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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 (Amended)

Brown Miller Wealth Management, LLC

Quarter ended Q4 2024 · Filed February 11, 2025 · Accession 0001840084-25-000006

Total Value
$179.1M
Positions
118
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (118)

#IssuerTicker / CUSIPSharesValue% of Filing
1APPLE INCAAPL114,458$19.6M10.94%
2NVIDIA CORPNVDA29,534$12.8M7.17%
3MICROSOFT CORPMSFT36,690$11.6M6.47%
4JPMORGAN CHASE & COVYLD44,074$6.4M3.57%
5ABBOTT LABORATORIESABLZF44,167$4.3M2.39%
6ALPHABET INC VOTING CAP STK CL AGOOG28,945$3.8M2.12%
7AMERICAN TOWER CORP REIT03027X10022,692$3.7M2.08%
8STARBUCKS CORPSBUX39,507$3.6M2.01%
9LOWES COMPANIES INC54866110716,706$3.5M1.94%
10CISCO SYSTEMS INCCSCO62,844$3.4M1.89%
11CAPITAL GRP INTL ETF FOCUS EQUITY SHS CREATION UNIT14019W109132,027$2.9M1.60%
12UNITEDHEALTH GROUP INCUNH5,655$2.9M1.59%
13JOHNSON & JOHNSONJNJ18,097$2.8M1.57%
14PROCTER & GAMBLE CO74271810919,270$2.8M1.57%
15VANGUARD TOTAL STOCK ETF MARKET ETF92290876912,505$2.7M1.48%
16DISNEY WALT COMPANY25468710631,875$2.6M1.44%
17CHUBB LTDCB11,960$2.5M1.39%
18ISHARES CORE S&P 500 ETF S&P 500 INDEX FD4642872005,661$2.4M1.36%
19ABBVIE INCABBV16,242$2.4M1.35%
20LINDE PLC NEWLIN6,425$2.4M1.34%
21BLACKROCK INCBLK3,693$2.4M1.33%
22AMAZON COM INCAMZN18,332$2.3M1.30%
23MERCK & CO INC NEWMRK22,185$2.3M1.28%
24ACCENTURE PLC IRELAND SHARES CLASS AACN7,290$2.2M1.25%
25QUALCOMM INCQCOM19,996$2.2M1.24%
26VANGUARD MID CAP ETF92290862910,038$2.1M1.17%
27TEXAS INSTRUMENTS INC88250810412,700$2.0M1.13%
28CHEVRON CORPORATIONCVX11,923$2.0M1.12%
29NEXTERA ENERGY INCNEE-PW35,010$2.0M1.12%
30STRYKER CORPSYK6,884$1.9M1.05%
31VANGUARD INTL EQUITY ETF INDEX FDS FTSE EMERGING MKTS ETF92204285846,730$1.8M1.02%
32BERKSHIRE HATHAWAY INC SERIES B NEWBRK-A5,227$1.8M1.02%
33ANALOG DEVICES INCADI10,367$1.8M1.01%
34INTERNATIONAL BUSINESS MACHINE CORPINTR12,644$1.8M0.99%
35AMGEN INCAMGN6,532$1.8M0.98%
36COMCAST CORP NEW CL ACCZ39,350$1.7M0.97%
37RTX CORPRTX23,989$1.7M0.96%
38INTERCONTINENTAL EXCH EXCHANGE45866F10415,092$1.7M0.93%
39TRACTOR SUPPLY COMPANYTSCO8,084$1.6M0.92%
40PHILIP MORRIS INTERNATIONAL INC71817210917,351$1.6M0.90%
41PROLOGIS INCPLDGP12,841$1.4M0.80%
42ISHARES CORE S&P MID ETF ETF4642875075,574$1.4M0.78%
43UNITED PARCEL SERVICE-BUPS8,408$1.3M0.73%
44GENL DYNAMICS CORPGD5,547$1.2M0.68%
45VERIZON COMMUNICATIONS COMVZ36,070$1.2M0.65%
46MASTERCARD INC CL AMA2,858$1.1M0.63%
47ISHARES ETF RUSSELL 20004642876556,201$1.1M0.61%
48JPMORGAN ETF ULTRA-SHORT INCOME46641Q83721,613$1.1M0.61%
49ARES CAPITAL CORPARCC55,249$1.1M0.60%
50PEPSICO INCORPORATEDPEP6,263$1.1M0.59%
51XYLEM INCXYL11,364$1.0M0.58%
52WORLD GOLD TR SPDR ETF GOLD MINISHARES TR NEWGLDW24,653$903,7790.50%
53INDUSTRIAL SELECT ETF SECTOR SPDR81369Y7048,787$890,8900.50%
54DANAHER CORP2358511023,386$840,2420.47%
55BLACKSTONE GROUP INC COMBX7,685$823,4610.46%
56ARCH CAP GROUP LTDG0450A1059,823$782,9910.44%
57MCDONALDS CORPMCD2,896$763,0640.43%
58VANGUARD HEALTH CARE ETF92204A5042,961$696,1310.39%
59VANGUARD VALUE ETF9229087445,020$692,4090.39%
60VANGUARD DIVIDEND ETF APPRECIATION9219088444,137$642,9130.36%
61VANGUARD GROWTH ETF9229087362,254$613,7870.34%
62ENERGY SELECT ETF SECTOR SPDR81369Y5066,511$588,6170.33%
63SECTOR SPDR TR ETF TECHNOLOGY SELECT SECTOR81369Y8033,557$583,0990.33%
64ENTERPRISE PRODUCTS PARTNERS29379210720,754$568,0560.32%
65COSTCO WHSL CORP NEW COM22160K105981$554,6200.31%
66SPDR PORTFOLIO ETF S&P 500 VALUE ETF78464A50813,390$552,5040.31%
67DEERE & CODE1,412$533,1240.30%
68INTEL CORPINTC14,106$501,4680.28%
69ARK ETF TR ETF GENOMIC REVOLUTION MULTI SECTOR ETF00214Q30217,767$495,0030.28%
70ALTRIA GROUP INCMO11,764$494,7120.28%
71SNOWFLAKE INC CL ASNOW3,143$480,1560.27%
72CAPITAL GRP GLOBAL ETF GROWTH EQUITY SHS CREATION UNIT14020X10420,605$472,2670.26%
73FASTENAL COFAST8,376$457,6650.26%
74SPDR METALS & MINING ETF78464A7558,511$446,8650.25%
75WHITE MOUNTAIN INS GRPG9618E107298$446,3660.25%
76SELECT SECTOR SPDR F ETF CONSUMER DISCRETIONARY81369Y4072,769$445,7540.25%
77RESMED INCRSMDF2,970$439,1740.25%
78ISHARES S&P 500 ETF GROWTH4642873096,276$429,4040.24%
79REALTY INCOME CORP REITO8,550$426,9890.24%
80ISHARES S&P MIDCAP ETF 400 GROWTH4642876065,778$417,4030.23%
81BROADCOM INCAVGO502$416,9510.23%
82CAPITAL GRP GROWTH ETF SHS CREATION UNIT14020G10116,866$413,2290.23%
83ALPHABET INC NON VOTING CAP STK CL CGOOG3,061$403,5930.23%
84ISHARES EDGE MSCI ETF USA QUALITY FACTOR ETF46432F3393,060$403,2770.23%
85ISHARES S&P500 VALUE ETF4642874082,620$403,0610.23%
86ISHARES MSCI ETF EUROZONE4642866088,882$375,1760.21%
87VISA INC CLASS AV1,628$374,4910.21%
88CVS HEALTH CORPORATIONCVS5,195$362,7630.20%
89FIRST TRUST MID CAP ETF CORE ALPHADEX FUND33735B1083,832$352,9270.20%
90CHOICE HOTELS INTL INC1699051062,868$351,3590.20%
91WALMART INCWMT2,147$343,4200.19%
92NEXTERA ENERGY PARTNERS LPNEE-PW11,473$340,7620.19%
93ISHARES EUROPE ETF4642878617,032$335,6370.19%
94COSTAR GROUP INCCSGP4,329$332,8570.19%
95EXXON MOBIL CORPXOM2,817$331,2820.18%
96ISHARES ETF U.S. AEROSPACE & DEFENSE4642887603,050$323,2140.18%
97SYSCO CORPORATIONSYY4,832$319,1540.18%
98DOW INCDOW6,181$318,7240.18%
99UNITED BANKSHARES INC W VAUNTCW11,504$317,4140.18%
100AUTOMATIC DATA PROCESSINGADP1,303$313,5290.18%
101WELLS FARGO & CO NEW9497461017,333$299,6390.17%
102HOME DEPOT INCHD940$284,0820.16%
103MATCH GROUP INC NEWMTCH7,150$280,1010.16%
104AIR PRODUCTS & CHEMICALS INCAIIR953$270,0800.15%
105DOMINION ENERGY INCD5,911$264,0560.15%
106DOCUSIGN INCDOCU6,283$263,8860.15%
107GILEAD SCIENCES INCGILD3,462$259,5110.14%
108C H ROBINSON WORLDWIDE INCCHRW3,000$258,3900.14%
109WILLIAMS COMPANIES INC9694571007,394$249,1170.14%
110BOEING COBA-PA1,272$243,9700.14%
111STATE STR CORPSTT-PG3,635$243,4000.14%
112COPART INCCPRT5,272$227,1700.13%
113VANGUARD SMALL CAP ETF9229087511,154$218,1870.12%
114NIKE INC CLASS BNKE2,244$214,6410.12%
115UNION PACIFIC CORPUNP1,014$206,5610.12%
116KINDER MORGAN INC DELEP-PC10,250$169,9470.09%
117SIRIUS XM HOLDINGS INCSIRI17,283$78,1210.04%
118FISKER INC CLASS A33813J10610,100$64,8420.04%