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Empower Advisory Group, LLC

Tech Focused

Managed by

Hedge Fund

AUM Tracked

$38.5B

AI Exposure

8.9%

AI vs Non-AI Sector Exposure

AI & Semiconductors8.9%
Other Tech0.0%
$AAPL

1.4%

$NVDA

1.3%

$AMZN

1.2%

$MSFT

1.1%

Portfolio Holdings

AI & Tech holdings for Empower Advisory Group, LLC

TickerCompanySharesValue% of PortfolioAction Last Quarter
$AAPLAIApple Inc.2,102,992$533.7M
1.4%
No change
$NVDAAINVIDIA Corporation2,888,694$503.8M
1.3%
No change
$AMZNAIAmazon.com, Inc.2,128,797$443.4M
1.2%
Increased by 9%
$MSFTAIMicrosoft Corporation1,120,799$414.9M
1.1%
Increased by 20%
$GOOGAIAlphabet Inc.1,428,163$409.7M
1.1%
Reduced by 29%
$METAAIMeta Platforms, Inc.559,472$320.1M
0.8%
Increased by 16%
$TSLAAITesla, Inc.661,557$245.9M
0.6%
No change
$AVGOAIBroadcom Inc.442,412$136.9M
0.4%
No change
$CEGAIConstellation Energy355,053$99.1M
0.3%
Increased by 6%
$FTNTAIFortinet Inc.1,020,338$83.4M
0.2%
Increased by 6%
$CRMAISalesforce Inc.387,550$72.3M
0.2%
Increased by 6%
$VSTAIVistra Corp.377,941$56.8M
0.1%
Increased by 14%
$SNOWAISnowflake Inc.176,892$26.7M
0.1%
Reduced by 30%
$GOOGLAIAlphabet Inc.89,297$25.7M
0.1%
Increased by 5%
$ORCLAIOracle Corporation69,149$10.2M
0%
No change
$PANWAIPalo Alto Networks57,509$9.2M
0%
Reduced by 14%
$APPAIAppLovin Corporation16,296$6.5M
0%
No change
$MDBAIMongoDB Inc.26,289$6.4M
0%
Reduced by 49%
$LRCXAILam Research28,483$6.1M
0%
No change
$AMDAIAdvanced Micro Devices29,588$6.0M
0%
Reduced by 8%
$INTUAIIntuit Inc.6,897$3.0M
0%
Reduced by 18%
$INTCAIIntel Corporation58,806$2.6M
0%
Increased by 72%
$PLTRAIPalantir Technologies15,187$2.2M
0%
Increased by 8%
$QCOMAIQUALCOMM Inc.15,522$2.0M
0%
Reduced by 39%
$AMATAIApplied Materials5,011$1.7M
0%
Reduced by 24%
$SHOPAIShopify Inc.14,197$1.7M
0%
Reduced by 15%
$ANETAIArista Networks12,789$1.6M
0%
Increased by 19%
$KLACAIKLA Corporation1,039$1.5M
0%
Reduced by 45%
$TSMAITaiwan Semiconductor4,389$1.5M
0%
No change
$MUAIMicron Technology3,864$1.3M
0%
Increased by 326%
$UBERAIUber Technologies17,844$1.3M
0%
Reduced by 31%
$TXNAITexas Instruments6,540$1.3M
0%
No change
$CRWDAICrowdStrike Holdings3,017$1.2M
0%
Increased by 404%
$DELLAIDell Technologies6,166$1.0M
0%
Increased by 33%
$ISRGAIIntuitive Surgical1,884$868.5K
0%
Reduced by 9%
$PYPLAIPayPal Holdings16,830$761.2K
0%
Reduced by 98%
$ASMLAIASML Holding NV527$696.1K
0%
Increased by 13%
$CDNSAICadence Design Systems2,277$632.7K
0%
New Position
$ADBEAIAdobe Inc.1,934$470.1K
0%
Reduced by 44%
$RIVNAIRivian Automotive21,823$328.4K
0%
No change