IHT Wealth Management, LLC Q2 2025 Filing

Filed August 14, 2025

Portfolio Value

$3.6T

Holdings

1,148

Report Date

Q2 2025

Filing Type

13F-HR

All Holdings (1,148 positions)

#StockSharesValue% PortfolioType
601
TTTrane Technologies Plc
1,596$697.9M0.02%
602
DESWISDOMTREE U S
21,913$696.0M0.02%
603
ESGUISHARES ESG
5,138$695.2M0.02%
604
NKENike Inc Cl B
9,751$692.7M0.02%
605
DYLDTWO ROADS
30,553$691.4M0.02%
606
VRTXVertex Pharmaceuticals Inc
1,547$688.7M0.02%
607
XELXcel Energy Inc
10,094$687.4M0.02%
608
XHBSPDR SERIES
6,966$686.6M0.02%
609
GDXJVANECK JR
10,130$684.7M0.02%
610
WELLWelltower Inc
4,436$681.9M0.02%
611
QQQJINVESCO NASDAQ
21,289$680.8M0.02%
612
BMIBadger Meter Inc
2,776$680.0M0.02%
613
FASTFastenal Co
16,076$675.2M0.02%
614
TANINVESCO SOLAR
19,642$672.9M0.02%
615
PEGPublic Service Enterprise Group Inc
7,958$669.9M0.02%
616
ULUnilever Plc Sponsored Adr New
10,927$668.4M0.02%
617
CAECae Inc
22,822$668.0M0.02%
618
CASYCaseys Genl Stores Inc
1,304$665.3M0.02%
619
DUHPDIMENSIONAL US
18,589$661.0M0.02%
620
PLTMGRANITESHARES PLATINUM
50,735$659.6M0.02%
621
STKCOLUMBIA SELIGMAN
21,686$659.5M0.02%
622
LENLENNAR CORP
5,943$657.4M0.02%
623
SCHWSchwab Charles Corp New
7,203$657.2M0.02%
624
RITMRithm Capital Corp
57,949$654.2M0.02%
625
SPGSimon Property Group Inc New
4,034$648.5M0.02%
626
PFFISHARES U S
21,110$647.7M0.02%
627
USHYISHARES BROAD
17,265$647.6M0.02%
628
TFISPDR NUVEEN
14,465$646.2M0.02%
629
PYPLPaypal Holdings Inc
8,677$644.8M0.02%
630
METMetlife Inc
7,915$636.5M0.02%
631
KRKroger Co
8,873$636.5M0.02%
632
CTASIMPLIFY EXCHANGE TRADED FUN
23,720$634.3M0.02%
633
FMBFIRST TRUST
12,644$629.9M0.02%
634
XTENBONDBLOXX ETF TRUST
13,621$628.7M0.02%
635
ADSKAutodesk Inc
2,031$628.7M0.02%
636
PHOINVESCO WATER
8,890$621.5M0.02%
637
SCHZSCHWAB AGGREGATE
26,620$618.6M0.02%
638
SKYYFIRST TRUST
5,065$616.1M0.02%
639
INFLLISTED HORIZON
14,559$613.9M0.02%
640
CYBRCyber Ark Software LTD
1,504$611.9M0.02%
641
DGRSWISDOMTREE US
13,136$611.5M0.02%
642
SQEWTWO ROADS
18,491$607.2M0.02%
643
SAPSap Se Spon Adr
1,987$604.1M0.02%
644
ILCBISHARES MORNINGSTAR
7,040$603.9M0.02%
645
ACIALBERTSONS COS INC
27,842$598.9M0.02%
646
TMUST-mobile Us Inc
2,472$589.0M0.02%
647
VDEVANGUARD ENERGY
4,944$589.0M0.02%
648
SONYSony Group Corp Adr New
22,524$586.3M0.02%
649
SPTLSPDR PORTFOLIO
22,035$585.7M0.02%
650
KOMPSPDR S&P
10,688$581.2M0.02%
651
TFCTruist Financial Corp
13,416$576.8M0.02%
652
IYHISHARES U S
10,189$575.4M0.02%
653
CAHCardinal Health Inc
3,403$571.7M0.02%
654
WRBBerkley W R Corp
7,740$568.6M0.02%
655
BDXBecton Dickinson & Co
3,293$567.3M0.02%
656
GEHCGe Healthcare Technologies Inc
7,640$565.9M0.02%
657
GSKGsk Plc Sponsored Adr New
14,736$565.9M0.02%
658
WPCW P Carey Inc
9,039$563.9M0.02%
659
GNOMEURGLOBAL X
66,752$562.7M0.02%
660
FXIISHARES CHINA
15,302$562.5M0.02%
661
ROBOEXCHANGE TRADED
9,397$561.7M0.02%
662
GPIQGOLDMAN SACHS ETF TR
11,268$561.3M0.02%
663
AMLPALPS ALERIAN
11,422$558.1M0.02%
664
DOVDover Corp
3,041$557.2M0.02%
665
XLGINVESCO EXCHANGE TRADED FD T
10,676$556.2M0.02%
666
SMCIUSDSuper Micro Computer Inc
11,318$554.7M0.02%
667
BUGGLOBAL X
14,910$553.2M0.02%
668
KMBKimberly Clark Corp
4,283$552.2M0.02%
669
SUNSunoco LTD Partnership
10,302$552.1M0.02%
670
OLLIOllies Bargain Outlet Holdings Inc
4,189$552.0M0.02%
671
FTGCFIRST TRUST
22,342$551.2M0.02%
672
GPCGenuine Parts Co
4,539$550.7M0.02%
673
HEDJWISDOMTREE TRUST
11,375$547.4M0.02%
674
NVMINOVA LTD
1,988$547.1M0.02%
675
RCLRoyal Caribbean Group
1,737$543.8M0.01%
676
SMOTVANECK MORNINGSTAR
15,583$542.3M0.01%
677
SYYSysco Corp
7,144$541.1M0.01%
678
SCHQSCHWAB STRATEGIC TR
16,933$540.0M0.01%
679
MSIMotorola Solutions Inc New
1,276$536.5M0.01%
680
EOGEog Resources Inc
4,474$535.1M0.01%
681
IUSBISHARES CORE
11,518$532.5M0.01%
682
ICLNISHARES GLOBAL
40,489$530.8M0.01%
683
GMGeneral Motors Co
10,785$530.7M0.01%
684
YUMYum Brands Inc
3,571$529.2M0.01%
685
TCAFT ROWE PRICE ETF INC
14,976$528.4M0.01%
686
CGBLCAPITAL GROUP CORE BALANCED
15,668$523.9M0.01%
687
PNCPnc Financial Services Group Inc
2,810$523.8M0.01%
688
USTBVICTORYSHARES SHORT
10,299$523.4M0.01%
689
BARGRANITRESHARES GLD TR
16,021$522.9M0.01%
690
WWDWoodward Inc
2,130$522.0M0.01%
691
EEMISHARES MSCI
10,749$518.5M0.01%
692
AQLTISHARES U S
22,555$518.3M0.01%
693
NGGNational Grid Plc Spon Adr New 2017
6,950$517.2M0.01%
694
IGRCBRE GLOBAL
97,489$515.7M0.01%
695
WMBWilliams Cos Inc Del
8,178$513.6M0.01%
696
EDConsolidated Edison Inc
5,087$510.5M0.01%
697
INDAISHARES MSCI
9,163$510.2M0.01%
698
SPPPSPROTT PHYSICAL
42,911$503.3M0.01%
699
OUNZVANECK MERK
15,778$503.2M0.01%
700
FEXFIRST TRUST
4,571$502.7M0.01%
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