MILLER WEALTH ADVISORS, LLC
CIK: 0001908158SEC EDGAR →
Portfolio Value
$270.7M
Holdings
136
As of
Q4 2025
New Positions
136
Closed Positions
0
Portfolio Value History
Top 10 Holdings
| Rank | Stock | Shares | Value | % of Portfolio |
|---|---|---|---|---|
| 1 | AMAZON.COM INC | 252,175 | $58.2M | 21.50% |
| 2 | APPLE INC | 161,314 | $43.9M | 16.20% |
| 3 | ALPHABET INC | 122,684 | $38.5M | 14.22% |
| 4 | ALPHABET INC | 122,684 | $38.5M | 14.22% |
| 5 | EXXON MOBIL CORP | 293,987 | $35.4M | 13.07% |
| 6 | MICROSOFT CORP | 48,611 | $23.5M | 8.69% |
| 7 | NVIDIA CORP | 71,307 | $13.3M | 4.91% |
| 8 | PALANTIR TECHNOLOGIES IN | 56,689 | $10.1M | 3.72% |
| 9 | BERKSHIRE HATHAWAY | 6,437 | $3.2M | 1.20% |
| 10 | CATERPILLAR INC | 1,056 | $604K | 0.22% |
Quarterly Changes
Top Sells
No sells this quarter
New Positions (136)
$58.2M · 252K shares
$43.9M · 161K shares
$38.5M · 123K shares
$38.5M · 123K shares
$35.4M · 294K shares
$23.5M · 49K shares
$13.3M · 71K shares
$10.1M · 57K shares
$3.2M · 6K shares
$604K · 1K shares
$507K · 3K shares
$457K · 672 shares
$433K · 42K shares
$304K · 3K shares
$283K · 322 shares
$264K · 400 shares
$227K · 6K shares
$221K · 476 shares
$201K · 1K shares
$138K · 430 shares
$136K · 951 shares
$124K · 5K shares
$121K · 1K shares
$111K · 900 shares
$107K · 100 shares
$105K · 14K shares
$104K · 643 shares
$101K · 3K shares
$91K · 711 shares
$78K · 550 shares
$70K · 1K shares
$67K · 149 shares
$67K · 3K shares
$54K · 240 shares
$52K · 557 shares
$51K · 200 shares
$50K · 285 shares
$34K · 396 shares
$31K · 650 shares
$31K · 765 shares
$30K · 125 shares
$30K · 226 shares
$27K · 390 shares
$26K · 162 shares
$25K · 1K shares
$25K · 573 shares
$25K · 680 shares
$25K · 615 shares
$24K · 1K shares
$23K · 4K shares
$23K · 668 shares
$21K · 382 shares
$21K · 70 shares
$21K · 250 shares
$20K · 42 shares
$19K · 89 shares
$18K · 324 shares
$18K · 629 shares
$16K · 280 shares
$16K · 100 shares
$16K · 180 shares
$14K · 290 shares
$14K · 315 shares
$14K · 100 shares
$14K · 277 shares
$14K · 183 shares
$13K · 20K shares
$13K · 332 shares
$12K · 250 shares
$12K · 100 shares
$12K · 1K shares
$12K · 600 shares
$12K · 125 shares
$11K · 249 shares
$11K · 100 shares
$10K · 100 shares
$10K · 75 shares
$9K · 100 shares
$9K · 125 shares
$9K · 75 shares
$9K · 800 shares
$9K · 10 shares
$9K · 100 shares
$9K · 55 shares
$8K · 165 shares
$8K · 25 shares
$7K · 247 shares
$7K · 3K shares
$7K · 100 shares
$6K · 275 shares
$6K · 90 shares
$5K · 25 shares
$4K · 271 shares
$4K · 715 shares
$3K · 50 shares
$3K · 100K shares
$3K · 137 shares
$3K · 5 shares
$2K · 100 shares
$2K · 100 shares
$2K · 45 shares
$2K · 205 shares
$2K · 200 shares
$2K · 1K shares
BRAINCHIP HLDGS LT ORDF
$2K · 18K shares
$2K · 50 shares
$1K · 2K shares
$1K · 100 shares
$1K · 300 shares
$1K · 20 shares
$1K · 50 shares
$1K · 240 shares
$1K · 56 shares
$1K · 1K shares
$1K · 170 shares
$1K · 1K shares
$0 · 100 shares
$0 · 135 shares
$0 · 918 shares
$0 · 135 shares
$0 · 5 shares
$0 · 1 shares
$0 · 4 shares
$0 · 882 shares
$0 · 1 shares
$0 · 4 shares
$0 · 6K shares
$0 · 12 shares
$0 · 38 shares
$0 · 135 shares
UNITED DEV FUNDING XXX
$0 · 774 shares
$0 · 58 shares
$0 · 1 shares
$0 · 750 shares
$0 · 2 shares
$0 · 1 shares
Sector Breakdown
| Sector | # Holdings | Value | % |
|---|---|---|---|
| Technology | 21 | $91.1M | 33.7% |
| Communication Services | 9 | $77.3M | 28.6% |
| Consumer Cyclical | 8 | $58.8M | 21.7% |
| Energy | 15 | $36.2M | 13.4% |
| Unknown | 10 | $3.3M | 1.2% |
| Industrials | 15 | $1.6M | 0.6% |
| Financial Services | 20 | $1.3M | 0.5% |
| Consumer Defensive | 8 | $602K | 0.2% |
| Healthcare | 13 | $224K | 0.1% |
| Real Estate | 4 | $60K | 0.0% |
| Basic Materials | 9 | $59K | 0.0% |
| Utilities | 4 | $54K | 0.0% |