SEC 13F Intelligence

Managers / Q3 2020

Price Wealth, LLC

CIK 0001534691 · 300 WEST 6TH STREET, SUITE 1840, AUSTIN, TX, 78701 · 512-320-8550

Reported Value
$357M
Q3 2020
Positions
447
Filings on Record
7
2019–present window
Filed
Oct 22, 2020
original filing

Summary

Price Wealth, LLC reported $357M in U.S.-listed holdings across 447 positions for Q3 2020.

Its largest position, BRK/B, represents 10.8% of the portfolio.

Compared with Q2 2020, the fund opened 71 new positions and exited 23.

Portfolio Metrics

Turnover
+4.3%
vs prior filed quarter
Top-10 Concentration
+67.6%
share of reported value
Largest Position
+10.8%
Berkshire Hathaway
New / Exited
71 / 23
positions this quarter

Methodology: turnover is min(value bought, value sold) ÷ average reported value across the two quarters — value-based, so market moves inflate it slightly versus a share-based measure. Concentration and largest position are shares of the filing’s total reported value, options excluded, with multiple share classes and repeated sub-manager rows for the same issuer combined into one position — the same rule the holdings table uses by default. New/exited counts compare against the prior filed quarter. All figures derive solely from the fund’s 13F filings.

Reported Value by Quarter

13F Reported Value
Q1 ’19: $261MQ1 ’19Q2 ’19: $309MQ2 ’19Q3 ’19: $306MQ3 ’19Q4 ’19: $321MQ4 ’19Q1 ’20: $276MQ1 ’20Q2 ’20: $338MQ2 ’20Q3 ’20: $357MQ3 ’20filingsflow.com

Portfolio Composition

By security type
ETP: 74.9%Common Stock: 23.5%ADR: 1.1%Other: 0.3%REIT: 0.2%Other: 0.1%
  • ETP · 74.9% · $267M
  • Common Stock · 23.5% · $84M
  • ADR · 1.1% · $4M
  • Other · 0.3% · $1M
  • REIT · 0.2% · $781,000
  • Other · 0.1% · $288,000

Quarter-over-Quarter Changes full breakdown →

vs Q2 2020 (amended baseline)

IssuerMoveShare ΔShares nowValue ΔValue now
ARKKARK ETF TR INNOVATION ETFNEW+8.0K8.0K+$733,000$733,000
REMISHARES TR MORTGE REL ETFNEW+4.7K4.7K+$121,000$121,000
ADSKAUTODESK INCNEW+460460+$106,000$106,000
DUKDUKE ENERGY CORPNEW+1.2K1.2K+$102,000$102,000
NNINELNET INC CL ANEW+1.5K1.5K+$90,000$90,000
IQVIQVIA HLDGS INCNEW+549549+$87,000$87,000
MUMICRON TECHNOLOGY INCNEW+1.8K1.8K+$86,000$86,000
ALGNALIGN TECHNOLOGY INCNEW+262262+$86,000$86,000

Value changes conflate price moves with buying and selling — share changes are the real signal. Share counts are not split-adjusted.

Holdings — Q3 2020

444 positions (from 447 filing rows — )
#IssuerClass% PortfolioValueShares
1BRK/BBERKSHIRE HATHAWAY INC CL Bhistory →COM10.81%$39M181.3K
2SPYSPDR S&P 500 ETF TR TR UNIThistory →UIE10.53%$38M112.3K
3VNQVANGUARD INDEX FDS REAL ESTATE ETFhistory →UIE7.17%$26M324.2K
4IVVISHARES TR CORE S&P500 ETFhistory →UIE7.15%$26M76.0K
5IJRISHARES TR CORE S&P SCP ETFhistory →UIE6.29%$22M319.7K
6SCHVSCHWAB STRATEGIC TR US LCAP VA ETFhistory →UIE6.21%$22M424.9K
7VIGVANGUARD SPECIALIZED FUNDS DIV APP ETFhistory →UIE6.12%$22M169.9K
8EEMISHARES TR MSCI EMG MKT ETFhistory →UIE5.81%$21M470.5K
9VBVANGUARD INDEX FDS SMALL CP ETFhistory →UIE3.97%$14M92.2K
10EFAISHARES TR MSCI EAFE ETFhistory →UIE3.52%$13M197.5K
11VEAVANGUARD TAX-MANAGED INTL FD FTSE DEV MKT ETFhistory →UIE2.81%$10M245.4K
12VWOVANGUARD INTL EQUITY INDEX F FTSE EMR MKT ETFUIE2.20%$8M178.4K
13SCZISHARES TR EAFE SML CP ETFhistory →UIE2.19%$8M132.4K
14AAPLAPPLE INChistory →COM1.82%$6M56.0K
15AMZNAMAZON COM INChistory →COM1.79%$6M2.0K
16VOVANGUARD INDEX FDS MID CAP ETFhistory →UIE1.57%$6M31.8K
17OEFISHARES TR S&P 100 ETFhistory →UIE1.48%$5M34.0K
18QQQINVESCO QQQ TR UNIT SER 1history →UIE1.39%$5M17.9K
19IHDGWISDOMTREE TR ITL HDG QTLY DIVhistory →UIE1.29%$5M126.1K
20SLABSILICON LABORATORIES INChistory →COM1.23%$4M44.9K
21IWMISHARES TR RUSSELL 2000 ETFUIE0.93%$3M22.2K
22GDXVANECK VECTORS ETF TR GOLD MINERS ETFUIE0.92%$3M83.9K
23BABAALIBABA GROUP HLDG LTD ADSCOM0.89%$3M10.8K
24VOOVANGUARD INDEX FDS S&P 500 ETF SHSUIE0.88%$3M10.2K
25PRFINVESCO EXCHANGE TRADED FD T FTSE RAFI 1000UIE0.85%$3M26.8K
26MSFTMICROSOFT CORPCOM0.49%$2M8.3K
27IJHISHARES TR CORE S&P MCP ETFUIE0.44%$2M8.5K
28METAFACEBOOK INC CL ACOM0.34%$1M4.6K
29GOOGALPHABET INC CAP STK CL CCOM0.31%$1M758
30IEMGISHARES INC CORE MSCI EMKTUIE0.30%$1M20.6K
31DGDOLLAR GEN CORPCOM0.28%$998,0004.8K
32UNHUNITEDHEALTH GROUP INCCOM0.26%$912,0002.9K
33JPMJPMORGAN CHASE & COCOM0.25%$899,0009.3K
34EXMOCEXXON MOBIL CORPCOM0.22%$778,00022.7K
35SCHDSCHWAB STRATEGIC TR US DIVIDEND EQUIE0.21%$739,00013.4K
36ARKKARK ETF TR INNOVATION ETFUIE0.21%$733,0008.0K
37HONHONEYWELL INTL INCCOM0.20%$732,0004.4K
38ACNACCENTURE PLC IRELAND SHS CLASS ACOM0.18%$628,0002.8K
39EXPDEXPEDITORS INTL WASH INCCOM0.18%$627,0006.9K
40PEPPEPSICO INCCOM0.17%$624,0004.5K
41PTONPELOTON INTERACTIVE INC CL A COMCOM0.17%$622,0006.3K
42TJXTJX COS INCCOM0.17%$601,00010.8K
43PCARPACCAR INCCOM0.17%$591,0006.9K
44MASMASCO CORPCOM0.15%$546,0009.9K
45DDOGDATADOG INC CL A COMCOM0.15%$543,0005.3K
46MRKMERCK & CO. INCCOM0.15%$536,0006.5K
47ACWIISHARES TR MSCI ACWI ETFUIE0.13%$482,0006.0K
48NICHOLAS FINL INC BCCOM0.12%$436,00060.0K
49UNILEVER PLC ADRCOM0.12%$424,0006.9K
50EXPEEXPEDIA GROUP INCCOM0.12%$419,0004.6K
51IWBISHARES TR RUS 1000 ETFUIE0.11%$410,0002.2K
52UBERUBER TECHNOLOGIES INCCOM0.11%$406,00011.1K
53NVDANVIDIA CORPORATIONCOM0.11%$389,000718
54PINSPINTEREST INC CL ACOM0.11%$381,0009.2K
55GULFPORT ENERGY CORPCOM0.11%$376,000713.5K
56PGRPROGRESSIVE CORPCOM0.10%$366,0003.9K
57ADBEADOBE SYSTEMS INCORPORATEDCOM0.10%$353,000719
58MAMASTERCARD INCORPORATED CL ACOM0.10%$343,0001.0K
59VVISA INC CL ACOM0.09%$315,0001.6K
60PYPLPAYPAL HLDGS INCCOM0.09%$312,0001.6K
61PFEPFIZER INCCOM0.08%$303,0008.2K
62TMETENCENT MUSIC ENTMT GROUP ADSCOM0.08%$301,00020.4K
63CRMSALESFORCE COM INCCOM0.08%$287,0001.1K
64PPGPPG INDS INCCOM0.08%$282,0002.3K
65CMCSACOMCAST CORP CL ACOM0.08%$279,0006.0K
66EMREMERSON ELEC COCOM0.08%$272,0004.2K
67JNJJOHNSON & JOHNSONCOM0.07%$262,0001.8K
68DGXQUEST DIAGNOSTICS INCCOM0.07%$256,0002.2K
69NFLXNETFLIX INCCOM0.07%$255,000510
70SONYSONY CORP ADRCOM0.07%$246,0003.2K
71AVGOBROADCOM INCCOM0.07%$241,000662
72VZVERIZON COMMUNICATIONS INCCOM0.06%$228,0003.8K
73VTVVANGUARD INDEX FDS VALUE ETFUIE0.06%$219,0002.1K
74CLCOLGATE PALMOLIVE COCOM0.06%$213,0002.8K
75MDTMEDTRONIC PLC SHSCOM0.05%$196,0001.9K
76AMGNAMGEN INCCOM0.05%$193,000759
77ETNEATON CORP PLC SHSCOM0.05%$193,0001.9K
78INTCINTEL CORPCOM0.05%$189,0003.6K
79QCOMQUALCOMM INCCOM0.05%$182,0001.5K
80USMVISHARES TR MSCI USA MIN VOLUIE0.05%$164,0002.6K
81ISRGINTUITIVE SURGICAL INCCOM0.05%$162,000228
82AMDADVANCED MICRO DEVICES INCCOM0.04%$152,0001.9K
83NOWSERVICENOW INCCOM0.04%$152,000314
84PHGKONINKLIJKE PHILIPS N V NY REG SHCOM0.04%$147,0003.1K
85BKNGBOOKING HOLDINGS INCCOM0.04%$144,00084
86PBTPERMIAN BASIN RTY TR UNIT BEN INTUIE0.04%$141,00056.8K
87ABBVABBVIE INCCOM0.04%$135,0001.5K
88DLTRDOLLAR TREE INCCOM0.04%$127,0001.4K
89MDYSPDR S&P MIDCAP 400 ETF TR UTSER1 S&PDCRPUIE0.04%$127,000374
90REMISHARES TR MORTGE REL ETFUIE0.03%$121,0004.7K
91EGPEASTGROUP PPTY INCCOM0.03%$116,000900
92IBMINTERNATIONAL BUSINESS MACHSCOM0.03%$108,000888
93SNNSMITH & NEPHEW GROUP PLC SPDN ADRCOM0.03%$107,0002.7K
94WFCWELLS FARGO COCOM0.03%$107,0004.5K
95ADSKAUTODESK INCCOM0.03%$106,000460
96TWITTER INCCOM0.03%$105,0002.4K
97DUKDUKE ENERGY CORPCOM0.03%$102,0001.2K
98BACBK OF AMERICA CORPCOM0.03%$95,0003.9K
99NNINELNET INC CL ACOM0.03%$90,0001.5K
100IQVIQVIA HLDGS INCCOM0.02%$87,000549

Filing History

QuarterReported ValuePositionsFiledTypeLinks
Q3 2020$357M447Oct 22, 202013F-HRchanges · EDGAR ↗
Q2 2020$338M399Jul 21, 202013F-HRchanges · EDGAR ↗
Q1 2020$276M420Apr 16, 202013F-HRchanges · EDGAR ↗
Q4 2019$321M400Jan 16, 202013F-HRchanges · EDGAR ↗
Q3 2019$306M283Oct 25, 201913F-HRchanges · EDGAR ↗
Q2 2019$309M283Aug 8, 201913F-HRchanges · EDGAR ↗
Q1 2019$261M140Apr 24, 201913F-HRchanges · EDGAR ↗

Other Included Managers

This filing reports holdings on behalf of 2 additional managers.

  • PARAMETRIC PORTFOLIO ASSOCIATES LLC028-04558
  • East Coast Asset Management, LLC.028-15537

13F filings are due up to 45 days after quarter end, so holdings shown here lag the fund’s current book. Source: original SEC filing on EDGAR ↗.