McGuire Investment Group, LLC

McGuire Investment Group, LLC latest Q1_2021 13F filings reported $473,945,000 in market value on this 2021-04-20 report date . The portfolio quarterly return is 17.44%. This fund has 109 securities concentrations of 100% weights.

McGuire Investment Group, LLC largest holding is Lam Research Corp. with weight of 4.99% and $23,653,000 in market value. The portfolio return is computed based on the amount invested in the new quarter. The following shows the portfolio details.

Portfolio Performance History

FILE DATEREPORT PERIODQTR YEARFILE TYPENOS. OF STOCKSREPORTED VALUERETURN
2021-04-202021-03-31Q1_202113F-HR109$473,945,00017.44%
2021-01-132020-12-31Q4_202013F-HR96$403,575,00020.16%

Portfolio Details

Stock NameTickersValueCurrent Value (x1000)Change Value %WeightComputed PriceShares Change %Current Shares
LAM RESEARCH CORPLRCXINCR$23,6530.31%4.99%$595.240.04%39,737
QUALCOMM INCORPORATEDQCOMDECR$23,247-0.10%4.90%$132.590.03%175,330
XILINX INCXLNXDECR$22,377-0.11%4.72%$123.900.02%180,604
APPLIED MATLS INCAMATINCR$21,3450.63%4.50%$133.600.06%159,767
SPDR SER TRXBIINCR$17,8080.00%3.76%$135.650.04%131,279
IQVIA HLDGS INCIQVINCR$17,4840.15%3.69%$193.140.06%90,526
APPLE INCAAPLDECR$16,594-0.19%3.50%$122.15-0.12%135,849
THERMO FISHER SCIENTIFIC INCTMOINCR$14,8250.06%3.13%$456.380.08%32,484
STRYKER CORPORATIONSYKINCR$14,4350.06%3.05%$243.590.07%59,260
ANALOG DEVICES INCADIINCR$14,3140.10%3.02%$155.080.05%92,302
CATALENT INCCTLTINCR$12,5010.21%2.64%$105.310.19%118,709
MICROSOFT CORPMSFTINCR$11,9610.13%2.52%$235.770.07%50,732
CBOE GLOBAL MKTS INCCBOEINCR$11,8360.23%2.50%$98.690.16%119,929
JOHNSON & JOHNSONJNJINCR$11,7550.11%2.48%$164.350.07%71,525
HOLOGIC INCHOLXINCR$11,1560.56%2.35%$74.380.52%149,993
CME GROUP INCCMEINCR$10,2630.16%2.17%$204.230.04%50,252
MEDPACE HLDGS INCMEDPINCR$9,8730.40%2.08%$164.060.19%60,180
ISHARES TRIBBINCR$9,7000.77%2.05%$150.570.79%64,424
ILLINOIS TOOL WORKS INC USD 0.01ITWINCR$9,1960.15%1.94%$221.520.06%41,513
SCHWAB CHARLES CORP NEWSCHWINCR$9,2160.21%1.94%$65.18-0.02%141,399
BLACKROCK INC USD 0.01BLKINCR$8,7290.07%1.84%$753.990.02%11,577
DANAHER CORPORATIONDHRINCR$8,3400.04%1.76%$225.090.02%37,052
SPDR SERIES TRUSTXSWINCR$8,2310.06%1.74%$157.490.04%52,263
SPDR SER TRXSDINCR$7,7830.11%1.64%$182.770.03%42,583
WESTERN DIGITAL CORP.WDCINCR$7,4580.27%1.57%$66.750.05%111,727
AMGENAMGNINCR$7,1360.18%1.51%$248.810.09%28,680
COSTCO WHSL CORP NEWCOSTDECR$6,834-0.03%1.44%$352.490.03%19,388
MORGAN STANLEYMSINCR$6,8100.16%1.44%$77.660.02%87,688
ISHARES TRIAIINCR$6,4250.19%1.36%$92.160.03%69,717
INTEL CORPINTCINCR$6,2100.29%1.31%$64.000.00%97,034
ASML HOLDING N VASMLINCR$6,0930.47%1.29%$617.330.17%9,870
NVIDIA CORPORATIONNVDAINCR$6,0733.32%1.28%$533.943.22%11,374
GLOBAL X FDSGNOMBUY$6,0050.00%1.27%$22.480.00%267,133
HONEYWELL INTL INCHONINCR$5,9310.13%1.25%$217.070.11%27,323
BRISTOL MYERS SQUIBB COBMYINCR$5,59511.83%1.18%$63.1311.62%88,632
INTUITIVE SURGICAL INCISRGINCR$5,5050.26%1.16%$738.930.40%7,450
ARK ETF TRARKGINCR$5,4273.11%1.15%$88.733.31%61,160
ALPHABET INC USD 0.001 CLS AGOOGLINCR$5,4180.27%1.14%$2062.430.08%2,627
WALMART INCWMTDECR$4,438-0.05%0.94%$135.820.01%32,675
ISHARES TRIJRINCR$3,7800.19%0.80%$108.520.01%34,833
ISHARES TRIYTDECR$3,747-0.23%0.79%$257.67-0.34%14,542
SANGAMO THERAPEUTICS INCSGMOINCR$3,4186.15%0.72%$12.537.90%272,801
ETF MANAGERS TRHACKDECR$2,966-0.05%0.63%$54.900.00%54,025
FEDEX CORPFDXDECR$2,837-0.52%0.60%$283.98-0.56%9,990
ALTIMMUNE INCALTINCR$2,7358.03%0.58%$14.136.19%193,551
VERTEX PHARMACEUTICALS INCVRTXDECR$1,555-0.09%0.33%$214.960.00%7,234
AVID BIOSERVICES INCCDMOINCR$1,4781.16%0.31%$18.230.37%81,082
3M COMMMDECR$1,377-0.11%0.29%$192.67-0.19%7,147
INVESCO EXCHANGE TRADED FD TRYTINCR$1,3830.06%0.29%$269.800.00%5,126
CVS HEALTH CORPORATIONCVSDECR$1,204-0.11%0.25%$75.26-0.20%15,998
EDITAS MEDICINE INCEDITINCR$1,1860.48%0.25%$42.001.48%28,238
AMAZON COM INCAMZNINCR$1,1511.09%0.24%$3094.091.20%372
SELECT SECTOR SPDR TRXLKDECR$1,130-0.14%0.24%$132.82-0.16%8,508
SQUARE INCSQINCR$9830.11%0.21%$227.020.06%4,330
BIOGEN INCBIIBINCR$9310.14%0.20%$279.660.00%3,329
SELECT SECTOR SPDR TRXLFINCR$9350.09%0.20%$34.04-0.06%27,467
S & P DEPOSITORY RECEIPTSSPYDECR$967-0.03%0.20%$396.47-0.09%2,439
SELECT SECTOR SPDR TRXLVDECR$898-0.13%0.19%$116.68-0.16%7,696
VANECK VECTORS ETF TRSMHINCR$9120.09%0.19%$243.46-0.02%3,746
VANGUARD INDEX FDSVOODECR$890-0.02%0.19%$364.31-0.08%2,443
ISHARES CORE S&P 500 INDEX ETFIVVINCR$8590.04%0.18%$397.69-0.02%2,160
ADVANCED MICRO DEVICESAMDDECR$696-0.14%0.15%$78.510.00%8,865
ISHARES TRIWMINCR$7040.04%0.15%$221.04-0.08%3,185
SPDR S&P MIDCAP 400 ETF TR ZMDYDECR$695-0.04%0.15%$476.03-0.15%1,460
DISNEY WALT CODISINCR$6560.01%0.14%$184.430.00%3,557
PAYPAL HLDGS INCPYPLINCR$6670.27%0.14%$242.810.22%2,747
UNITED PARCEL SERVICEUPSINCR$6580.02%0.14%$169.940.02%3,872
VANGUARD INDEX FDSVBINCR$6270.09%0.13%$214.07-0.01%2,929
ISHARES TRITOTINCR$5840.07%0.12%$91.560.01%6,378
VANGUARD INDEX FDSVOINCR$5840.07%0.12%$221.460.00%2,637
CISCO SYSTEMSCSCOINCR$5280.16%0.11%$51.740.00%10,204
FACEBOOK INCFBINCR$5431.17%0.11%$294.791.02%1,842
SELECT SECTOR SPDR TRXLIINCR$5430.07%0.11%$98.41-0.03%5,518
INTERNATIONAL BUSINESS MACHINE COMPANYIBMBUY$4920.00%0.10%$133.370.00%3,689
ISHARES INCIEMGDECR$466-0.01%0.10%$64.38-0.04%7,238
SPDR S&P 600 SMALL CAP ETFSLYDECR$480-0.15%0.10%$93.93-0.28%5,110
VISA INCVDECR$459-0.03%0.10%$211.520.00%2,170
AMERICAN WELL CORPAMWLBUY$4300.00%0.09%$17.350.00%24,778
ISHARES TREEMDECR$407-0.02%0.09%$53.31-0.05%7,634
ISHARES TRIHIDECR$423-0.02%0.09%$330.73-0.03%1,279
VANGUARD INFORMATION TECHNOLOGY INDEX FUNDVGTINCR$4380.02%0.09%$358.430.01%1,222
INVESCO EXCHANGE TRADED FD TPSIINCR$4020.11%0.08%$120.36-0.03%3,340
ISHARES TROEFDECR$386-0.03%0.08%$179.87-0.07%2,146
LOCKHEED MARTIN CORPLMTBUY$3920.00%0.08%$369.110.00%1,062
AT&T INCTBUY$3220.00%0.07%$30.300.00%10,628
FIRST TR NAS100 EQ WEIGHTEDQQEWINCR$3310.02%0.07%$103.120.00%3,210
ISHARES TRITAINCR$3230.10%0.07%$103.990.00%3,106
MCCORMICK & CO., INC.MKCBUY$3430.00%0.07%$89.250.00%3,843
ADOBE SYSTEMS INCORPORATEDADBEDECR$279-0.05%0.06%$476.110.00%586
BERKSHIRE HATHAWAY INC NEWBRK/BBUY$2810.00%0.06%$255.450.00%1,100
CRISPR THERAPEUTICS AGCRSPINCR$2670.01%0.06%$121.640.27%2,195
EMERSON ELEC COEMRBUY$2710.00%0.06%$90.330.00%3,000
PEPSICO INCPEPDECR$261-0.09%0.06%$141.69-0.04%1,842
SANOFISNYINCR$3020.13%0.06%$49.540.11%6,096
SCHLUMBERGER LTDSLBBUY$2790.00%0.06%$27.160.00%10,273
SPDR SER TRKBEINCR$2710.23%0.06%$51.84-0.01%5,228
TELADOC HEALTH INCTDOCBUY$2930.00%0.06%$181.870.00%1,611
UNITED RENTALS INCURIINCR$3070.49%0.06%$329.400.05%932
ISHARES TRIGVDECR$225-0.04%0.05%$340.91-0.01%660
J P MORGAN CHASE & CO COMJPMBUY$2180.00%0.05%$152.340.00%1,431
LOWES COS INCLOWINCR$2540.19%0.05%$190.260.00%1,335
MODERNA INCMRNABUY$2260.00%0.05%$130.860.00%1,727
Smile Direct ClubSDCINCR$2520.05%0.05%$10.290.22%24,484
ALPHABET INCGOOGBUY$2130.00%0.04%$2067.960.00%103
INSPIRE MED SYS INCINSPBUY$2070.00%0.04%$207.000.00%1,000
KINROSS GOLD CORPKGCBUY$2050.00%0.04%$6.670.00%30,742
NASDAQ INCNDAQBUY$2060.00%0.04%$147.140.00%1,400
PROSHARES ULTRA TECHNOLOGYROMINCR$2100.04%0.04%$75.000.00%2,800
REGULUS THERAPEUTICS INCRGLSINCR$370.16%0.01%$1.540.00%24,000
CLOROX CO DELCLXSOLD$00.00%-100.00%$0.000.00%0
TRANSLATE BIO INC USD0.001000TBIOSOLD$00.00%-100.00%$0.000.00%0
INVESCO LTDIVZSOLD$00.00%-100.00%$0.000.00%0