LFG Wealth Partners, LLC

CIK: 0002044171Latest portfolio: $156.9M · Q4 2025

Holdings

81

Total Value

$156.9M

New Positions

81

Closed Positions

0

#StockSharesValue% PortfolioType
1
NVDANVIDIA CORPORATION
57,087$10.6M6.79%
2
MSFTMICROSOFT CORP
19,700$9.5M6.07%
3
GOOGLALPHABET INC
26,953$8.4M5.38%
4
AAPLAPPLE INC
30,775$8.4M5.33%
5
AMZNAMAZON COM INC
28,165$6.5M4.14%
6
AVGOBROADCOM INC
12,207$4.2M2.69%
7
METAMETA PLATFORMS INC
5,626$3.7M2.37%
8
TSLATESLA INC
8,061$3.6M2.31%
9
JPMJPMORGAN CHASE & CO.
9,859$3.2M2.02%
10
TSMTAIWAN SEMICONDUCTOR MFG LTD
10,397$3.2M2.01%
11
MUMICRON TECHNOLOGY INC
10,562$3.0M1.92%
12
EENI S P A
78,414$3.0M1.90%
13
4I1PHILIP MORRIS INTL INC
18,385$2.9M1.88%
14
AGNCAGNC INVT CORP
273,465$2.9M1.87%
15
BMTABRITISH AMERN TOB PLC
51,410$2.9M1.86%
16
TTETOTALENERGIES SE
44,344$2.9M1.85%
17
JBBBJANUS DETROIT STR TR
58,559$2.8M1.78%
18
IBITISHARES BITCOIN TRUST ETF
54,599$2.7M1.73%
19
ARCCARES CAPITAL CORP
121,653$2.5M1.57%
20
RIORIO TINTO PLC
30,731$2.5M1.57%
21
LLYELI LILLY & CO
2,218$2.4M1.52%
22
EWYISHARES INC
23,625$2.3M1.46%
23
JXNJACKSON FINANCIAL INC
21,191$2.3M1.44%
24
BACVERIZON COMMUNICATIONS INC
52,794$2.1M1.37%
25
PFFVGLOBAL X FDS
92,723$2.1M1.31%

Sector Breakdown

Financial Services0.0% ($3.176279327102462e+82T)
Technology0.0% ($1.0646952783664224e+28T)
Industrials0.0% ($15011455131312060.0T)
Healthcare0.0% ($2384143814161032.5T)
Energy0.0% ($29752900154614.7T)
Utilities0.0% ($19851320997.7T)
Consumer Cyclical0.0% ($6501362.5T)
Communication Services0.0% ($843637.1T)
Consumer Defensive0.0% ($1155.3T)
Unknown0.0% ($294.8T)
Basic Materials0.0% ($245.9T)
Real Estate0.0% ($29.3B)

Filing History

QuarterFiling DatePortfolio ValueHoldings
Q4 2025Feb 17, 2026$156.9M81

Fund Information

CIK0002044171
Most Recent FilingFeb 17, 2026
Number of Filings1

LFG Wealth Partners, LLC is an institutional investment manager that files 13F reports with the SEC. As of the Q4 2025 filing, the fund reported a portfolio valued at $156.9M across 81 holdings. The largest position is NVIDIA CORPORATION (NVDA), representing 6.8% of the portfolio. 13F filings are required quarterly disclosures that provide transparency into the holdings of institutional investment managers with at least $100 million in qualifying assets.