First seen by DFX
Sep 12, 2026
date not stated
Strategic Blueprint, LLC found on the SEC adviser roster (services_description)
Strategic Blueprint, LLC reported $1,720,046,271 across 639 13(f) positions for the quarter ended 2026-03-31
Strategic Blueprint, LLC reduced Ishares S&p 100 Etf 49,662 -> 13,622 shares ($17,032,648 -> $4,332,752)
Strategic Blueprint, LLC reduced Ishares Gold Trust 134,802 -> 81,897 shares ($10,941,840 -> $7,219,998)
Strategic Blueprint, LLC reduced KKR & Co Inc Com 53,249 -> 24,145 shares ($6,788,201 -> $2,233,426)
Strategic Blueprint, LLC reduced Invesco S&p 500 Momentum Etf 18,487 -> 11,841 shares ($2,205,816 -> $1,327,524)
Strategic Blueprint, LLC increased Ishares Core 60/40 Balanced Allocation Etf 16,318 -> 45,770 shares ($1,060,809 -> $2,945,287)
Strategic Blueprint, LLC increased Schwab US Aggregate Bond Etf 101,242 -> 132,414 shares ($2,366,026 -> $3,074,651)
Strategic Blueprint, LLC reduced Ishares Silver Trust 64,522 -> 40,381 shares ($4,156,482 -> $2,751,535)
Strategic Blueprint, LLC reduced Ishares Jp Morgan Usd Emerging Markets Bond Etf 36,786 -> 8,883 shares ($3,541,801 -> $834,419)
Strategic Blueprint, LLC increased Goldman Sachs Nasdaq-100 Premium Income Etf 29,396 -> 41,529 shares ($1,554,167 -> $2,055,294)
Strategic Blueprint, LLC exited Invesco S&p 500 Top 50 Etf (was $2,367,855, 39,944 shares)
Strategic Blueprint, LLC increased Ishares Msci Eafe Growth Etf 53,540 -> 82,476 shares ($6,099,222 -> $9,185,333)
Strategic Blueprint, LLC increased Innovator U.S. Equity Ultra Buffer Etf - February 50,969 -> 134,217 shares ($1,874,900 -> $4,872,077)
Strategic Blueprint, LLC increased Zacks Quality International Etf 62,344 -> 78,299 shares ($1,653,569 -> $2,110,939)
Strategic Blueprint, LLC increased Palantir Technologies Inc Cl a 13,569 -> 18,014 shares ($2,411,890 -> $2,635,088)
Strategic Blueprint, LLC reduced 3edge Dynamic International Equity Etf 86,469 -> 11,183 shares ($2,453,989 -> $316,813)
Strategic Blueprint, LLC reduced Apollo Global Mgmt Inc Com 35,316 -> 21,202 shares ($5,112,405 -> $2,362,273)
Strategic Blueprint, LLC reduced Ishares 20 Year Treasury Bond Etf 23,168 -> 15,637 shares ($2,019,348 -> $1,355,535)
Strategic Blueprint, LLC increased First Trust Preferred Securities & Income Etf 92,073 -> 115,308 shares ($1,677,562 -> $2,046,713)
Strategic Blueprint, LLC increased State Street Blackstone Senior Loan Etf 82,242 -> 105,463 shares ($3,394,127 -> $4,233,285)
Strategic Blueprint, LLC increased Intuitive Surgical Inc Com New 2,996 -> 4,410 shares ($1,696,815 -> $2,032,966)
Strategic Blueprint, LLC increased Ishares Core 80/20 Aggressive Allocation Etf 28,107 -> 46,379 shares ($2,517,262 -> $4,104,058)
Strategic Blueprint, LLC increased Global X Defense Tech Etf 82,283 -> 122,591 shares ($5,331,116 -> $8,684,321)
Strategic Blueprint, LLC increased Advanced Micro Devices Inc Com 7,436 -> 26,021 shares ($1,592,494 -> $5,293,452)
Strategic Blueprint, LLC increased 3edge Dynamic Fixed Income Etf 270,182 -> 407,409 shares ($6,659,988 -> $10,077,263)
Strategic Blueprint, LLC increased Ishares Core S&p 500 Etf 15,096 -> 25,359 shares ($10,339,902 -> $16,564,435)
Strategic Blueprint, LLC increased Simplify Barrier Income Etf 87,766 -> 146,263 shares ($2,295,951 -> $3,589,295)
Strategic Blueprint, LLC increased RTX Corporation Com 5,022 -> 19,139 shares ($920,987 -> $3,691,932)
Strategic Blueprint, LLC increased Calamos Autocallable Income Etf 168,151 -> 367,217 shares ($4,496,358 -> $9,231,841)
Strategic Blueprint, LLC opened a $10,148,355 position in Ishares International Country Rotation Active Etf (315,627 shares)
Strategic Blueprint, LLC increased Ishares 7-10 Year Treasury Bond Etf 17,987 -> 23,278 shares ($1,729,628 -> $2,221,673)
Strategic Blueprint, LLC increased Calamos Nasdaq Autocallable Income Etf 19,838 -> 226,359 shares ($508,341 -> $5,395,813)
Strategic Blueprint, LLC increased State Street Spdr Portfolio S&p 500 Growth Etf 35,138 -> 57,384 shares ($3,749,176 -> $5,618,504)
Strategic Blueprint, LLC increased Ishares U.S. Treasury Bond Etf 876,773 -> 1,371,683 shares ($20,187,704 -> $31,425,249)
Strategic Blueprint, LLC reported $1,696,657,900 across 660 13(f) positions for the quarter ended 2025-12-31
Strategic Blueprint, LLC reduced Capital Group International Core Equity Etf 391,059 -> 68,926 shares ($12,048,528 -> $2,240,095)
Strategic Blueprint, LLC reduced GE Aerospace Com New 9,046 -> 6,417 shares ($2,721,267 -> $1,976,772)
Strategic Blueprint, LLC reduced Advanced Micro Devices Inc Com 12,493 -> 7,436 shares ($2,021,242 -> $1,592,494)
Strategic Blueprint, LLC opened a $4,624,072 position in Avantis U.S Small Cap Equity Etf (78,721 shares)