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Portfolio (Quarterly) Guide ↗

Great Lakes Retirement, Inc.

· CIK 0001801667
13F Portfolio $1.1B AUM 216 positions Filed Jul 30, 2026 EDGAR ↗ ← All Funds
Q2 2026 Q4 2025 · All 37 New 105 Added 60 Reduced 37 Exited
Page 5 of 11  ·  216 positions
# Ticker Company Sector Shares Value ↓ % Port Chg Shares Chg % Period Price ① Since Period ①
81 F FORD MTR CO Consumer Cyclical 210,987.0 $2.9M 0.26% NEW — $13.90 -11.4%
82 HLT HILTON WORLDWIDE HLDGS INC Consumer Cyclical 8,683.0 $2.9M 0.26% NEW — $330.46 -2.1%
83 QCOM QUALCOMM INC Technology 15,265.0 $2.8M 0.25% -9K -36.1% $184.80 -0.4%
84 PSX PHILLIPS 66 Energy 16,661.0 $2.8M 0.25% +802.0 +5.1% $169.05 +49.2%
85 SHEL SHELL PLC Energy 36,007.0 $2.8M 0.25% +264.0 +0.7% $77.55 +22.7%
86 MCD MCDONALDS CORP Consumer Cyclical 10,210.0 $2.8M 0.24% +4K +72.5% $270.32 -13.4%
87 LOW LOWES COS INC Consumer Cyclical 12,491.0 $2.8M 0.24% +2K +18.0% $220.50 -15.0%
88 GPC GENUINE PARTS CO Consumer Cyclical 22,417.0 $2.7M 0.24% +9K +62.1% $118.75 +6.9%
89 TJX TJX COS INC NEW Consumer Cyclical 17,275.0 $2.6M 0.23% +13K +304.9% $151.50 -11.7%
90 — ELEVATION SERIES TRUST — 92,484.0 $2.6M 0.23% +53K +134.0% $27.59 —
91 AZN ASTRAZENECA PLC Healthcare 13,247.0 $2.5M 0.22% NEW — $189.62 -13.4%
92 HPE HEWLETT PACKARD ENTERPRISE C Technology 55,290.0 $2.5M 0.22% +6K +11.5% $45.11 +36.3%
93 CVX CHEVRON CORPORATION Energy 15,040.0 $2.5M 0.22% +2K +18.8% $165.76 +23.3%
94 TUA SIMPLIFY EXCHANGE TRADED FUN — 121,629.0 $2.5M 0.22% -13K -9.7% $20.42 -6.9%
95 AMGN AMGEN INC Healthcare 6,816.0 $2.5M 0.22% -6K -46.0% $362.11 +17.0%
96 COF CAPITAL ONE FINL CORP Financial Services 11,803.0 $2.4M 0.21% +2K +22.4% $200.62 -2.1%
97 QSR RESTAURANT BRANDS INTL INC Consumer Cyclical 32,576.0 $2.4M 0.21% +296.0 +0.9% $72.51 -1.4%
98 ITW ILLINOIS TOOL WKS INC Industrials 8,650.0 $2.3M 0.21% +1K +19.1% $270.48 -1.3%
99 PEG PUBLIC SVC ENTERPRISE GROUP Utilities 28,539.0 $2.3M 0.21% +5K +22.0% $81.16 -16.6%
100 TOL TOLL BROTHERS INC Consumer Cyclical 14,054.0 $2.3M 0.21% +181.0 +1.3% $164.75 -17.5%
Page 5 of 11  ·  216 positions

① Period Price is the implied market price on the last day of the reporting period, calculated as reported value ÷ shares held. It is not the fund's purchase price or cost basis — the fund may have initiated or added to the position at any point during the quarter at a different price. Since Period shows the price change from that quarter-end snapshot to today's last price — it reflects stock movement after the report date, not the fund's actual return.

Sector Allocation
Technology 38.8%
Financial Services 13.4%
Industrials 11.1%
Communication Services 8.9%
Consumer Cyclical 7.7%
Healthcare 7.0%
Energy 7.0%
Consumer Defensive 2.8%
Utilities 1.9%
Real Estate 0.8%