Skyview Financial Group LLC — 13F Holdings & Portfolio

CIK 2111890 · latest 13F-HR filed 2026-02-18

Skyview Financial Group LLC manages $96.9M in 13F-reported U.S. long-equity assets across 57 reported positions as of its 2025-12-31 13F-HR filing. Its largest disclosed positions are GLD (7.16%), CAH (4.44%), BA (4.19%).

AUM is the long-equity portion reported on Form 13F-HR. Excludes short positions, cash, foreign holdings, and non-13F assets. For informational purposes only — not investment advice.

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AUM

$96.9M

Long-equity book

Holdings

57

Distinct positions

Period

2025-12-31

Filed 2026-02-18

Q/Q Activity

no prior filing cached

Firm Profile & Key People
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All Holdings

Rows tagged Call or Put are options positions, not stock. Per SEC Form 13F-HR, Value shows the notional value of the underlying (shares covered × underlying price), not the option premium. Shares is the number of underlying shares covered (divide by 100 for contract count).

# Issuer Symbol CUSIP Value Weight Shares Type
1 SPDR GOLD TR GLD 78463V107 $6.9M 7.16% 17,501 SH
2 CARDINAL HEALTH INC CAH 14149Y108 $4.3M 4.44% 20,925 SH
3 BOEING CO BA 097023105 $4.1M 4.19% 18,691 SH
4 CITIGROUP INC C 172967424 $4.0M 4.17% 34,615 SH
5 META PLATFORMS INC META 30303M102 $3.9M 4.01% 5,883 SH
6 FIRST TR EXCH TRADED FD III FPE 33739E108 $3.9M 3.99% 212,196 SH
7 AMERICAN CENTY ETF TR AVLC 025072158 $3.9M 3.98% 49,061 SH
8 VANGUARD INTL EQUITY INDEX F VGK 922042874 $3.5M 3.63% 42,103 SH
9 KLA CORP KLAC 482480100 $3.5M 3.57% 2,844 SH
10 THERMO FISHER SCIENTIFIC INC TMO 883556102 $3.3M 3.38% 5,657 SH
11 KRANESHARES TRUST KWEB 500767306 $3.2M 3.33% 94,810 SH
12 ALPHABET INC GOOGL 02079K305 $3.1M 3.19% 9,892 SH
13 AAR CORP AIR 000361105 $2.8M 2.94% 34,362 SH
14 UIPATH INC PATH 90364P105 $2.8M 2.88% 170,480 SH
15 HCA HEALTHCARE INC HCA 40412C101 $2.7M 2.81% 5,836 SH
16 AMERICAN CENTY ETF TR AVUV 025072877 $2.6M 2.70% 25,663 SH
17 RTX CORPORATION RTX 75513E101 $2.4M 2.53% 13,345 SH
18 VISA INC V 92826C839 $2.3M 2.32% 6,416 SH
19 MASTERCARD INCORPORATED MA 57636Q104 $2.2M 2.30% 3,899 SH
20 FIRST TR EXCHNG TRADED FD VI BUFR 33740F755 $2.2M 2.28% 64,434 SH
21 ORACLE CORP ORCL 68389X105 $2.2M 2.26% 11,245 SH
22 FIRST TR EXCHANGE-TRADED FD FTCS 33733E104 $2.1M 2.14% 22,427 SH
23 AMAZON COM INC AMZN 023135106 $1.8M 1.86% 7,828 SH
24 T ROWE PRICE ETF INC TCAF 87283Q867 $1.7M 1.73% 43,976 SH
25 FIRST TR EXCHNG TRADED FD VI FFEB 33740F763 $1.3M 1.36% 23,240 SH
26 INVESCO EXCHANGE TRADED FD T RSP 46137V357 $1.3M 1.32% 6,671 SH
27 NVIDIA CORPORATION NVDA 67066G104 $1.2M 1.23% 6,411 SH
28 FIRST TR EXCHANGE TRADED FD RDVY 33738R506 $1.2M 1.23% 17,134 SH
29 FIRST TR EXCHANGE TRADED FD GRID 33737A108 $1.2M 1.23% 7,778 SH
30 T ROWE PRICE ETF INC TSPA 87283Q503 $1.1M 1.10% 24,883 SH
31 BUTTERFLY NETWORK INC BFLY 124155102 $1.1M 1.09% 277,309 SH
32 FIDELITY COVINGTON TRUST FESM 31609A206 $1.1M 1.08% 27,809 SH
33 ALPHABET INC GOOG 02079K107 $1.0M 1.06% 3,258 SH
34 ADVANCED MICRO DEVICES INC AMD 007903107 $991.3K 1.02% 4,629 SH
35 BOSTON SCIENTIFIC CORP BSX 101137107 $946.6K 0.98% 9,927 SH
36 QUANTA SVCS INC PWR 74762E102 $829.8K 0.86% 1,966 SH
37 FIRST TR EXCHNG TRADED FD VI UCON 33740F888 $701.8K 0.72% 27,883 SH
38 AMERICAN SUPERCONDUCTOR CORP AMSC 030111207 $663.0K 0.68% 23,038 SH
39 INVESCO QQQ TR QQQ 46090E103 $644.8K 0.67% 1,050 SH
40 ISHARES SILVER TR SLV 46428Q109 $635.6K 0.66% 9,867 SH
41 COLGATE PALMOLIVE CO CL 194162103 $536.1K 0.55% 6,784 SH
42 FIRST TR EXCHANGE-TRADED FD FVD 33734H106 $533.3K 0.55% 11,574 SH
43 GFL ENVIRONMENTAL INC GFL 36168Q104 $489.7K 0.51% 11,402 SH
44 APPLE INC AAPL 037833100 $477.4K 0.49% 1,756 SH
45 ISHARES TR DGRO 46434V621 $424.3K 0.44% 6,112 SH
46 FIRST TR EXCHNG TRADED FD VI FDEC 33740U505 $385.3K 0.40% 7,528 SH
47 BROADCOM INC AVGO 11135F101 $352.7K 0.36% 1,019 SH
48 JPMORGAN CHASE & CO. JPM 46625H100 $352.6K 0.36% 1,094 SH
49 SPDR SERIES TRUST BIL 78468R663 $351.7K 0.36% 3,849 SH
50 VANGUARD WHITEHALL FDS VYM 921946406 $323.9K 0.33% 2,257 SH