Aspire Growth Partners LLC

CIK: 0002055568SEC EDGAR →

Portfolio Value

$143.6M

Holdings

123

As of

Q4 2025

New Positions

122

Closed Positions

0

Portfolio Value History

Top 10 Holdings

RankStockSharesValue% of Portfolio
1

VANGUARD INDEX FDS

24,980$15.7M
10.91%
2

APPLE INC

40,962$11.1M
7.75%
3

VANGUARD ADMIRAL FDS INC

47,957$9.8M
6.84%
4

MICROSOFT CORP

14,218$6.9M
4.79%
5

INVESCO EXCH TRADED FD TR II

26,953$6.8M
4.75%
6

CAPITAL GROUP CORE EQUITY ET

141,094$5.7M
3.95%
7

CAPITAL GROUP DIVIDEND VALUE

108,200$4.7M
3.29%
8

JPMORGAN CHASE & CO.

10,240$3.3M
2.30%
9

VANGUARD INDEX FDS

9,610$3.2M
2.24%
10

CAPITAL GROUP INTL FOCUS EQT

99,044$2.9M
2.04%

Quarterly Changes

Top Buys

VOONEW
$15.7M
AAPLNEW
$11.1M
VOOVNEW
$9.8M
MSFTNEW
$6.9M
QQQMNEW
$6.8M

Top Sells

No sells this quarter

New Positions (123)

$15.7M · 25K shares
$11.1M · 41K shares
$9.8M · 48K shares
$6.9M · 14K shares
$6.8M · 27K shares
$5.7M · 141K shares
$4.7M · 108K shares
$3.3M · 10K shares
$3.2M · 10K shares
$2.9M · 99K shares
$2.7M · 9K shares
$2.7M · 24K shares
$2.5M · 11K shares
$2.1M · 7K shares
$2.0M · 6K shares
$1.8M · 15K shares
$1.5M · 16K shares
$1.5M · 10K shares
$1.5M · 2K shares
$1.4M · 4K shares
$1.2M · 3K shares
$1.2M · 2K shares
$1.1M · 1K shares
$1.1M · 25K shares
$1.1M · 13K shares
$1.1M · 3K shares
$1.0M · 8K shares
$1.0M · 15K shares
$1.0M · 3K shares
$969K · 34K shares
$940K · 26K shares
$939K · 3K shares
$913K · 37K shares
$893K · 32K shares
$890K · 3K shares
$851K · 8K shares
$816K · 3K shares
$809K · 2K shares
$796K · 2K shares
$778K · 11K shares
$765K · 1K shares
$762K · 9K shares
$758K · 33K shares
$742K · 4K shares
$740K · 1K shares
$681K · 6K shares
$680K · 3K shares
$644K · 2K shares
$641K · 2K shares
$618K · 3K shares
$618K · 4K shares
$616K · 6K shares
$615K · 1K shares
$613K · 2K shares
$608K · 2K shares
$596K · 3K shares
$594K · 3K shares
$570K · 2K shares
$565K · 2K shares
$547K · 2K shares
$535K · 811 shares
$531K · 2K shares
$515K · 2K shares
$510K · 2K shares
$510K · 1K shares
$496K · 2K shares
$494K · 14K shares
$487K · 3K shares
$482K · 626 shares
$476K · 36K shares
$475K · 19K shares
$473K · 1K shares
$463K · 11K shares
$462K · 1K shares
$435K · 102K shares
$428K · 2K shares
$421K · 16K shares
$415K · 5K shares
$410K · 1K shares
$410K · 3K shares
$396K · 2K shares
$394K · 5K shares
$382K · 558 shares
$374K · 2K shares
$369K · 7K shares
$358K · 5K shares
$351K · 1K shares
$344K · 728 shares
$316K · 2K shares
$311K · 1K shares
$309K · 1K shares
$303K · 5K shares
$290K · 2K shares
$286K · 975 shares
$283K · 8K shares
$279K · 1K shares
$278K · 323 shares
$271K · 4K shares
$268K · 9K shares
$268K · 2K shares
$267K · 3K shares
$264K · 2K shares
$263K · 8K shares
$262K · 4K shares
$260K · 2K shares
$253K · 3K shares
$243K · 5K shares
$239K · 2K shares
$239K · 4K shares
$237K · 2K shares
$235K · 1K shares
$234K · 4K shares
$232K · 1K shares
$227K · 1K shares
$222K · 385 shares
$218K · 1K shares
$216K · 463 shares
$216K · 415 shares
$210K · 1K shares
$208K · 448 shares
$207K · 3K shares
$202K · 703 shares
$101K · 13K shares

Sector Breakdown

Sector# HoldingsValue%
Financial Services44$1.5665982468175677e+137T0.0%
Healthcare16$1.1486816186165947e+39T0.0%
Technology15$1.1136687621258909e+39T0.0%
Industrials13$1.2161068100568063e+32T0.0%
Consumer Cyclical10$2.4899398937626186e+21T0.0%
Communication Services7$26992008913535.3T0.0%
Energy5$18401546.0T0.0%
Unknown4$14621.2T0.0%
Consumer Defensive3$2.7T0.0%
Basic Materials3$570.4B0.0%
Utilities2$765.3M0.0%
Real Estate1$239K0.0%