13F Filings for CMC Financial Group (CIK: 1770940)

View the most recent portfolio holdings disclosed by CMC Financial Group in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
N/A - PACER FDS TR(Class: US CASH COWS 100)236.66K $13.04M 29.78%Decreased 907 (0.0%, $30.77K)
COWG - PACER FDS TR(Class: US LRG CP CASH)337.99K $11.87M 27.10%Decreased 3.47K (1.0%, $1.35M)
GDX - VANECK ETF TRUST(Class: GOLD MINERS ETF)72.60K $3.78M 8.63%Decreased 193 (0.0%, $433.28K)
SILJ - AMPLIFY ETF TR(Class: AMPLIFY JUNIOR S)225.12K $3.33M 7.61%Decreased 721 (0.0%, $594.58K)
MSFT - MICROSOFT CORP(Class: COM)2.41K $1.20M 2.74%Decreased 17 (0.0%, $287.63K)
BRK.B - BERKSHIRE HATHAWAY INC DEL(Class: CL B NEW)2.45K $1.19M 2.72%Unchanged
N/A - PACER FDS TR(Class: US SMALL CAP CAS)28.74K $1.14M 2.61%Unchanged
BIL - SPDR SERIES TRUST(Class: BLOOMBERG 1-3 MO)9.85K $903.36K 2.06%Unchanged
IWY - ISHARES TR(Class: RUS TP200 GR ETF)3.65K $899.27K 2.05%Unchanged
AAPL - APPLE INC(Class: COM)3.78K $775.37K 1.77%Increased 4 (0.0%, $63.06K)
URNM - SPROTT FDS TR(Class: URANIUM MINERS E)12.65K $606.28K 1.38%Decreased 2.99K (19.0%, $98.84K)
URA - GLOBAL X FDS(Class: GLOBAL X URANIUM)14.85K $576.29K 1.32%Unchanged
TCAF - T ROWE PRICE ETF INC(Class: CAP APPRECIATION)13.89K $490.11K 1.12%Decreased 480 (3.0%, $26.18K)
PLTR - PALANTIR TECHNOLOGIES INC(Class: CL A)2.51K $342.71K 0.78%Decreased 1.21K (32.0%, $28.57K)
CAH - CARDINAL HEALTH INC(Class: COM)1.85K $311.47K 0.71%New 1.85K ($311.47K)
HWM - HOWMET AEROSPACE INC(Class: COM)1.67K $310.65K 0.71%New 1.67K ($310.65K)
TPL - TEXAS PACIFIC LAND CORPORATI(Class: COM)291 $307.41K 0.70%Unchanged
EQT - EQT CORP(Class: COM)5.10K $297.33K 0.68%Decreased 1.16K (18.0%, $37K)
FOXA - FOX CORP(Class: CL A COM)5.21K $291.97K 0.67%New 5.21K ($291.97K)
PM - PHILIP MORRIS INTL INC(Class: COM)1.60K $290.68K 0.66%New 1.60K ($290.68K)
MOS - MOSAIC CO NEW(Class: COM)7.81K $285.01K 0.65%New 7.81K ($285.01K)
ETR - ENTERGY CORP NEW(Class: COM)3.42K $284.19K 0.65%New 3.42K ($284.19K)
HIG - HARTFORD INSURANCE GROUP INC(Class: COM)2.23K $283.05K 0.65%New 2.23K ($283.05K)
VTR - VENTAS INC(Class: COM)4.48K $282.98K 0.65%New 4.48K ($282.98K)
BKNG - BOOKING HOLDINGS INC(Class: COM)41 $237.36K 0.54%New 41 ($237.36K)