N10 WEALTH, LLC — 13F Holdings & Portfolio

CIK 2146357 · latest 13F-HR filed 2026-08-14

N10 WEALTH, LLC manages $281.9M in 13F-reported U.S. long-equity assets across 75 reported positions as of its 2026-06-30 13F-HR filing. Its largest disclosed positions are CARY (7.31%), VRT (7.06%), TSM (6.79%).

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.

Filer Information
Address
5 GREENWICH OFFICE PARK
SUITE 100
GREENWICH, CT 06831
Phone
(203) 930-2881
Filing Manager
N10 WEALTH, LLC
GREENWICH, CT
Signatory
Lauren Urbanski
Chief Compliance & Administrative Officer
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AUM

$281.9M

Long-equity book

Holdings

75

Distinct positions

Period

2026-06-30

Filed 2026-08-14

Q/Q Activity

no prior filing cached

Firm Profile & Key People
Name Title / Status Ownership Type

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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 ANGEL OAK FUNDS TRUST CARY 03463K760 $20.6M 7.31% 992,058 SH
2 VERTIV HOLDINGS CO VRT 92537N108 $19.9M 7.06% 59,404 SH
3 TAIWAN SEMICONDUCTOR MFG LTD TSM 874039100 $19.1M 6.79% 40,081 SH
4 NVIDIA CORPORATION NVDA 67066G104 $18.8M 6.68% 94,114 SH
5 ALPHABET INC GOOG 02079K107 $15.9M 5.63% 44,941 SH
6 AMAZON COM INC AMZN 023135106 $15.7M 5.56% 65,718 SH
7 LAM RESEARCH CORP LRCX 512807306 $14.5M 5.15% 33,476 SH
8 ALPHABET INC GOOGL 02079K305 $11.9M 4.21% 33,184 SH
9 SANDISK CORP SNDK 80004C200 $11.8M 4.19% 5,199 SH
10 MARVELL TECHNOLOGY INC MRVL 573874104 $11.5M 4.07% 38,542 SH
11 GE VERNOVA INC GEV 36828A101 $9.4M 3.34% 8,002 SH
12 META PLATFORMS INC META 30303M102 $8.6M 3.05% 15,251 SH
13 BROADCOM INC AVGO 11135F101 $7.9M 2.80% 20,882 SH
14 AXON ENTERPRISE INC AXON 05464C101 $7.7M 2.75% 13,808 SH
15 QUANTA SVCS INC PWR 74762E102 $7.2M 2.56% 10,011 SH
16 PALANTIR TECHNOLOGIES INC PLTR 69608A108 $7.0M 2.49% 60,123 SH
17 MICROSOFT CORP MSFT 594918104 $6.6M 2.34% 17,714 SH
18 VISTRA CORP VST 92840M102 $6.6M 2.33% 41,492 SH
19 LUMENTUM HLDGS INC LITE 55024U109 $5.8M 2.07% 6,814 SH
20 ORACLE CORP ORCL 68389X105 $5.8M 2.04% 39,312 SH
21 MCKESSON CORP MCK 58155Q103 $5.7M 2.01% 7,516 SH
22 AMERICAN EXPRESS CO AXP 025816109 $5.2M 1.84% 15,305 SH
23 ELI LILLY & CO LLY 532457108 $4.9M 1.73% 4,070 SH
24 AMPHENOL CORP NEW APH 032095101 $4.9M 1.73% 27,595 SH
25 UBER TECHNOLOGIES INC UBER 90353T100 $4.8M 1.70% 66,597 SH
26 TESLA INC TSLA 88160R101 $4.1M 1.47% 9,829 SH
27 MICRON TECHNOLOGY INC MU 595112103 $2.7M 0.95% 2,324 SH
28 ISHARES TR NYF 464288323 $2.3M 0.81% 42,540 SH
29 ROYALTY PHARMA PLC RPRX G7709Q104 $1.7M 0.59% 29,605 SH
30 ISHARES TR SHY 464287457 $1.5M 0.52% 17,834 SH
31 AMAZON COM INC AMZN 023135106 $1.0M 0.36% 4,296 SH
32 VANGUARD ADMIRAL FDS INC VOOG 921932505 $970.1K 0.34% 11,742 SH
33 ALPHABET INC GOOG 02079K107 $862.1K 0.31% 2,440 SH
34 VANGUARD SCOTTSDALE FDS VONG 92206C680 $597.5K 0.21% 4,675 SH
35 NVIDIA CORPORATION NVDA 67066G104 $550.6K 0.20% 2,752 SH
36 ALPHABET INC GOOGL 02079K305 $543.9K 0.19% 1,522 SH
37 APPLE INC AAPL 037833100 $522.3K 0.19% 1,805 SH
38 BERKSHIRE HATHAWAY INC DEL BRK.B 084670702 $400.3K 0.14% 800 SH
39 INVESCO QQQ TR QQQ 46090E103 $373.4K 0.13% 507 SH
40 CATERPILLAR INC CAT 149123101 $372.7K 0.13% 350 SH
41 AUTOZONE INC AZO 053332102 $329.2K 0.12% 103 SH
42 META PLATFORMS INC META 30303M102 $317.7K 0.11% 564 SH
43 ANGEL OAK FUNDS TRUST CARY 03463K760 $293.5K 0.10% 14,123 SH
44 APPLE INC AAPL 037833100 $280.4K 0.10% 969 SH
45 NAVAN INC NAVN 639193101 $273.3K 0.10% 11,949 SH
46 VERTIV HOLDINGS CO VRT 92537N108 $264.5K 0.09% 790 SH
47 MICROSOFT CORP MSFT 594918104 $264.1K 0.09% 708 SH
48 AMGEN INC AMGN 031162100 $262.2K 0.09% 724 SH
49 TAIWAN SEMICONDUCTOR MFG LTD TSM 874039100 $248.3K 0.09% 520 SH
50 TESLA INC TSLA 88160R101 $247.7K 0.09% 589 SH