Bullseye Investment Management, LLC has filed a Form 13F-HR with the U.S. Securities and Exchange Commission, disclosing its equity holdings as of the close of business on March 31, 2026. The filing, submitted on September 11, 2026, lists a total of 320 securities held by the firm.
The portfolio includes a mix of individual equities and exchange-traded funds (ETFs). Major corporate holdings include shares in 3M Company, AbbVie Inc., Accenture PLC, and Advanced Micro Devices Inc. The firm also holds significant positions in technology giants such as Apple Inc., Amazon.com Inc., and Microsoft Corporation, as well as energy companies like Chevron Corporation and Exxon Mobil Corporation.
Bullseye Investment Management’s portfolio is heavily weighted toward ETFs, with positions in funds tracking various indices including the S&P 500, the Nasdaq 100, and the Russell 2000. The firm also holds specific sector-focused ETFs, such as the Direxion Daily S&P 500 Bull 2X Shares and the First Trust Exchange-Traded Fund VI FT VEST NASDAQ 100.