0001910312-22-000004.txt : 20220812
0001910312-22-000004.hdr.sgml : 20220812
20220812134658
ACCESSION NUMBER: 0001910312-22-000004
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20220630
FILED AS OF DATE: 20220812
DATE AS OF CHANGE: 20220812
EFFECTIVENESS DATE: 20220812
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Paradigm Capital Management, LLC/NV
CENTRAL INDEX KEY: 0001910312
IRS NUMBER: 880370820
STATE OF INCORPORATION: NV
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-21733
FILM NUMBER: 221159269
BUSINESS ADDRESS:
STREET 1: 6170 RIDGEVIEW COURT, SUITE F
CITY: RENO
STATE: NV
ZIP: 89519
BUSINESS PHONE: 7758298787
MAIL ADDRESS:
STREET 1: 6170 RIDGEVIEW COURT, SUITE F
CITY: RENO
STATE: NV
ZIP: 89519
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
true
false
0001910312
XXXXXXXX
06-30-2022
06-30-2022
Paradigm Capital Management, LLC/NV
6170 RIDGEVIEW COURT, SUITE F
RENO
NV
89519
13F HOLDINGS REPORT
028-21733
N
John Nunn
Portfolio Manager
7758298787
John Nunn
Reno
NV
08-12-2022
0
43
79574
false
INFORMATION TABLE
2
13F06302022.xml
J P MORGAN EXCHANGE TRADED F
ULTRA SHRT INC
46641Q837
14898
297420
SH
SOLE
0
297420
0
VANGUARD SPECIALIZED FUNDS
DIV APP ETF
921908844
10103
70422
SH
SOLE
0
70422
0
VANGUARD WHITEHALL FDS
HIGH DIV YLD
921946406
7334
72113
SH
SOLE
0
72113
0
SCHWAB STRATEGIC TR
US DIVIDEND EQ
808524797
4332
60476
SH
SOLE
0
60476
0
BERKSHIRE HATHAWAY INC DEL
CL B NEW
084670702
3903
14294
SH
SOLE
0
14294
0
VANGUARD WORLD FDS
HEALTH CAR ETF
92204A504
3487
14807
SH
SOLE
0
14807
0
PFIZER INC
COM
717081103
2817
53720
SH
SOLE
0
53720
0
VERIZON COMMUNICATIONS INC
COM
92343V104
2657
52353
SH
SOLE
0
52353
0
MERCK & CO INC
COM
58933Y105
2243
24597
SH
SOLE
0
24597
0
JOHNSON & JOHNSON
COM
478160104
1829
10302
SH
SOLE
0
10302
0
APPLE INC
COM
037833100
1815
13276
SH
SOLE
0
13276
0
JPMORGAN CHASE & CO
COM
46625H100
1727
15340
SH
SOLE
0
15340
0
MICROSOFT CORP
COM
594918104
1632
6356
SH
SOLE
0
6356
0
CHEVRON CORP NEW
COM
166764100
1532
10582
SH
SOLE
0
10582
0
ALPHABET INC
CAP STK CL C
02079K107
1291
590
SH
SOLE
0
590
0
BK OF AMERICA CORP
COM
060505104
1233
39607
SH
SOLE
0
39607
0
ALTRIA GROUP INC
COM
02209S103
1131
27067
SH
SOLE
0
27067
0
METLIFE INC
COM
59156R108
981
15618
SH
SOLE
0
15618
0
EXXON MOBIL CORP
COM
30231G102
963
11245
SH
SOLE
0
11245
0
US BANCORP DEL
COM NEW
902973304
960
20869
SH
SOLE
0
20869
0
AT&T INC
COM
00206R102
918
43780
SH
SOLE
0
43780
0
KINDER MORGAN INC DEL
COM
49456B101
899
53646
SH
SOLE
0
53646
0
COMCAST CORP NEW
CL A
20030N101
844
21497
SH
SOLE
0
21497
0
MCDONALDS CORP
COM
580135101
807
3269
SH
SOLE
0
3269
0
AMGEN INC
COM
031162100
781
3209
SH
SOLE
0
3209
0
INTEL CORP
COM
458140100
779
20811
SH
SOLE
0
20811
0
VISA INC
COM CL A
92826C839
750
3808
SH
SOLE
0
3808
0
PHILIP MORRIS INTL INC
COM
718172109
709
7181
SH
SOLE
0
7181
0
PRICE T ROWE GROUP INC
COM
74144T108
611
5381
SH
SOLE
0
5381
0
CISCO SYS INC
COM
17275R102
591
13863
SH
SOLE
0
13863
0
GOLDMAN SACHS GROUP INC
COM
38141G104
570
1920
SH
SOLE
0
1920
0
DUKE ENERGY CORP NEW
COM NEW
26441C204
563
5255
SH
SOLE
0
5255
0
SPDR S&P 500 ETF TR
TR UNIT
78462F103
520
1380
SH
SOLE
0
1380
0
SCHWAB STRATEGIC TR
US LCAP GR ETF
808524300
517
8911
SH
SOLE
0
8911
0
AMERICAN INTL GROUP INC
COM NEW
026874784
460
9001
SH
SOLE
0
9001
0
PEPSICO INC
COM
713448108
457
2740
SH
SOLE
0
2740
0
NEW YORK CMNTY BANCORP INC
COM
649445103
450
49250
SH
SOLE
0
49250
0
HOME DEPOT INC
COM
437076102
404
1474
SH
SOLE
0
1474
0
NOVARTIS AG
SPONSORED ADR
66987V109
306
3620
SH
SOLE
0
3620
0
COSTCO WHSL CORP NEW
COM
22160K105
289
604
SH
SOLE
0
604
0
AMAZON COM INC
COM
023135106
246
2320
SH
SOLE
0
2320
0
ANNALY CAPITAL MANAGEMENT IN
COM
035710409
124
21058
SH
SOLE
0
21058
0
BLACKROCK MUNI INCOME TR II
COM
09249N101
111
10000
SH
SOLE
0
10000
0