United Asset Strategies, Inc. Top Holdings and 13F Report (2026) About United Asset Strategies, Inc.Investment ActivityUnited Asset Strategies, Inc. has $1.41 billion in total holdings as of June 30, 2026.United Asset Strategies, Inc. owns shares of 259 different stocks, but just 59 companies or ETFs make up 80% of its holdings.Approximately 9.70% of the portfolio was purchased this quarter.About 9.62% of the portfolio was sold this quarter.This quarter, United Asset Strategies, Inc. has purchased 257 new stocks and bought additional shares in 129 stocks.United Asset Strategies, Inc. sold shares of 98 stocks and completely divested from 18 stocks this quarter.Largest Holdings NVIDIA $84,782,661Apple $82,527,676Alphabet $71,083,240Amazon.com $57,756,837Microsoft $48,750,736 Largest New Holdings this Quarter 22160N109 - CoStar Group $13,848,707 Holding03831W108 - APPLOVIN CORP $7,688,777 Holding78464A292 - SPDR ICE Preferred Securities ETF $7,650,020 HoldingG2004J103 - CARNIVAL CORP LTD $2,768,424 Holding24703L202 - Dell Technologies $1,576,224 Holding Largest Purchases this Quarter Apple 58,266 shares (about $16.86M)CoStar Group 489,008 shares (about $13.85M)S&P Global 27,613 shares (about $11.25M)Amphenol 63,765 shares (about $11.24M)APPLOVIN CORP 14,923 shares (about $7.69M) Largest Sales this Quarter Technology Select Sector SPDR Fund 76,102 shares (about $14.50M)Palo Alto Networks 41,315 shares (about $14.09M)JPMorgan Chase & Co. 27,589 shares (about $9.03M)Citigroup 61,322 shares (about $8.58M)Merck & Co., Inc. 66,781 shares (about $8.58M) Sector Allocation Over TimeMap of 500 Largest Holdings ofUnited Asset Strategies, Inc. Selling Neutral Buying Latest 13F Holdings and Changes Since Previous Quarterly FilingIssuer NameHoldings ValueApproximate Purchase/SaleChange in SharesShares Held% of PortfolioSectorNVDANVIDIA$84,782,661$6,256,409 â–²8.0%423,7236.0%Computer and TechnologyAAPLApple$82,527,676$16,859,827 â–²25.7%285,2085.8%Computer and TechnologyGOOGLAlphabet$71,083,240$1,889,768 â–¼-2.6%198,9075.0%Computer and TechnologyAMZNAmazon.com$57,756,837$510,523 â–²0.9%242,3304.1%Retail/WholesaleMSFTMicrosoft$48,750,736$7,478,679 â–²18.1%130,6923.4%Computer and TechnologyAVGOBroadcom$31,572,903$2,232,893 â–²7.6%83,5812.2%Computer and TechnologySOXXiShares Semiconductor ETF$31,385,600$6,370,414 â–¼-16.9%48,9822.2%ETFXLKTechnology Select Sector SPDR Fund$29,661,455$14,498,937 â–¼-32.8%155,6872.1%ETFMETAMeta Platforms$29,366,428$877,602 â–²3.1%52,1342.1%Computer and TechnologyASMLASML$25,837,544$7,016,941 â–¼-21.4%12,9871.8%Computer and TechnologySPSMSPDR Portfolio S&P 600 Small Cap ETF$25,048,129$259,630 â–²1.0%434,3361.8%ETFUSFRWisdomTree Floating Rate Treasury Fund$24,770,131$465,637 â–²1.9%491,9591.8%FinancePANWPalo Alto Networks$22,206,844$14,089,218 â–¼-38.8%65,1191.6%Computer and TechnologyMAMastercard$22,072,427$451,453 â–²2.1%42,9761.6%Business ServicesPHParker-Hannifin$20,063,871$443,082 â–²2.3%20,5131.4%IndustrialsBACBank of America$19,312,107$153,219 â–²0.8%338,9281.4%FinanceGWWW.W. Grainger$19,067,467$144,203 â–²0.8%14,0161.3%IndustrialsVMBSVanguard Mortgage-Backed Securities ETF$18,862,194$742,033 â–¼-3.8%402,9521.3%ETFMRKMerck & Co., Inc.$18,459,565$8,581,371 â–¼-31.7%143,6541.3%MedicalSCHWCharles Schwab$18,124,367$19,377 â–¼-0.1%196,4281.3%FinanceEWEdwards Lifesciences$17,420,968$115,970 â–¼-0.7%192,5821.2%MedicalKMIKinder Morgan$17,260,192$976,524 â–²6.0%539,8871.2%EnergyECLEcolab$16,096,070$244,061 â–²1.5%57,7731.1%Basic MaterialsTMOThermo Fisher Scientific$15,751,436$161,440 â–²1.0%31,4171.1%MedicalJPMJPMorgan Chase & Co.$15,599,117$9,030,637 â–¼-36.7%47,6561.1%FinanceLMTLockheed Martin$15,485,300$237,405 â–²1.6%30,3961.1%AerospaceSPLGSPDR Portfolio S&P 500 ETF$15,442,639$270,934 â–¼-1.7%175,7241.1%ETFJNJJohnson & Johnson$14,764,027$204,446 â–²1.4%58,1331.0%MedicalSBUXStarbucks$14,588,084$41,591 â–¼-0.3%142,7551.0%Retail/WholesaleNOWServiceNow$14,364,396$1,849,583 â–²14.8%144,6861.0%Computer and TechnologyDUKDuke Energy$14,119,673$1,519 â–²0.0%111,5471.0%UtilitiesMNSTMonster Beverage$14,034,770$638,717 â–¼-4.4%146,0131.0%Consumer StaplesETNEaton$13,916,925$132,522 â–¼-0.9%32,6601.0%IndustrialsCSGPCoStar Group$13,848,707$13,848,707 â–²New Holding489,0081.0%Computer and TechnologyPMPhilip Morris International$12,940,194$278,241 â–²2.2%71,5280.9%Consumer StaplesSPGIS&P Global$12,580,074$11,245,503 â–²842.6%30,8900.9%FinanceCLColgate-Palmolive$12,084,882$501,948 â–²4.3%131,8160.9%Consumer StaplesAPHAmphenol$12,041,780$11,243,050 â–²1,407.6%68,2950.9%Computer and TechnologyAMGNAmgen$11,824,709$42,730 â–²0.4%32,6540.8%MedicalHDHome Depot$11,281,400$202,083 â–²1.8%31,9880.8%Retail/WholesaleVALUED ADVISERS TR$10,898,850$6,300,718 â–²137.0%424,4930.8%REGAN FLTG RATECHENIERE ENERGY INC$10,895,244$3,975,922 â–²57.5%45,5850.8%COM NEWAIGAmerican International Group$10,260,083$250,197 â–²2.5%137,6640.7%FinanceCCitigroup$9,534,685$8,582,672 â–¼-47.4%68,1240.7%Financial ServicesMCKMcKesson$8,640,201$81,604 â–²1.0%11,4350.6%MedicalIWNiShares Russell 2000 Value ETF$8,519,671$34,286 â–¼-0.4%38,5160.6%ETFXLPConsumer Staples Select Sector SPDR Fund$8,515,185$2,604,248 â–¼-23.4%102,5060.6%ETFETREntergy$8,041,762$6,317 â–²0.1%70,0140.6%UtilitiesAPDAir Products and Chemicals$7,759,791$10,554 â–¼-0.1%26,4680.5%Basic MaterialsAPPLOVIN CORP$7,688,777$7,688,777 â–²New Holding14,9230.5%COM CL APSKSPDR ICE Preferred Securities ETF$7,650,020$7,650,020 â–²New Holding250,5740.5%ETFWMWaste Management$7,480,593$427,711 â–²6.1%33,5630.5%Business ServicesDEDeere & Company$7,010,794$45,673 â–²0.7%11,0520.5%IndustrialsDISWalt Disney$6,683,239$107,608 â–²1.6%69,4360.5%Consumer DiscretionaryPEPPepsiCo$6,487,872$2,580,742 â–²66.1%47,9160.5%Consumer StaplesVTRVentas$6,284,467$56,033 â–¼-0.9%70,7710.4%FinanceLNTAlliant Energy$6,134,817$40,205 â–²0.7%80,4140.4%UtilitiesDHRDanaher$6,053,873$141,528 â–²2.4%31,7820.4%MedicalEFViShares MSCI EAFE Value ETF$5,951,793$15,846 â–¼-0.3%77,7500.4%ETFTSLATesla$5,656,368$85,805 â–²1.5%13,4480.4%Auto/Tires/TrucksWFCWells Fargo & Company$5,607,915$2,426,626 â–²76.3%67,8600.4%FinanceUPSUnited Parcel Service$5,528,872$63,855 â–²1.2%51,4310.4%TransportationGLDSPDR Gold Shares$5,401,801$1,878,327 â–¼-25.8%14,6640.4%FinanceAMATApplied Materials$5,312,805$380,312 â–¼-6.7%7,3480.4%Computer and TechnologyAMDAdvanced Micro Devices$5,296,737$2,420,071 â–¼-31.4%9,1180.4%Computer and TechnologyLLYEli Lilly and Company$5,005,863$149,912 â–¼-2.9%4,1740.4%MedicalXLYConsumer Discretionary Select Sector SPDR Fund$4,953,249$33,660 â–¼-0.7%42,2340.4%FinanceXOMExxonMobil$4,790,524$2,775,411 â–¼-36.7%35,0390.3%EnergyDFEVDimensional Emerging Markets Value ETF$4,620,759$1,704,848 â–²58.5%108,2980.3%ETFVVisa$4,584,688$68,961 â–¼-1.5%13,3630.3%Business ServicesRTXRTX$4,535,767$867,271 â–²23.6%23,9060.3%AerospaceTMUST-Mobile US$4,462,068$229,116 â–¼-4.9%26,6030.3%Computer and TechnologyRJFRaymond James Financial$4,349,166$1,855,849 â–²74.4%28,6070.3%FinanceLPLALPL Financial$4,058,844$180,844 â–²4.7%14,4090.3%FinanceBELPOINTE PREP LLC$4,018,219$28,623 â–¼-0.7%88,7220.3%UNIT RP LTD LB ASPMDSPDR Portfolio S&P 400 Mid Cap ETF$3,802,384$212,137 â–²5.9%56,2820.3%ETFABBVAbbVie$3,677,525$1,158,569 â–²46.0%14,6140.3%MedicalXLFFinancial Select Sector SPDR Fund$3,395,305$4,717,712 â–¼-58.1%63,3330.2%ETFSPDWSPDR Portfolio Developed World ex-US ETF$3,332,335$178,531 â–²5.7%66,1310.2%ETFBRK.BBerkshire Hathaway$3,314,083$54,042 â–²1.7%6,6230.2%FinanceMCDMcDonald's$3,281,426$49,198 â–²1.5%12,1390.2%Retail/WholesaleRMDResMed$3,238,199$118,295 â–²3.8%16,6160.2%MedicalGOOGAlphabet$3,184,779$411,612 â–¼-11.4%9,0140.2%Computer and TechnologyCATCaterpillar$3,164,258$719,973 â–²29.5%2,9710.2%IndustrialsQQQInvesco QQQ$2,976,093$13,257 â–¼-0.4%4,0410.2%FinanceVZVerizon Communications$2,783,166$97,805 â–²3.6%65,7340.2%Computer and TechnologyCARNIVAL CORP LTD$2,768,424$2,768,424 â–²New Holding96,9000.2%COMMON SHARESPGProcter & Gamble$2,761,839$63,202 â–¼-2.2%18,8340.2%Consumer StaplesXMHQInvesco S&P MidCap Quality ETF$2,720,521$238,515 â–¼-8.1%24,1010.2%ETFITWIllinois Tool Works$2,718,448$60,043 â–¼-2.2%10,0510.2%IndustrialsCOSTCostco Wholesale$2,634,409$128,165 â–¼-4.6%2,8160.2%Retail/WholesaleXLIIndustrial Select Sector SPDR Fund$2,592,152$122,439 â–¼-4.5%13,9940.2%ETFJJacobs Solutions$2,573,562$67,788 â–²2.7%20,4250.2%Business ServicesXLVHealth Care Select Sector SPDR Fund$2,524,563$117,883 â–²4.9%15,9120.2%ETFCDNSCadence Design Systems$2,291,704$731,499 â–¼-24.2%6,1060.2%Computer and TechnologyROSTRoss Stores$2,272,818$451,030 â–²24.8%10,6780.2%Retail/WholesaleNFLXNetflix$2,272,519$374,850 â–²19.8%31,8280.2%Consumer DiscretionaryMUMicron Technology$2,242,009$1,829,858 â–¼-44.9%1,9420.2%Computer and TechnologyARISTA NETWORKS INC$2,185,166$340,779 â–²18.5%12,8630.2%COM SHSAGGiShares Core U.S. Aggregate Bond ETF$2,129,473$26,428 â–²1.3%21,5140.2%FinanceShowing largest 100 holdings. 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