Glekko logo

Marks Group Wealth Management, Inc - Q42025 Holdings

Marks Group Wealth Management, Inc holds 332 stocks with a total portfolio value of $ 1.04B as of Q42025. In Q42025, Marks Group Wealth Management, Inc added 48 new positions, increased stakes in 115 stocks, reduced 115 holdings, and fully exited 10 positions. The largest holding is Alphabet Inc (GOOG), representing 3.35% of the total portfolio.

Company Name
Shares
Value
%
Status
Δ
Ticker
Avg Price
Price
Options