Peterson Wealth Services 13F annual report

Peterson Wealth Services is an investment fund managing more than $286 billion ran by Billy Peterson. There are currently 105 companies in Mr. Peterson’s portfolio. The largest investments include Apple Inc and NVIDIA Corp, together worth $40.4 billion.

$286 billion Assets Under Management (AUM)

As of 23rd July 2024, Peterson Wealth Services’s top holding is 97,383 shares of Apple Inc currently worth over $20.5 billion and making up 7.2% of the portfolio value. Relative to the number of outstanding shares of Apple Inc, Peterson Wealth Services owns more than approximately 0.1% of the company. In addition, the fund holds 160,812 shares of NVIDIA Corp worth $19.9 billion, whose value fell 80.3% in the past six months. The third-largest holding is Vanguard Index Fds worth $18.5 billion and the next is Costco Whsl Corp New worth $12.1 billion, with 14,195 shares owned.

Currently, Peterson Wealth Services's portfolio is worth at least $286 billion. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Peterson Wealth Services

The Peterson Wealth Services office and employees reside in South Ogden, Utah. According to the last 13-F report filed with the SEC, Billy Peterson serves as the CCO at Peterson Wealth Services.

Recent trades

In the most recent 13F filing, Peterson Wealth Services revealed that it had opened a new position in Ensign Inc and bought 6,599 shares worth $816 million. This means they effectively own approximately 0.1% of the company. Ensign Inc makes up 4.1% of the fund's Health Care sector allocation and has decreased its share price by approximately 0.1% in the past year.

The investment fund also strengthened its position in Apple Inc by buying 1,126 additional shares. This makes their stake in Apple Inc total 97,383 shares worth $20.5 billion. Apple Inc dropped approximately 0.1% in the past year.

On the other hand, there are companies that Peterson Wealth Services is getting rid of from its portfolio. Peterson Wealth Services closed its position in Shockwave Med Inc on 30th July 2024. It sold the previously owned 2,601 shares for $847 million. Billy Peterson also disclosed a decreased stake in Vanguard Index Fds by approximately 0.1%. This leaves the value of the investment at $18.5 billion and 57,838 shares.

One of the smaller hedge funds

The two most similar investment funds to Peterson Wealth Services are Aquire Wealth Advisors and Security Advisor. They manage $286 billion and $286 billion respectively.


Billy Peterson investment strategy

Peterson Wealth Services’s portfolio is diversified across 11 sectors. Currently, their heaviest sector is Technology — making up 19.2% of the total portfolio value. The fund focuses on investments in the United States as 60.0% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 48% of the total holdings value. On the other hand, small-cap stocks make up only 1.0% of the portfolio. The average market cap of the portfolio companies is close to $180 billion.

The complete list of Peterson Wealth Services trades based on 13F SEC filings

These positions were updated on July 30th based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Apple Inc
1.17%
97,383
$20,510,732,000 7.17%
NVIDIA Corp
861.10%
160,812
$19,866,734,000 6.94%
Vanguard Index Fds
5.63%
57,838
$18,478,066,000 6.46%
Costco Whsl Corp New
0.23%
14,195
$12,065,642,000 4.22%
Broadcom Inc
0.79%
6,748
$10,834,712,000 3.79%
Amazon.com Inc.
0.51%
55,643
$10,753,010,000 3.76%
JPMorgan Chase & Co.
0.94%
43,638
$8,826,134,000 3.08%
Tesla Inc
1.63%
41,035
$8,120,006,000 2.84%
Raymond James Finl Inc
1.05%
63,948
$7,904,671,000 2.76%
Microsoft Corporation
1.65%
16,463
$7,358,091,000 2.57%
Berkshire Hathaway Inc.
0.90%
14,297
$5,816,020,000 2.03%
Novo-nordisk A S
0.79%
39,946
$5,701,824,000 1.99%
Canadian Nat Res Ltd
102.70%
154,820
$5,511,596,000 1.93%
Visa Inc
1.39%
20,218
$5,306,565,000 1.85%
Home Depot, Inc.
2.55%
13,499
$4,646,899,000 1.62%
Occidental Pete Corp
1.57%
70,238
$4,427,116,000 1.55%
Conocophillips
2.40%
37,916
$4,336,795,000 1.52%
Stryker Corp.
1.49%
12,346
$4,200,652,000 1.47%
Comfort Sys Usa Inc
1.07%
13,789
$4,193,645,000 1.47%
Eli Lilly & Co
0.67%
4,517
$4,089,790,000 1.43%
Diamondback Energy Inc
3.68%
19,983
$4,000,423,000 1.40%
Thermo Fisher Scientific Inc.
1.20%
6,914
$3,823,362,000 1.34%
Union Pac Corp
2.43%
15,636
$3,537,746,000 1.24%
Intel Corp.
2.10%
101,011
$3,128,316,000 1.09%
Garmin Ltd
0.57%
19,193
$3,126,915,000 1.09%
Cadence Design System Inc
1.42%
10,104
$3,109,506,000 1.09%
Motorola Solutions Inc
2.54%
7,955
$3,071,103,000 1.07%
Asml Holding N V
0.75%
2,962
$3,029,088,000 1.06%
Spdr S&p 500 Etf Tr
0.04%
5,188
$2,823,235,000 0.99%
Zoetis Inc
1.69%
16,262
$2,819,183,000 0.99%
Eaton Corp Plc
30.83%
8,389
$2,630,328,000 0.92%
Marathon Pete Corp
2.37%
15,016
$2,604,893,000 0.91%
Skyworks Solutions, Inc.
5.12%
22,913
$2,442,032,000 0.85%
Merck & Co Inc
2.82%
19,660
$2,433,967,000 0.85%
Old Dominion Freight Line In
1.83%
13,708
$2,420,870,000 0.85%
Matador Res Co
1.50%
40,152
$2,393,030,000 0.84%
McGrath Rentcorp
2.08%
22,380
$2,384,631,000 0.83%
Acadia Healthcare Company In
1.13%
34,962
$2,361,333,000 0.83%
Chubb Limited
2.88%
8,954
$2,284,003,000 0.80%
Exxon Mobil Corp.
20.26%
19,784
$2,277,551,000 0.80%
Walmart Inc
3.81%
32,770
$2,218,849,000 0.78%
APA Corporation
2.05%
73,727
$2,170,510,000 0.76%
Lululemon Athletica inc.
7.45%
6,980
$2,084,926,000 0.73%
Ulta Beauty Inc
2.18%
4,968
$1,917,002,000 0.67%
Cisco Sys Inc
18.21%
39,622
$1,882,440,000 0.66%
Air Prods & Chems Inc
8.29%
6,795
$1,753,430,000 0.61%
Johnson & Johnson
7.57%
11,133
$1,627,174,000 0.57%
Devon Energy Corp.
2.91%
33,323
$1,579,491,000 0.55%
CME Group Inc
4.29%
7,374
$1,449,645,000 0.51%
Comcast Corp New
1.30%
34,256
$1,341,445,000 0.47%
Darden Restaurants, Inc.
3.97%
8,486
$1,284,121,000 0.45%
Medtronic Plc
3.71%
16,205
$1,275,492,000 0.45%
Johnson Ctls Intl Plc
0.35%
18,599
$1,236,285,000 0.43%
Super Micro Computer Inc
2.79%
1,465
$1,200,348,000 0.42%
IES Holdings Inc
7.38%
7,449
$1,037,869,000 0.36%
Ishares Tr
13.41%
27,062
$2,046,434,000 0.72%
UFP Technologies Inc.
8.49%
3,641
$960,751,000 0.34%
e.l.f. Beauty Inc
10.37%
4,545
$957,722,000 0.33%
Onto Innovation Inc.
9.15%
4,257
$934,667,000 0.33%
Monolithic Pwr Sys Inc
9.91%
1,109
$910,910,000 0.32%
Crocs Inc
7.72%
6,206
$905,704,000 0.32%
Lantheus Holdings Inc
7.60%
11,226
$901,336,000 0.32%
Verizon Communications Inc
3.16%
21,735
$896,356,000 0.31%
International Seaways Inc
13.24%
14,561
$861,007,000 0.30%
Shockwave Med Inc
Closed
2,601
$846,964,000
AAON Inc.
14.55%
9,670
$843,653,000 0.29%
First Ctzns Bancshares Inc N
9.17%
500
$841,202,000 0.29%
Axcelis Technologies Inc
13.47%
5,878
$835,793,000 0.29%
Trade Desk Inc
11.44%
8,484
$828,632,000 0.29%
Ensign Group Inc
Opened
6,599
$816,230,000 0.29%
Healthequity Inc
10.12%
9,056
$780,627,000 0.27%
Advanced Energy Inds
13.17%
7,071
$769,022,000 0.27%
Ishares Inc
2.37%
14,275
$764,133,000 0.27%
Westlake Corporation
12.46%
5,172
$749,064,000 0.26%
Brunswick Corp.
15.43%
10,246
$745,630,000 0.26%
Celsius Holdings Inc
12.76%
12,970
$740,457,000 0.26%
HubSpot Inc
13.68%
1,255
$740,186,000 0.26%
Alphabet Inc
0.54%
6,745
$1,233,581,000 0.43%
Cloudflare Inc
19.44%
8,633
$715,071,000 0.25%
MGP Ingredients, Inc.
28.53%
9,302
$692,084,000 0.24%
Simpson Mfg Inc
17.26%
4,049
$682,350,000 0.24%
Atkore Inc
17.22%
5,011
$676,099,000 0.24%
Hudson Technologies, Inc.
49.78%
68,266
$600,058,000 0.21%
Paylocity Hldg Corp
15.05%
4,166
$549,287,000 0.19%
Trane Technologies plc
0.42%
1,643
$540,458,000 0.19%
Netflix Inc.
No change
795
$536,530,000 0.19%
Salesforce Inc
1.61%
2,015
$518,087,000 0.18%
Meta Platforms Inc
0.80%
996
$502,283,000 0.18%
Public Svc Enterprise Grp In
Opened
6,674
$491,891,000 0.17%
NextEra Energy Inc
Opened
6,930
$490,690,000 0.17%
Advanced Micro Devices Inc.
0.83%
2,929
$475,113,000 0.17%
Unitedhealth Group Inc
1.01%
897
$456,755,000 0.16%
Nxp Semiconductors N V
2.89%
1,564
$420,939,000 0.15%
Tjx Cos Inc New
1.60%
3,816
$420,136,000 0.15%
Intercontinental Exchange In
1.28%
3,003
$411,099,000 0.14%
American Express Co.
0.12%
1,608
$372,261,000 0.13%
Fiserv, Inc.
0.62%
2,427
$361,720,000 0.13%
Edwards Lifesciences Corp
1.29%
3,622
$334,564,000 0.12%
L3Harris Technologies Inc
0.35%
1,437
$322,631,000 0.11%
Halliburton Co.
3.46%
8,799
$297,232,000 0.10%
Steris Plc
1.69%
1,321
$290,032,000 0.10%
IQVIA Holdings Inc
1.96%
1,302
$275,295,000 0.10%
S&P Global Inc
1.36%
596
$265,886,000 0.09%
Pioneer Nat Res Co
Closed
994
$261,011,000
Allstate Corp (The)
5.75%
1,508
$240,815,000 0.08%
Select Sector Spdr Tr
No change
2,627
$239,451,000 0.08%
Ishares Tr
Closed
4,528
$214,797,000
Dexcom Inc
Closed
1,543
$214,014,000
First Tr Exchange Traded Fd
1.45%
13,643
$176,950,000 0.06%
No transactions found
Showing first 500 out of 109 holdings