Bridge Port Financial Solutions, LLC Portfolio Holdings by Sector
Bridge Port Financial Solutions, LLC
- $301 Billion
- Q2 2025
| Industry | Value | Buys | Sells | New Positions | Closed Positions | Options | 
|---|---|---|---|---|---|---|
| 
                      ETFs | ETFs
                         IVV JCPB VOO DYNF USMV JQUA JIRE VXUS 103 stocks | 
                  $203 Million
                  74.63% of portfolio              
                 |   72   |   20   |   16   | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
                 | 
| 
                      Insurance—Diversified | Financial Services
                         BRK-B BRK-A 2 stocks | 
                  $10.5 Million
                  3.84% of portfolio              
                 |   1   | - | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Consumer Electronics | Technology
                         AAPL 1 stocks | 
                  $7.71 Million
                  2.83% of portfolio              
                 |   1   | - | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Software—Infrastructure | Technology
                         MSFT PLTR CRWD 3 stocks | 
                  $7.39 Million
                  2.71% of portfolio              
                 |   3   | - |   1   | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Semiconductors | Technology
                         NVDA QCOM TSM AVGO 4 stocks | 
                  $5.77 Million
                  2.12% of portfolio              
                 |   4   | - |   2   | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Internet Content & Information | Communication Services
                         META GOOGL GOOG 3 stocks | 
                  $3.81 Million
                  1.4% of portfolio              
                 |   2   |   1   | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Internet Retail | Consumer Cyclical
                         AMZN JD 2 stocks | 
                  $3.01 Million
                  1.1% of portfolio              
                 |   2   | - |   1   | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Aerospace & Defense | Industrials
                         RTX BA LMT GD 4 stocks | 
                  $2.99 Million
                  1.1% of portfolio              
                 |   4   | - | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Drug Manufacturers—General | Healthcare
                         GILD MRK JNJ PFE AZN 5 stocks | 
                  $2.39 Million
                  0.88% of portfolio              
                 |   4   | - | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      REIT—Diversified | Real Estate
                         WPC 1 stocks | 
                  $1.79 Million
                  0.66% of portfolio              
                 |   1   | - | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
                 | 
| 
                      Home Improvement Retail | Consumer Cyclical
                         HD LOW 2 stocks | 
                  $1.6 Million
                  0.59% of portfolio              
                 |   1   | - | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Credit Services | Financial Services
                         V AXP MA 3 stocks | 
                  $1.58 Million
                  0.58% of portfolio              
                 |   2   | - |   1   | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Restaurants | Consumer Cyclical
                         MCD SBUX 2 stocks | 
                  $1.55 Million
                  0.57% of portfolio              
                 |   1   |   1   | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Banks—Diversified | Financial Services
                         JPM BAC 2 stocks | 
                  $1.38 Million
                  0.5% of portfolio              
                 |   1   | - | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Oil & Gas Integrated | Energy
                         XOM 1 stocks | 
                  $1.25 Million
                  0.46% of portfolio              
                 |   1   | - | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Biotechnology | Healthcare
                         NVO VRTX 2 stocks | 
                  $1.17 Million
                  0.43% of portfolio              
                 |   2   | - | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Travel Services | Consumer Cyclical
                         BKNG EXPE 2 stocks | 
                  $1.16 Million
                  0.42% of portfolio              
                 |   1   | - |   1   | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Information Technology Services | Technology
                         IBM 1 stocks | 
                  $1.13 Million
                  0.41% of portfolio              
                 |   1   | - | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Telecom Services | Communication Services
                         TMUS VZ T 3 stocks | 
                  $1.08 Million
                  0.4% of portfolio              
                 |   2   |   1   |   2   | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Closed-End Fund - Equity | ETFs
                         VTI 1 stocks | 
                  $972,826
                  0.36% of portfolio              
                 |   1   | - | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
                 | 
| 
                      Specialty Industrial Machinery | Industrials
                         GE DOV EMR 3 stocks | 
                  $950,349
                  0.35% of portfolio              
                 | - | - | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Software—Application | Technology
                         MSTR 1 stocks | 
                  $941,856
                  0.35% of portfolio              
                 | - | - | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
                 | 
| 
                      Electronic Components | Technology
                         JBL 1 stocks | 
                  $874,345
                  0.32% of portfolio              
                 |   1   | - | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Entertainment | Communication Services
                         DIS 1 stocks | 
                  $775,521
                  0.28% of portfolio              
                 |   1   | - | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
                 | 
| 
                      Healthcare Plans | Healthcare
                         UNH CVS 2 stocks | 
                  $729,890
                  0.27% of portfolio              
                 |   2   | - | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Conglomerates | Industrials
                         MMM 1 stocks | 
                  $585,976
                  0.21% of portfolio              
                 | - |   1   | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
                 | 
| 
                      Beverages—Non-Alcoholic | Consumer Defensive
                         KO 1 stocks | 
                  $578,416
                  0.21% of portfolio              
                 | - |   1   | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
                 | 
| 
                      Asset Management | Financial Services
                         FSK CION 2 stocks | 
                  $509,006
                  0.19% of portfolio              
                 |   1   | - | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
                 | 
| 
                      Auto Manufacturers | Consumer Cyclical
                         TSLA 1 stocks | 
                  $466,722
                  0.17% of portfolio              
                 |   1   | - | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
                 | 
| 
                      Semiconductor Equipment & Materials | Technology
                         AMAT 1 stocks | 
                  $430,758
                  0.16% of portfolio              
                 |   1   | - | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
                 | 
| 
                      Tobacco | Consumer Defensive
                         MO 1 stocks | 
                  $426,533
                  0.16% of portfolio              
                 |   1   | - |   1   | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Grocery Stores | Consumer Defensive
                         KR 1 stocks | 
                  $414,886
                  0.15% of portfolio              
                 |   1   | - |   1   | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
                 | 
| 
                  $414,181
                  0.15% of portfolio              
                 | - |   1   | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
                 | |
| 
                      Medical Instruments & Supplies | Healthcare
                         ISRG 1 stocks | 
                  $313,004
                  0.11% of portfolio              
                 | - |   1   | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Banks—Regional | Financial Services
                         EBTC 1 stocks | 
                  $298,535
                  0.11% of portfolio              
                 | - | - | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Medical Devices | Healthcare
                         ABT 1 stocks | 
                  $293,694
                  0.11% of portfolio              
                 | - | - | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Communication Equipment | Technology
                         CSCO 1 stocks | 
                  $277,544
                  0.1% of portfolio              
                 |   1   | - | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Railroads | Industrials
                         NSC 1 stocks | 
                  $266,751
                  0.1% of portfolio              
                 | - | - | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Discount Stores | Consumer Defensive
                         COST 1 stocks | 
                  $257,396
                  0.09% of portfolio              
                 |   1   | - |   1   | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Packaged Foods | Consumer Defensive
                         GIS 1 stocks | 
                  $250,760
                  0.09% of portfolio              
                 | - |   1   | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Capital Markets | Financial Services
                         GS 1 stocks | 
                  $249,128
                  0.09% of portfolio              
                 |   1   | - |   1   | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
                 | 
| 
                  $220,786
                  0.08% of portfolio              
                 | - | - | - | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
                 | |
| 
                      Engineering & Construction | Industrials
                         PWR 1 stocks | 
                  $218,908
                  0.08% of portfolio              
                 |   1   | - |   1   | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Utilities—Diversified | Utilities
                         SRE 1 stocks | 
                  $204,391
                  0.07% of portfolio              
                 |   1   | - |   1   | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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| 
                      Oil & Gas E&P | Energy
                         BRY 1 stocks | 
                  $28,638
                  0.01% of portfolio              
                 |   1   | - |   1   | - | 
                  
                    0
                  
                  Calls
                 
                  
                   0
                  
                  Puts
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