MondegarAI
PCG ASSET MANAGEMENT, LLC

Q3 2025 · 13F-HR

PCG ASSET MANAGEMENT, LLCholdings as filed

Filed 2025-11-20 · accession 0001172661-25-005214

$249.1M
Reported value
78
Positions
2025-09-30
Period end
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The Brief · PCG ASSET MANAGEMENT, LLC · Q3 2025

AI · grounded in 13F

PCG ASSET MANAGEMENT, LLC established a new position in SPY valued at $42.03M. The fund also initiated new holdings in BSV for $12.24M and BIV for $10.62M. Additional new positions include AAPL at $9.51M, SHY at $9.40M, and VGT at $9.12M.

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
78462F103SPYSPDR S&P 500 ETF TR$42.0M16.9%31,549CommonNONE
921937827BSVVANGUARD BD INDEX FDS$12.2M4.91%77,554CommonNONE
921937819BIVVANGUARD BD INDEX FDS$10.6M4.26%67,990CommonNONE
037833100AAPLAPPLE INC$9.5M3.82%18,674CommonNONE
464287457SHYISHARES TR$9.4M3.77%57,142CommonNONE
92204A702VGTVANGUARD WORLD FD$9.1M3.66%6,106CommonNONE
46090E103QQQINVESCO QQQ TR$8.8M3.53%7,331CommonNONE
46436E718SGOVISHARES TR$8.7M3.50%43,298CommonNONE
81369Y407XLYSELECT SECTOR SPDR TR$8.2M3.31%17,207CommonNONE
81369Y803XLKSELECT SECTOR SPDR TR$8.2M3.31%14,628CommonNONE
594918104MSFTMICROSOFT CORP$7.9M3.16%7,588CommonNONE
46625H100JPMJPMORGAN CHASE & CO.$6.0M2.40%9,459CommonNONE
81369Y605XLFSELECT SECTOR SPDR TR$5.7M2.29%52,932CommonNONE
81369Y209XLVSELECT SECTOR SPDR TR$5.6M2.23%19,986CommonNONE
023135106AMZNAMAZON COM INC$4.9M1.96%11,114CommonNONE
81369Y704XLISELECT SECTOR SPDR TR$4.5M1.81%14,637CommonNONE
81369Y852XLCSELECT SECTOR SPDR TR$4.5M1.81%19,027CommonNONE
921937835BNDVANGUARD BD INDEX FDS$4.4M1.77%29,610CommonNONE
02079K107GOOGALPHABET INC$4.3M1.73%8,827CommonNONE
437076102HDHOME DEPOT INC$3.2M1.30%3,993CommonNONE
46641Q837JPSTJ P MORGAN EXCHANGE TRADED F$3.2M1.30%31,800CommonNONE
92826C839VVISA INC$2.8M1.12%4,069CommonNONE
478160104JNJJOHNSON & JOHNSON$2.4M0.98%6,575CommonNONE
084670702BRK/BBERKSHIRE HATHAWAY INC DEL$2.4M0.95%2,363CommonNONE
46432F842IEFAISHARES TR$2.2M0.89%12,725CommonNONE
67066G104NVDANVIDIA CORPORATION$2.1M0.86%5,745CommonNONE
464287804IJRISHARES TR$2.1M0.84%8,830CommonNONE
81369Y308XLPSELECT SECTOR SPDR TR$2.1M0.83%13,252CommonNONE
81369Y886XLUSELECT SECTOR SPDR TR$2.0M0.79%11,227CommonNONE
30303M102METAMETA PLATFORMS INC$1.9M0.78%1,318CommonNONE
742718109PGPROCTER AND GAMBLE CO$1.9M0.76%6,193CommonNONE
81369Y100XLBSELECT SECTOR SPDR TR$1.9M0.76%10,570CommonNONE
81369Y506XLESELECT SECTOR SPDR TR$1.9M0.76%10,547CommonNONE
92189F676SMHVANECK ETF TRUST$1.8M0.74%2,810CommonNONE
02079K305GOOGLALPHABET INC$1.7M0.67%3,455CommonNONE
17275R102CSCOCISCO SYS INC$1.6M0.64%11,599CommonNONE
922042775VEUVANGUARD INTL EQUITY INDEX F$1.5M0.62%10,736CommonNONE
931142103WMTWALMART INC$1.5M0.61%7,400CommonNONE
09290D101BLKBLACKROCK INC$1.5M0.61%650CommonNONE
580135101MCDMCDONALDS CORP$1.5M0.61%2,488CommonNONE
254687106DISDISNEY WALT CO$1.5M0.59%6,405CommonNONE
060505104BACBANK AMERICA CORP$1.4M0.58%13,935CommonNONE
92204A884VOXVANGUARD WORLD FD$1.4M0.56%3,740CommonNONE
30231G102XOMEXXON MOBIL CORP$1.4M0.56%6,185CommonNONE
438516106HONHONEYWELL INTL INC$1.4M0.54%3,216CommonNONE
166764100CVXCHEVRON CORP NEW$1.2M0.50%4,019CommonNONE
46137V357RSPINVESCO EXCHANGE TRADED FD T$1.2M0.48%3,171CommonNONE
75513E101RTXRTX CORPORATION$1.2M0.47%3,480CommonNONE
92343V104VZVERIZON COMMUNICATIONS INC$1.1M0.46%13,038CommonNONE
713448108PEPPEPSICO INC$1.1M0.44%3,921CommonNONE
038222105AMATAPPLIED MATLS INC$1.1M0.43%2,635CommonNONE
46434G103IEMGISHARES INC$1.1M0.43%8,166CommonNONE
58933Y105MRKMERCK & CO INC$981,4770.39%5,847CommonNONE
744573106PEGPUBLIC SVC ENTERPRISE GRP IN$941,4290.38%5,640CommonNONE
149123101CATCATERPILLAR INC$844,5560.34%885CommonNONE
907818108UNPUNION PAC CORP$803,6580.32%1,700CommonNONE
33733E302FDNFIRST TR EXCHANGE-TRADED FD$800,3420.32%1,430CommonNONE
38141G104GSGOLDMAN SACHS GROUP INC$764,4960.31%480CommonNONE
31428X106FDXFEDEX CORP$731,9540.29%1,552CommonNONE
532457108LLYELI LILLY & CO$709,5900.28%465CommonNONE
91324P102UNHUNITEDHEALTH GROUP INC$706,4840.28%1,048CommonNONE
922908629VOVANGUARD INDEX FDS$665,6150.27%1,133CommonNONE
191216100KOCOCA COLA CO$602,1860.24%4,540CommonNONE
097023105BABOEING CO$591,3740.24%1,370CommonNONE
78467X109DIASPDR DOW JONES INDL AVERAGE$590,2250.24%636CommonNONE
717081103PFEPFIZER INC$568,5610.23%11,157CommonNONE
00206R102TAT&T INC$555,7630.22%9,840CommonNONE
053015103ADPAUTOMATIC DATA PROCESSING IN$528,3000.21%900CommonNONE
031162100AMGNAMGEN INC$523,7630.21%928CommonNONE
025816109AXPAMERICAN EXPRESS CO$501,5620.20%755CommonNONE
009158106APDAIR PRODS & CHEMS INC$490,8960.20%950CommonNONE
922042858VWOVANGUARD INTL EQUITY INDEX F$486,5360.20%4,490CommonNONE
N07059210ASMLASML HOLDING N V$470,4920.19%243CommonNONE
110122108BMYBRISTOL-MYERS SQUIBB CO$453,2550.18%5,025CommonNONE
78463V107GLDSPDR GOLD TR$435,8060.17%613CommonNONE
922908751VBVANGUARD INDEX FDS$424,6480.17%835CommonNONE
464287762IYHISHARES TR$411,6270.17%3,505CommonNONE
57636Q104MAMASTERCARD INCORPORATED$410,6810.16%361CommonNONE

Source: SEC EDGAR · raw 13F holdings as filed. The Class column shows the option type when reported (Put/Call) or Common when the issuer's equity is held directly. 13F discloses long positions only.