FIRST TR EXCHNG TRADED FD VI (FIXD) 412,441 +49,385 $19,125
     FIXD412,441+49,385$19,125
FIRST TR EXCHANGE TRADED FD (RDVY) 429,224 +261,454 $17,564
     RDVY429,224+261,454$17,564
FIRST TR EXCHNG TRADED FD VI (BUFT) 821,410 +821,410 $15,237
     BUFT821,410+821,410$15,237
VANGUARD INTL EQUITY INDEX F (VEU) 274,915 +38,245 $13,735
     VEU274,915+38,245$13,735
ISHARES TR (XT) 219,784 -3,991 $10,534
     XT219,784-3,991$10,534
FIRST TR EXCHNG TRADED FD VI (BUFR) 469,028 +453,906 $10,065
     BUFR469,028+453,906$10,065
WISDOMTREE TR 322,692 -780 $9,255
     XSOE322,692-780$9,255
SCHWAB STRATEGIC TR 202,926 +2,184 $7,912
     SCHA202,926+2,184$7,912
FIRST TR EXCHANGE TRADED FD (CIBR) 177,170 +159,045 $7,129
     CIBR177,170+159,045$7,129
WISDOMTREE TR 96,786 +96,786 $4,871
     USFR96,786+96,786$4,871
SPDR INDEX SHS FDS (NANR) 94,257 +94,257 $4,639
     NANR94,257+94,257$4,639
3M CO 28,801 +1,388 $3,727
     MMM28,801+1,388$3,727
APPLE INC 24,994 +1,281 $3,417
     AAPL24,994+1,281$3,417
ISHARES TR (USMV) 44,792 +13,560 $3,145
     USMV44,792+13,560$3,145
SPDR SER TR (KOMP) 76,166 -181,853 $3,088
     KOMP76,166-181,853$3,088
SELECT SECTOR SPDR TR (XLE) 39,845 -1,702 $2,849
     XLE39,845-1,702$2,849
WISDOMTREE TR 44,014 +10 $2,522
     DGRW44,014+10$2,522
VANGUARD INTL EQUITY INDEX F (VT) 25,544 +328 $2,180
     VT25,544+328$2,180
HORMEL FOODS CORP 45,279 +179 $2,144
     HRL45,279+179$2,144
UNITEDHEALTH GROUP INC 4,113 +298 $2,112
     UNH4,113+298$2,112
MICROSOFT CORP 8,186 +1,575 $2,102
     MSFT8,186+1,575$2,102
VANGUARD INDEX FDS (VO) 10,646 +1 $2,097
     VO10,646+1$2,097
RAYMOND JAMES FINL INC 21,880 UNCH $1,956
     RJF21,880UNCH$1,956
TIDAL ETF TR (RPAR) 100,052 -839,736 $1,954
     RPAR100,052-839,736$1,954
CIGNA CORP NEW 7,073 -38 $1,864
     CI7,073-38$1,864
AMGEN INC 7,442 +2,511 $1,811
     AMGN7,442+2,511$1,811
DBX ETF TR (DBAW) 54,405 -422,678 $1,597
     DBAW54,405-422,678$1,597
VISA INC 7,446 +847 $1,466
     V7,446+847$1,466
NUTRIEN LTD 17,908 -1,622 $1,427
     NTR17,908-1,622$1,427
CHEVRON CORP NEW 9,357 +116 $1,355
     CVX9,357+116$1,355
UNION PAC CORP 6,314 -134 $1,347
     UNP6,314-134$1,347
WISDOMTREE TR 33,716 -1,133 $1,314
     DON33,716-1,133$1,314
ISHARES TR (MUB) 11,756 +7,671 $1,250
     MUB11,756+7,671$1,250
ISHARES TR (ILCG) 23,923 +23,923 $1,198
     ILCG23,923+23,923$1,198
ISHARES TR (IVV) 2,966 +2,966 $1,125
     IVV2,966+2,966$1,125
PFIZER INC 21,136 +2,684 $1,108
     PFE21,136+2,684$1,108
HOME DEPOT INC 3,977 +198 $1,091
     HD3,977+198$1,091
VANGUARD TAX MANAGED INTL FD (VEA) 26,288 UNCH $1,073
     VEA26,288UNCH$1,073
ENTERPRISE PRODS PARTNERS L 42,074 UNCH $1,025
     EPD42,074UNCH$1,025
INVESCO EXCH TRADED FD TR II (BKLN) 49,327 +24,173 $1,000
     BKLN49,327+24,173$1,000
JOHNSON & JOHNSON 5,617 +585 $997
     JNJ5,617+585$997
VANGUARD INDEX FDS (VB) 5,602 UNCH $987
     VB5,602UNCH$987
ABBOTT LABS 8,962 +1,532 $974
     ABT8,962+1,532$974
BK OF AMERICA CORP 30,997 +7,555 $965
     BAC30,997+7,555$965
BOEING CO 6,919 +1,786 $946
     BA6,919+1,786$946
LILLY ELI & CO 2,912 +211 $944
     LLY2,912+211$944
CVS HEALTH CORP 10,089 +96 $935
     CVS10,089+96$935
TYSON FOODS INC 10,864 UNCH $935
     TSN10,864UNCH$935
DEERE & CO 3,044 +16 $911
     DE3,044+16$911
ISHARES TR (IJR) 9,767 UNCH $903
     IJR9,767UNCH$903
PROCTER AND GAMBLE CO 6,256 +994 $900
     PG6,256+994$900
JPMORGAN CHASE & CO 7,886 +2,308 $888
     JPM7,886+2,308$888
BERKSHIRE HATHAWAY INC DEL      $838
     BRK.B3,068UNCH$838
SSGA ACTIVE ETF TR (ULST) 20,721 -278,737 $825
     ULST20,721-278,737$825
ALIBABA GROUP HLDG LTD 7,112 UNCH $808
     BABA7,112UNCH$808
AMAZON COM INC 7,545 +7,235 $801
     AMZN7,545+7,235$801
BLACKSTONE INC 8,603 +1,468 $785
     BX8,603+1,468$785
MCDONALDS CORP 3,124 -114 $771
     MCD3,124-114$771
OCCIDENTAL PETE CORP 13,039 -4,607 $768
     OXY13,039-4,607$768
PHILIP MORRIS INTL INC 7,631 +1,278 $754
     PM7,631+1,278$754
AMPLIFY ETF TR (BLOK) 40,772 +3,726 $739
     BLOK40,772+3,726$739
BIO TECHNE CORP 2,120 -208 $735
     TECH2,120-208$735
CISCO SYS INC 17,014 +4,564 $725
     CSCO17,014+4,564$725
ISHARES TR (IEFA) 12,317 -49 $725
     IEFA12,317-49$725
CITIGROUP INC 15,743 +615 $724
     C15,743+615$724
ISHARES TR (ILCV) 11,629 +11,629 $702
     ILCV11,629+11,629$702
CORTEVA INC 12,716 -46 $688
     CTVA12,716-46$688
DELTA AIR LINES INC DEL 23,003 -67 $666
     DAL23,003-67$666
VALERO ENERGY CORP 6,213 -435 $660
     VLO6,213-435$660
LOCKHEED MARTIN CORP 1,522 +312 $654
     LMT1,522+312$654
VERIZON COMMUNICATIONS INC 12,876 +2,083 $653
     VZ12,876+2,083$653
SELECT SECTOR SPDR TR (XLF) 19,955 +2,315 $628
     XLF19,955+2,315$628
MASTERCARD INCORPORATED 1,974 +311 $623
     MA1,974+311$623
MARRIOTT INTL INC NEW 4,444 UNCH $604
     MAR4,444UNCH$604
NIKE INC 5,789 +2,242 $592
     NKE5,789+2,242$592
MERCK & CO INC 6,215 -208 $567
     MRK6,215-208$567
FIRST TR EXCH TRD ALPHDX FD (FEMS) 16,178 +16,178 $562
     FEMS16,178+16,178$562
CATERPILLAR INC 3,131 -11 $560
     CAT3,131-11$560
CANADIAN NATL RY CO 4,979 UNCH $560
     CNI4,979UNCH$560
FIRST TR EXCHANGE TRADED ALP (FYT) 11,640 UNCH $513
     FYT11,640UNCH$513
TARGET CORP 3,610 +1,056 $510
     TGT3,610+1,056$510
ISHARES TR (IWP) 6,356 UNCH $504
     IWP6,356UNCH$504
GOLDMAN SACHS BDC INC 29,580 UNCH $497
     GSBD29,580UNCH$497
QUALCOMM INC 3,886 +1,176 $496
     QCOM3,886+1,176$496
RIO TINTO PLC 8,112 +98 $495
     RIO8,112+98$495
COMCAST CORP NEW 12,600 +3,476 $494
     CMCSA12,600+3,476$494
ENERGY TRANSFER L P 48,520 +1,045 $484
     ET48,520+1,045$484
TEXAS INSTRS INC 3,113 +1,005 $478
     TXN3,113+1,005$478
ISHARES TR (IEUS) 9,755 UNCH $474
     IEUS9,755UNCH$474
WALMART INC 3,870 -759 $470
     WMT3,870-759$470
ABBVIE INC 2,971 -19 $455
     ABBV2,971-19$455
UNITED AIRLS HLDGS INC 12,777 -915 $453
     UAL12,777-915$453
ADVANCED DRAIN SYS INC DEL 5,020 +20 $452
     WMS5,020+20$452
MGM RESORTS INTERNATIONAL 15,500 UNCH $449
     MGM15,500UNCH$449
STELLANTIS N.V 36,100 UNCH $446
     STLA36,100UNCH$446
CONOCOPHILLIPS 4,915 UNCH $441
     COP4,915UNCH$441
ARK ETF TR (ARKQ) 8,490 -1,898 $425
     ARKQ8,490-1,898$425
DISNEY WALT CO 4,494 -5 $424
     DIS4,494-5$424
PEPSICO INC 2,539 UNCH $423
     PEP2,539UNCH$423
SCIENCE APPLICATIONS INTL CO 4,500 UNCH $419
     SAIC4,500UNCH$419
MIROMATRIX MED INC 104,167 +104,167 $416
     MIRO104,167+104,167$416
SOUTHWEST AIRLS CO 11,496 -53 $415
     LUV11,496-53$415
FIRST TR EXCHNG TRADED FD VI (UCON) 16,844 +16,844 $413
     UCON16,844+16,844$413
WISDOMTREE TR 10,000 UNCH $411
     EES10,000UNCH$411
US BANCORP DEL 8,720 +73 $401
     USB8,720+73$401
GENERAL MTRS CO 12,540 -81 $398
     GM12,540-81$398
STRYKER CORPORATION 1,999 -3 $398
     SYK1,999-3$398
TELEPHONE & DATA SYS INC 25,000 +2,500 $395
     TDS25,000+2,500$395
ISHARES TR (IGE) 10,834 UNCH $390
     IGE10,834UNCH$390
GOODYEAR TIRE & RUBR CO 35,217 +7,185 $377
     GT35,217+7,185$377
VANGUARD INDEX FDS (VXF) 2,860 UNCH $375
     VXF2,860UNCH$375
ORACLE CORP 5,289 +883 $370
     ORCL5,289+883$370
INTERNATIONAL BUSINESS MACHS 2,575 +396 $364
     IBM2,575+396$364
COLUMBIA ETF TR I (DIAL) 20,475 -824,431 $362
     DIAL20,475-824,431$362
DOW INC 6,866 +2 $354
     DOW6,866+2$354
HONEYWELL INTL INC 2,006 -11 $349
     HON2,006-11$349
ISHARES INC (IEMG) 6,974 -862 $342
     IEMG6,974-862$342
GLOBAL X FDS 12,635 UNCH $338
     KRMA12,635UNCH$338
VANGUARD WORLD FDS (VGT) 1,011 +1 $330
     VGT1,011+1$330
LAZARD LTD 10,000 UNCH $324
     LAZ10,000UNCH$324
ISHARES TR (IXJ) 3,980 UNCH $323
     IXJ3,980UNCH$323
TESLA INC 472 +78 $318
     TSLA472+78$318
INVESCO DB MULTI SECTOR COMM 15,000 UNCH $306
     DBA15,000UNCH$306
UBER TECHNOLOGIES INC 14,939 -3,210 $306
     UBER14,939-3,210$306
LUMENTUM HLDGS INC 3,825 UNCH $304
     LITE3,825UNCH$304
RADIAN GROUP INC 15,000 UNCH $295
     RDN15,000UNCH$295
GLOBAL X FDS 7,600 UNCH $290
     MLPX7,600UNCH$290
BP PLC 10,174 -103 $288
     BP10,174-103$288
STARBUCKS CORP 3,760 +220 $287
     SBUX3,760+220$287
FIRST TR EXCHANGE TRADED FD (FV) 6,840 -80 $283
     FV6,840-80$283
CACI INTL INC 1,000 -19 $282
     CACI1,000-19$282
NETFLIX INC 1,587 +276 $278
     NFLX1,587+276$278
ANHEUSER BUSCH INBEV SA NV 5,050 -61 $272
     BUD5,050-61$272
CANADIAN PAC RY LTD 3,829 +3,829 $267
     CP3,829+3,829$267
WELLS FARGO CO NEW 6,809 -85 $267
     WFC6,809-85$267
CAPITAL ONE FINL CORP 2,530 -12 $264
     COF2,530-12$264
PACCAR INC 3,195 +3,195 $263
     PCAR3,195+3,195$263
SEALED AIR CORP NEW 4,500 -39 $260
     SEE4,500-39$260
BOSTON BEER INC 850 +100 $258
     SAM850+100$258
ALPHABET INC 117 +5 $255
     GOOGL117+5$255
NORWEGIAN CRUISE LINE HLDG L 22,950 UNCH $255
     NCLH22,950UNCH$255
MEDTRONIC PLC 2,784 -63 $250
     MDT2,784-63$250
INVESCO EXCH TRADED FD TR II (XSLV) 5,500 UNCH $245
     XSLV5,500UNCH$245
CUMMINS INC 1,250 +1,250 $242
     CMI1,250+1,250$242
WASTE MGMT INC DEL 1,576 +42 $241
     WM1,576+42$241
FASTENAL CO 4,664 UNCH $233
     FAST4,664UNCH$233
SOUTHERN CO 3,273 +1 $233
     SO3,273+1$233
COTERRA ENERGY INC 8,912 UNCH $230
     CTRA8,912UNCH$230
ISHARES TR (IYE) 6,000 UNCH $229
     IYE6,000UNCH$229
ORGANON & CO 6,696 UNCH $226
     OGN6,696UNCH$226
ISHARES TR (IJH) 981 UNCH $222
     IJH981UNCH$222
VANGUARD WHITEHALL FDS (VYM) 2,121 UNCH $216
     VYM2,121UNCH$216
YUM BRANDS INC 1,900 UNCH $216
     YUM1,900UNCH$216
SPDR S&P 500 ETF TR (SPY) 566 -84 $214
     SPY566-84$214
POLARIS INC 2,146 +187 $213
     PII2,146+187$213
INVESCO EXCHANGE TRADED FD T (PHO) 4,582 +2 $212
     PHO4,582+2$212
ISHARES INC (EMXC) 4,378 UNCH $209
     EMXC4,378UNCH$209
HILLENBRAND INC 5,100 UNCH $209
     HI5,100UNCH$209
FIRST TR VALUE LINE DIVID IN (FVD) 5,245 +388 $204
     FVD5,245+388$204
EXXON MOBIL CORP 2,330 -99 $200
     XOM2,330-99$200
SNAP INC 15,138 +7,748 $199
     SNAP15,138+7,748$199
FORD MTR CO DEL 13,503 +13,503 $150
     F13,503+13,503$150
ARTS WAY MFG INC 43,807 +1,000 $129
     ARTW43,807+1,000$129
NOKIA CORP 13,529 -20,753 $62
     NOK13,529-20,753$62
FLEXIBLE SOLUTIONS INTL INC 16,800 +0 $41
     FSI16,800UNCH$41
ISHARES TR $0 (exited)
     AOA0-173,692$0
ISHARES TR $0 (exited)
     AOM0-131,235$0
AXON ENTERPRISE INC $0 (exited)
     AXON0-1,978$0
SIREN ETF TR $0 (exited)
     BLCN0-6,600$0
COSTCO WHSL CORP NEW $0 (exited)
     COST0-357$0
ISHARES TR $0 (exited)
     EFA0-2,798$0
ENBRIDGE INC $0 (exited)
     ENB0-4,920$0
FIRST TR MORNINGSTAR DIVID L $0 (exited)
     FDL0-5,478$0
GENCO SHIPPING & TRADING LTD $0 (exited)
     GNK0-8,500$0
ALPHABET INC $0 (exited)
     GOOG0-91$0
ISHARES TR $0 (exited)
     IYF0-2,400$0
NORFOLK SOUTHN CORP $0 (exited)
     NSC0-708$0
NVIDIA CORPORATION $0 (exited)
     NVDA0-772$0
ROYAL CARIBBEAN GROUP $0 (exited)
     RCL0-3,234$0
ISHARES SILVER TR $0 (exited)
     SLV0-8,874$0
AMPLIFY ETF TR $0 (exited)
     SWAN0-329,125$0
CAMBRIA ETF TR $0 (exited)
     TAIL0-224,791$0
TJX COS INC NEW 0 -3,300 $0 (exited)
     TJX0-3,300$0

See Summary: Sweet Financial Partners LLC Top Holdings
See Details: Top 10 Stocks Held By Sweet Financial Partners LLC

EntityShares/Amount
Change
Position Value
Change
BUFT +821,410+$15,237
USFR +96,786+$4,871
NANR +94,257+$4,639
ILCG +23,923+$1,198
IVV +2,966+$1,125
ILCV +11,629+$702
FEMS +16,178+$562
MIRO +104,167+$416
UCON +16,844+$413
CP +3,829+$267
EntityShares/Amount
Change
Position Value
Change
AOA -173,692-$11,974
SWAN -329,125-$10,308
AOM -131,235-$5,639
TAIL -224,791-$3,743
AXON -1,978-$272
RCL -3,234-$271
GOOG -91-$254
BLCN -6,600-$245
ENB -4,920-$227
NVDA -772-$211
EntityShares/Amount
Change
Position Value
Change
BUFR +453,906+$9,706
RDVY +261,454+$9,343
CIBR +159,045+$6,166
VOO +61,771+$14,379
FIXD +49,385+$1,125
VEU +38,245+$105
BKLN +24,173+$452
USMV +13,560+$722
SNAP +7,748-$67
MUB +7,671+$802
EntityShares/Amount
Change
Position Value
Change
RPAR -839,736-$20,281
DIAL -824,431-$16,105
DBAW -422,678-$13,763
ULST -278,737-$11,162
KOMP -181,853-$10,321
NOK -20,753-$125
OXY -4,607-$233
XT -3,991-$2,678
UBER -3,210-$342
Size ($ in 1000's)
At 06/30/2022: $319,035
At 03/31/2022: $373,312

Sweet Financial Partners LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Sweet Financial Partners LLC 13F filings. Link to 13F filings: SEC filings

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