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Sherman Porfolios, LLC

← All funds

13F holdings as of 2026-03-31 · vs 2025-12-31 · long US-listed positions only

2026-03-312025-12-312025-09-302025-06-302024-12-31
Reported 13F value
$1.30B
Positions
98
New this quarter
20
Exited this quarter
78
Top-10 concentration
75%
#HoldingSharesValue% of 13FQoQ Δ
1IJSISHARES TRNEW1.9M$229.8M17.6%new
2IWMISHARES TRADD921K$228.3M17.5%+$226.3M
3IJKISHARES TRNEW2.3M$227.0M17.4%new
4GLDSPDR GOLD TRADD219K$94.1M7.2%+$67.5M
5BIVVANGUARD BD INDEX FDSADD509K$39.3M3.0%+$4.8M
6XLESELECT SECTOR SPDR TRADD597K$36.6M2.8%+$30.2M
7SCHXSCHWAB STRATEGIC TRADD1.4M$35.0M2.7%+$3.0M
8BNDVANGUARD BD INDEX FDSADD445K$32.8M2.5%+$21.3M
9SCHFSCHWAB STRATEGIC TRADD1.2M$29.4M2.3%+$3.4M
10SPYSTATE STR SPDR S&P 500 ETF TTRIM32K$21.0M1.6%-$16.9M
11IEFISHARES TRNEW159K$15.1M1.2%new
12COPCONOCOPHILLIPSADD81K$10.6M0.8%+$6.1M
13XOMEXXON MOBIL CORPADD59K$10.0M0.8%+$4.8M
14MSFTMICROSOFT CORPTRIM22K$8.1M0.6%-$195.5M
15PSXPHILLIPS 66ADD41K$7.4M0.6%+$2.3M
16QCOMQUALCOMM INCADD55K$7.1M0.5%-$902K
17CVXCHEVRON CORPORATIONADD33K$6.9M0.5%+$2.0M
18MRKMERCK & CO INCADD57K$6.9M0.5%+$1.1M
19VZVERIZON COMMUNICATIONS INCNEW131K$6.6M0.5%new
20ASTRAZENECA PLCNEW33K$6.6M0.5%new
21SCHDSCHWAB STRATEGIC TRTRIM212K$6.5M0.5%+$642K
22CCITIGROUP INCADD54K$6.2M0.5%+$68K
23AAPLAPPLE INCADD24K$6.2M0.5%+$4.7M
24AMGNAMGEN INCADD17K$6.1M0.5%+$842K
25SCHBSCHWAB STRATEGIC TRTRIM242K$6.1M0.5%-$328K
26ABBVABBVIE INCADD28K$6.1M0.5%+$85K
27DFASDIMENSIONAL ETF TRUSTADD85K$6.0M0.5%+$724K
28JPMJPMORGAN CHASE & COADD21K$6.0M0.5%-$133K
29SPMDSPDR SERIES TRUSTTRIM99K$5.8M0.4%-$59K
30PEPPEPSICO INCADD37K$5.8M0.4%+$5.5M
31IGSBISHARES TRADD109K$5.7M0.4%+$67K
32DUKDUKE ENERGY CORP NEWNEW44K$5.7M0.4%new
33SOSOUTHERN CONEW59K$5.7M0.4%new
34WMWASTE MGMT INC DELADD25K$5.7M0.4%+$681K
35AVGOBROADCOM INCTRIM18K$5.6M0.4%-$2.2M
36TXNTEXAS INSTRS INCADD29K$5.5M0.4%+$968K
37MCDMCDONALDS CORPADD17K$5.3M0.4%+$604K
38SCHESCHWAB STRATEGIC TRADD159K$5.2M0.4%+$851K
39KMBKIMBERLY-CLARK CORPADD53K$5.1M0.4%+$1.1M
40BRK/BBERKSHIRE HATHAWAY INC DELADD11K$5.1M0.4%-$6K
41OMCOMNICOM GROUP INCADD67K$5.1M0.4%+$236K
42PGPROCTER & GAMBLE COTRIM35K$5.1M0.4%-$4.2M
43AMTAMERICAN TOWER CORPNEW29K$5.0M0.4%new
44METMETLIFE INCADD68K$4.8M0.4%+$85K
45TSMTAIWAN SEMICONDUCTOR MANUFACTRIM14K$4.8M0.4%-$869K
46IPINTERNATIONAL PAPER COADD129K$4.6M0.4%+$162K
47ULUNILEVER PLCADD80K$4.5M0.3%-$139K
48ABTABBOTT LABORATORIESADD44K$4.5M0.3%-$200K
49GPCGENUINE PARTS COADD42K$4.5M0.3%-$40K
50XLRESELECT SECTOR SPDR TRADD106K$4.3M0.3%+$797K
51ADPAUTOMATIC DATA PROCESSING INADD21K$4.3M0.3%-$47K
52NVDANVIDIA CORPORATIONADD23K$4.0M0.3%+$3.7M
53ELVELEVANCE HEALTH INC FORMERLYADD13K$3.9M0.3%-$328K
54IQVIQVIA HLDGS INCADD23K$3.9M0.3%-$734K
55BPREBLUEROCK PVT REAL ESTATE FDTRIM228K$3.8M0.3%+$335K
56METAMETA PLATFORMS INCNEW6K$3.6M0.3%new
57QQQINVESCO QQQ TRTRIM6K$3.6M0.3%-$16.4M
58EEMISHARES TRTRIM63K$3.6M0.3%-$13.0M
59PANWPALO ALTO NETWORKS INCNEW22K$3.5M0.3%new
60VEEVVEEVA SYS INCADD19K$3.4M0.3%+$425K
61DXCMDEXCOM INCNEW54K$3.4M0.3%new
62GOOGALPHABET INCTRIM12K$3.4M0.3%-$416K
63GDGENERAL DYNAMICS CORPADD10K$3.3M0.3%+$148K
64CRMSALESFORCE INCNEW18K$3.3M0.3%new
65IVWISHARES TRTRIM29K$3.2M0.2%-$15.9M
66AMZNAMAZON COM INCADD15K$3.2M0.2%-$16K
67INTUINTUITADD7K$3.0M0.2%+$162K
68MAMASTERCARD INCORPORATEDADD6K$2.9M0.2%-$186K
69SCHOSCHWAB STRATEGIC TRADD115K$2.8M0.2%+$445K
70PLTRPALANTIR TECHNOLOGIES INCTRIM12K$1.8M0.1%-$845K
71HYGISHARES TRTRIM17K$1.4M0.1%-$5.1M
72LQDISHARES TRTRIM13K$1.4M0.1%-$5.0M
73SGOVISHARES TRNEW11K$1.1M0.1%new
74CIONCION INVT CORPTRIM143K$979K0.1%-$895K
75SCHPSCHWAB STRATEGIC TRADD35K$924K0.1%+$137K
76IYMISHARES TRNEW5K$895K0.1%new
77VTIVANGUARD INDEX FDSADD2K$797K0.1%+$309K
78RTXRTX CORPORATIONTRIM3K$616K0.0%-$9.7M
79WMTWALMART INCTRIM5K$586K0.0%-$10.0M
80TSLATESLA INCADD2K$565K0.0%+$158K
81IYZISHARES TRTRIM14K$544K0.0%-$18.2M
82RGLDROYAL GOLD INCADD2K$460K0.0%+$76K
83MMM3M COTRIM3K$444K0.0%-$6.9M
84IAUISHARES GOLD TR4K$377K0.0%+$30K
85SLBSLB LIMITEDNEW7K$358K0.0%new
86MRVLMARVELL TECHNOLOGY INCNEW3K$332K0.0%new
87SGOLETFS GOLD TR7K$328K0.0%+$26K
88SCHMSCHWAB STRATEGIC TRADD10K$305K0.0%+$98K
89IYWISHARES TRTRIM2K$288K0.0%-$17.7M
90FNVFRANCO NEV CORP1K$282K0.0%+$45K
91EIXEDISON INTLTRIM4K$277K0.0%-$4.8M
92CWCURTISS WRIGHT CORP400$272K0.0%+$52K
93BILSPDR SERIES TRUSTTRIM3K$233K0.0%-$1.2M
94ROIVANT SCIENCES LTDTRIM8K$219K0.0%-$54K
95SPLVINVESCO EXCH TRADED FD TR IINEW3K$210K0.0%new
96MSIFMSC INCOME FUND INCNEW14K$171K0.0%new
97LPTHLIGHTPATH TECHNOLOGIES INCNEW11K$111K0.0%new
98SRFMSURF AIR MOBILITY INCNEW30K$35K0.0%new

Source: SEC Form 13F. Values are as-of 2026-03-31 (quarter-end), not live. Percentages are of reported 13F value, not the fund’s full AUM (13F excludes shorts, cash, bonds, most non-US holdings).