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VOL. XII · NO. 117Established MMXIV · George Town, Grand CaymanAtlantic Edition · $4.50

The Cayman Journal

Finance · Business · Technology · Caribbean & Global Affairs
13F HOLDINGS REPORT

McGuire Investment Group, LLC

Quarter ended Q1 2023 · Filed January 10, 2023 · Accession 0001214659-23-000450

Total Value
$462.1M
Positions
115
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (115)

#IssuerTicker / CUSIPSharesValue% of Filing
1ADVANCED MICRO DEVICES INCAMD285,782$18.5M4.01%
2THERMO FISHER SCIENTIFIC INCTMO32,506$17.9M3.87%
3QUALCOMM INCQCOM162,152$17.8M3.86%
4LAM RESEARCH CORPLRCX37,766$15.9M3.44%
5APPLIED MATLS INC038222105159,870$15.6M3.37%
6APPLE INCAAPL119,269$15.5M3.35%
7ANALOG DEVICES INCADI93,764$15.4M3.33%
8IQVIA HLDGS INCIQV74,410$15.2M3.30%
9SPDR SER TR78464A870180,102$14.9M3.24%
10SPDR SER TR78468R663161,517$14.8M3.20%
11STRYKER CORPORATIONSYK58,592$14.3M3.10%
12CBOE GLOBAL MKTS INC12503M10899,701$12.5M2.71%
13MICROSOFT CORPMSFT50,651$12.1M2.63%
14SCHWAB CHARLES CORPSCHW-PJ137,959$11.5M2.49%
15HOLOGIC INCHOLX144,310$10.8M2.34%
16WISDOMTREE TRWT207,235$10.4M2.25%
17JOHNSON & JOHNSONJNJ58,560$10.3M2.24%
18MEDPACE HLDGS INCMEDP47,228$10.0M2.17%
19ILLINOIS TOOL WKS INC45230810944,661$9.8M2.13%
20DANAHER CORPORATION23585110236,662$9.7M2.11%
21ISHARES TR46428755666,815$8.8M1.90%
22COSTCO WHSL CORP NEW22160K10519,080$8.7M1.88%
23BRISTOL-MYERS SQUIBB COCELG-RI118,456$8.5M1.84%
24ASML HOLDING N VASMLF14,434$7.9M1.71%
25NVIDIA CORPORATIONNVDA52,115$7.6M1.65%
26BLACKROCK INCBLK10,744$7.6M1.65%
27CME GROUP INCCME44,908$7.6M1.63%
28MORGAN STANLEYMS-PQ83,871$7.1M1.54%
29SPDR SER TR78464A86242,231$7.1M1.53%
30INTUITIVE SURGICAL INCISRG25,377$6.7M1.46%
31HONEYWELL INTL INC43851610628,064$6.0M1.30%
32SPDR SER TR78464A59954,851$6.0M1.29%
33CATALENT INC148806102124,095$5.6M1.21%
34ALPHABET INCGOOG59,038$5.2M1.13%
35AMGEN INCAMGN17,177$4.5M0.98%
36FIRST TR EXCHANGE-TRADED FD33733E20328,758$4.4M0.96%
37WALMART INCWMT30,342$4.3M0.93%
38PAYPAL HLDGS INCPYPL51,918$3.7M0.80%
39ISHARES TR46428879437,980$3.7M0.79%
40LOCKHEED MARTIN CORPLMT7,153$3.5M0.75%
41ISHARES TR46428780436,290$3.4M0.74%
42GLOBAL X FDS37954Y434250,194$3.2M0.68%
43RAYTHEON TECHNOLOGIES CORPRTX29,689$3.0M0.65%
44INVESCO QQQ TRIVZ10,447$2.8M0.60%
45CATERPILLAR INCCAT11,062$2.7M0.57%
46ISHARES TR46428719212,361$2.6M0.57%
47AMAZON COM INCAMZN26,224$2.2M0.48%
48ETF MANAGERS TR26924G20149,607$2.2M0.47%
49MICROCHIP TECHNOLOGY INC.MCHPP29,601$2.1M0.45%
50INVESCO EXCH TRADED FD TR IIIVZ14,586$1.9M0.42%
51VERTEX PHARMACEUTICALS INCVRTX6,464$1.9M0.40%
52L3HARRIS TECHNOLOGIES INCLHX8,439$1.8M0.38%
53SELECT SECTOR SPDR TR81369Y20911,696$1.6M0.34%
54CRISPR THERAPEUTICS AGCRSP35,849$1.5M0.32%
55VANECK ETF TRUST92189F6766,202$1.3M0.27%
56INVESCO EXCH TRADED FD TR IIIVZ10,353$1.2M0.27%
57INTELLIA THERAPEUTICS INCNTLA35,081$1.2M0.26%
58SELECT SECTOR SPDR TR81369Y60534,881$1.2M0.26%
59INVESCO EXCHANGE TRADED FD TIVZ4,803$1.2M0.25%
60SELECT SECTOR SPDR TR81369Y8038,902$1.1M0.24%
61CVS HEALTH CORPCVS11,660$1.1M0.24%
62GLOBAL X FDS37954Y81449,388$950,7190.21%
63FEDEX CORPFDX5,465$946,5380.20%
64ARK ETF TR00214Q30232,653$921,7940.20%
65SPDR S&P 500 ETF TRSPY2,309$883,0310.19%
66AVID BIOSERVICES INC05368M10663,472$874,0090.19%
67ISHARES TR4642872002,266$870,5730.19%
68VANGUARD INDEX FDS9229083632,343$823,1900.18%
69SELECT SECTOR SPDR TR81369Y7048,115$796,9650.17%
70BLOCK INCBSQKZ12,566$789,6470.17%
713M COMMM5,991$718,4410.16%
72VANGUARD WORLD FDS92204A7022,217$708,1320.15%
73SPDR SER TR78468R20022,789$692,5580.15%
74ISHARES TR46429B65513,720$690,5280.15%
75ARK ETF TR00214Q70845,470$648,8570.14%
76ISHARES TR4642887605,674$634,6940.14%
77SPDR S&P MIDCAP 400 ETF TRMDY1,417$627,4330.14%
78VANGUARD INDEX FDS9229087513,371$618,7130.13%
79ISHARES TR4642876553,185$555,3370.12%
80UNITED PARCEL SERVICE INCUPS3,007$522,7370.11%
81INTERNATIONAL BUSINESS MACHSINTR3,386$477,0540.10%
82SCHLUMBERGER LTDSLB8,838$472,4790.10%
83VISA INCV2,201$457,2800.10%
84SPDR SER TR78464A8135,110$420,0930.09%
85CISCO SYS INCCSCO8,572$408,3700.09%
86VANGUARD INDEX FDS9229086291,980$403,5440.09%
87BERKSHIRE HATHAWAY INC DELBRK-A1,129$348,7480.08%
88ISHARES TR4642871011,982$338,0700.07%
89INVESCO EXCHANGE TRADED FD TIVZ3,340$334,2670.07%
90ISHARES INC46434G1036,696$312,7160.07%
91DIREXION SHS ETF TR25490K32342,120$297,7880.06%
92ISHARES TR4642872347,742$293,4220.06%
93DISNEY WALT CO2546871063,272$284,2710.06%
94NORTHROP GRUMMAN CORPNOC500$272,8050.06%
95VERIZON COMMUNICATIONS INCVZ6,882$271,1510.06%
96SELECT SECTOR SPDR TR81369Y3083,524$262,7140.06%
97VANGUARD WORLD FDS92204A5041,047$259,7080.06%
98NASDAQ INCNDAQ4,200$257,6700.06%
99EMERSON ELEC COEMR2,665$256,0000.06%
100FIRST TR NAS100 EQ WEIGHTED3373441052,875$255,2430.06%
101MCCORMICK & CO INCMKC-V2,920$242,0390.05%
102LOWES COS INC5486611071,202$239,4860.05%
103SPDR SER TR78464A7975,195$234,5540.05%
104ABBVIE INCABBV1,430$231,1020.05%
105MODERNA INCMRNA1,235$221,8310.05%
106CHEVRON CORP NEWCVX1,156$207,4900.04%
107VANGUARD WORLD FDS92204A4052,501$206,9080.04%
108AT&T INCT-PC10,769$198,2570.04%
109PACIFIC BIOSCIENCES CALIF IN69404D10818,151$148,4750.03%
110EDITAS MEDICINE INCEDIT16,711$148,2270.03%
111DIREXION SHS ETF TR25459W45813,000$125,7100.03%
112KINROSS GOLD CORPKGCRF22,862$93,5060.02%
113SOFI TECHNOLOGIES INCSOFI18,650$85,9770.02%
114PALANTIR TECHNOLOGIES INCPLTR11,715$75,2100.02%
115MATTERPORT INC57709610022,000$61,6000.01%