Pitti Group Wealth Management, LLC holds a focused book of 84 reported positions worth $137.3M as of Q2 2026 (disclosed Aug 12, 2026, a ~43-day 13F lag). This quarter they opened Corning Inc and trimmed Alphabet Inc-CL A. Their largest long position is Ishares Msci Eafe ETF at 13% of the reported non-option book.
Pitti Group Wealth Management, LLC is a wealth platform: this book aggregates client accounts across many advisers.
Top-heavy: focused book
Share of the disclosed book in its largest positions. A higher top-5 share means a more concentrated, higher-conviction portfolio.
28% mapped to company sectors
+2 sectors below the cut, 1% together
Direct operating-company sectors from our SIC-based security master. ETF/fund and unclassified holdings stay visible separately; this is not ETF look-through exposure.
Estimated $ traded · quarter-end prices (an exit at the prior quarter-end), no cost basis
Other tracked managers holding the same core names as Pitti Group Wealth Management, LLC
| Manager / fund | Shared names | Their $ in those |
|---|---|---|
| Donor Advised Charitable Giving, Inc. | 8 / 80 | $4.4B |
| Prospect Hill Management, LLC | 10 / 80 | $248.5M |
| Swiss Re Ltd | 35 / 80 | $1.0B |
| Hoffman, Alan N Investment Management | 8 / 80 | $154.1M |
| Draper Asset Management, LLC | 10 / 80 | $177.0M |
| Copos Capital B.V. | 16 / 80 | $615.8M |
| XP Advisory US, Inc. | 13 / 80 | $148.4M |
| Hoey Investments, Inc | 40 / 80 | $611.2M |
Ranked by the share of each fund's own book sitting in the names it shares with Pitti Group Wealth Management, LLC: only funds sharing at least a tenth of the book qualify. Index giants, bank custody books and market makers are excluded. They hold everything, so their overlap says nothing.
Bars show each position's share of the portfolio. Click a row for its position history.
| # | Security | Value | Shares | % Port | Last move | History |
|---|---|---|---|---|---|---|
| 1 | Ishares TR MSCI EAFE ETF | $18.4M | 176.7K | 13.4% | ▲+0.6% Added · +1K sh | |
| 2 | Innovator Etfs Trust U S EQ 10 BUFFER | $12.8M | 378.7K | 9.3% | ▲+1.7% Added · +6K sh | |
| 3 | First TR Exchng Traded FD VI FT VEST US EQUIT | $12.3M | 339.5K | 9.0% | ▲+2.1% Added · +7K sh | |
| 4 | Vanguard Index FDS TOTAL STK MKT | $9.7M | 26.1K | 7.0% | ▲+5.1% Added · +1K sh | |
| 5 | Johnson & Johnson COM | $5.3M | 20.9K | 3.9% | ▲~0% Added · +1 sh | |
| 6 | First TR Exchng Traded FD VI FT VEST NASD ETF | $4.4M | 111.0K | 3.2% | ▲+0.1% Added · +91 sh | |
| 7 | Ishares TR CORE S&P MCP ETF | $3.7M | 48.1K | 2.7% | ▲+8.9% Added · +4K sh | |
| 8 | Alphabet Inc CAP STK CL A | $3.2M | 9.0K | 2.4% | ▼−2.3% Reduced · −215 sh | |
| 9 | Meta Platforms Inc CL A | $3.1M | 5.5K | 2.2% | ▼−1.7% Reduced · −96 sh | |
| 10 | SPDR Series Trust ST STR P500ETF | $3.0M | 34.2K | 2.2% | ▲+1.2% Added · +397 sh | |
| 11 | Vanguard Specialized Funds DIV APP ETF | $2.6M | 11.2K | 1.9% | ▼−0.4% Reduced · −43 sh | |
| 12 | Vanguard Star FDS VG TL INTL STK F | $2.4M | 27.7K | 1.7% | ▲+27% Added · +6K sh | |
| 13 | Nvidia Corporation COM | $2.3M | 11.5K | 1.7% | ▼−3.0% Reduced · −352 sh | |
| 14 | State STR SPDR S&P 500 ETF T TR UNIT | $2.3M | 3.0K | 1.6% | ▲+10% Added · +278 sh | |
| 15 | Boeing Co COM | $2.3M | 10.4K | 1.6% | ▼−10% Reduced · −1K sh | |
| 16 | Invesco Actively Managed Exc ULTRA SHRT DUR | $2.1M | 41.4K | 1.5% | ▲+28% Added · +9K sh | |
| 17 | Exxon Mobil Corp COM | $2.0M | 14.9K | 1.5% | ▼~0% Reduced · −3 sh | |
| 18 | Amazon Com Inc COM | $2.0M | 8.4K | 1.5% | ▼−2.7% Reduced · −234 sh | |
| 19 | First TR Exchange Traded FD RISNG DIVD ACHIV | $2.0M | 24.8K | 1.5% | ▲+0.1% Added · +15 sh | |
| 20 | Proshares TR S&P 500 HIGH ETF | $1.9M | 38.9K | 1.4% | ▲+11% Added · +4K sh | |
| 21 | Eli Lilly & Co COM | $1.8M | 1.5K | 1.3% | ▲+0.1% Added · +1 sh | |
| 22 | Ishares TR CORE S&P500 ETF | $1.8M | 2.3K | 1.3% | ▼−1.2% Reduced · −29 sh | |
| 23 | Ishares TR MRGSTR MD CP ETF | $1.7M | 17.9K | 1.3% | ▲+1.1% Added · +202 sh | |
| 24 | Apple Inc COM | $1.7M | 5.9K | 1.3% | ▼−4.8% Reduced · −302 sh | |
| 25 | Netflix Inc. COM | $1.6M | 22.6K | 1.2% | ▲+1.0% Added · +224 sh | |
| 26 | Ishares TR RUSSELL 2000 ETF | $1.6M | 5.2K | 1.1% | ▲+0.5% Added · +27 sh | |
| 27 | Vanguard BD Index FDS TOTAL BND MRKT | $1.4M | 18.9K | 1.0% | ▲+28% Added · +4K sh | |
| 28 | Microsoft Corp COM | $1.3M | 3.4K | 0.9% | ▼−0.6% Reduced · −19 sh | |
| 29 | Invesco Exch Traded FD TR II NASDAQ 100 ETF | $1.2M | 4.1K | 0.9% | ▲+29% Added · +916 sh | |
| 30 | Innovator Etfs Trust EQUI DUAL 10 OCT | $1.2M | 53.0K | 0.9% | ▲+3.9% Added · +2K sh | |
| 31 | Bank Of Amer Corp COM | $1.1M | 19.0K | 0.8% | ▼−11% Reduced · −2K sh | |
| 32 | First TR Exchange Traded FD SMID RISNG ETF | $1.0M | 24.2K | 0.8% | ▲+27% Added · +5K sh | |
| 33 | Innovator Etfs Trust INTL DVLPD 10 BU | $918K | 29.2K | 0.7% | ▲+3.9% Added · +1K sh | |
| 34 | Alphabet Inc CAP STK CL C | $907K | 2.6K | 0.7% | ▼−0.9% Reduced · −24 sh | |
| 35 | American Centy ETF TR US SML CP VALU | $887K | 7.1K | 0.6% | ▲+13% Added · +828 sh | |
| 36 | First TR Exchng Traded FD VI FT VEST US EQT | $877K | 15.0K | 0.6% | —Held | |
| 37 | Marriott Intl Inc New CL A | $825K | 2.2K | 0.6% | ▼−0.1% Reduced · −3 sh | |
| 38 | Invesco QQQ TR UNIT SER 1 | $820K | 1.1K | 0.6% | —Held | |
| 39 | JPMorgan Chase & Co COM | $733K | 2.2K | 0.5% | ▲+0.1% Added · +2 sh | |
| 40 | Innovator Etfs Trust EMERGING MRKT 10 | $711K | 22.3K | 0.5% | ▲+5.2% Added · +1K sh | |
| 41 | Lowes Cos Inc COM | $703K | 3.2K | 0.5% | ▼−8.8% Reduced · −307 sh | |
| 42 | Medtronic PLC SHS | $683K | 8.7K | 0.5% | ▼−0.2% Reduced · −17 sh | |
| 43 | Qualcomm Inc COM | $644K | 3.5K | 0.5% | ▼−6.7% Reduced · −249 sh | |
| 44 | Innovator Etfs Trust US EQUITY ACCELE | $617K | 14.4K | 0.4% | ▼~0% Reduced · −3 sh | |
| 45 | First TR Exchng Traded FD VI FT VEST US EQT | $582K | 11.1K | 0.4% | ▼−1.5% Reduced · −172 sh | |
| 46 | Vanguard Intl Equity Index F FTSE EMR MKT ETF | $582K | 9.7K | 0.4% | ▲+30% Added · +2K sh | |
| 47 | First TR Exchng Traded FD VI FT VEST U.S | $534K | 12.0K | 0.4% | —Held | |
| 48 | First TR Exchng Traded FD VI FT VEST UQ EQT | $529K | 9.7K | 0.4% | —Held | |
| 49 | Tesla Inc COM | $496K | 1.2K | 0.4% | ▲+2.4% Added · +28 sh | |
| 50 | NextEra Energy Inc COM | $481K | 5.5K | 0.4% | ▼−0.2% Reduced · −11 sh |
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As-of date vs the date the SEC received each filing
Reported 13F total per quarter. Raw filing totals can include option notional.
Holdings from SEC EDGAR 13F-HR filings, updated quarterly, filed up to 45 days after quarter-end. Public domain. Book totals and portfolio weights cover reported non-option positions, which can include notes and warrants. Disclosed put/call options are listed separately and excluded from those totals. Price-derived performance is withheld until the price-source policy and freshness gate are green.