0002085853-25-000161.txt : 20251027
0002085853-25-000161.hdr.sgml : 20251027
20251027083852
ACCESSION NUMBER:		0002085853-25-000161
CONFORMED SUBMISSION TYPE:	13F-HR/A
PUBLIC DOCUMENT COUNT:		2
CONFORMED PERIOD OF REPORT:	20240930
FILED AS OF DATE:		20251027
DATE AS OF CHANGE:		20251027
EFFECTIVENESS DATE:		20251027
FILER:
	COMPANY DATA:	
		COMPANY CONFORMED NAME:			OMNI 360 Wealth, Inc.
		CENTRAL INDEX KEY:			0002010436
		ORGANIZATION NAME:           	
		EIN:				223436692
		STATE OF INCORPORATION:			NJ
		FISCAL YEAR END:			1231
	FILING VALUES:
		FORM TYPE:		13F-HR/A
		SEC ACT:		1934 Act
		SEC FILE NUMBER:	028-23645
		FILM NUMBER:		251417622
	BUSINESS ADDRESS:	
		STREET 1:		777 SCUDDERS MILL ROAD
		STREET 2:		BLDG 4, SUITE 101
		CITY:			PLAINSBORO
		STATE:			NJ
		ZIP:			08536-1615
		BUSINESS PHONE:		609-452-0889
	MAIL ADDRESS:	
		STREET 1:		777 SCUDDERS MILL ROAD
		STREET 2:		BLDG 4, SUITE 101
		CITY:			PLAINSBORO
		STATE:			NJ
		ZIP:			08536-1615
13F-HR/A
1
primary_doc.xml
  X0202
  
    13F-HR/A
    
      LIVE
      
        false
        false
        false
      
      
        
          0002010436
          XXXXXXXX
        
      
      09-30-2024
    
  
  
    
      09-30-2024
      true
      1
      
        RESTATEMENT
        false
      
      
        OMNI 360 Wealth, Inc.
        
          777 Scudders Mill Road
          Bldg 4, Suite 101
          Plainsboro
          NJ
          08536-1615
        
      
      13F HOLDINGS REPORT
      028-23645
      000124878
      801-121387
      N
    
    
      Linda J. Farinola
      President & Chief Compliance Officer
      609-452-0889
      /s/ Linda J. Farinola
      Plainsboro
      NJ
      10-27-2025
    
    
      0
      109
      145637829
    
  
INFORMATION TABLE
2
infotable.xml
  
    ABBVIE INC
    COM
    00287Y109
    569582
    
      2884
      SH
    
    SOLE
    
      0
      0
      2884
    
  
  
    ALPHABET INC
    CAP STK CL A
    02079K305
    487541
    
      2940
      SH
    
    SOLE
    
      0
      0
      2940
    
  
  
    ALPHABET INC
    CAP STK CL C
    02079K107
    722928
    
      4324
      SH
    
    SOLE
    
      0
      0
      4324
    
  
  
    AMAZON COM INC
    COM
    023135106
    746625
    
      4007
      SH
    
    SOLE
    
      0
      0
      4007
    
  
  
    APPLE INC
    COM
    037833100
    4038993
    
      17335
      SH
    
    SOLE
    
      0
      0
      17335
    
  
  
    BERKSHIRE HATHAWAY INC DEL
    CL B NEW
    084670702
    540341
    
      1174
      SH
    
    SOLE
    
      0
      0
      1174
    
  
  
    BLACKROCK ETF TRUST
    US EQT FACTOR
    09290C103
    1718786
    
      34744
      SH
    
    SOLE
    
      0
      0
      34744
    
  
  
    BLACKSTONE INC
    COM
    09260D107
    888602
    
      5803
      SH
    
    SOLE
    
      0
      0
      5803
    
  
  
    CHEVRON CORP NEW
    COM
    166764100
    381033
    
      2587
      SH
    
    SOLE
    
      0
      0
      2587
    
  
  
    DIMENSIONAL ETF TRUST
    US TARGETED VLU
    25434V609
    6079251
    
      109280
      SH
    
    SOLE
    
      0
      0
      109280
    
  
  
    DIMENSIONAL ETF TRUST
    US CORE EQUITY 2
    25434V708
    1113431
    
      32471
      SH
    
    SOLE
    
      0
      0
      32471
    
  
  
    DIMENSIONAL ETF TRUST
    INTERNATNAL VAL
    25434V807
    2896607
    
      76066
      SH
    
    SOLE
    
      0
      0
      76066
    
  
  
    EATON CORP PLC
    SHS
    G29183103
    329136
    
      993
      SH
    
    SOLE
    
      0
      0
      993
    
  
  
    FIDELITY COVINGTON TRUST
    MSCI INFO TECH I
    316092808
    314056
    
      1800
      SH
    
    SOLE
    
      0
      0
      1800
    
  
  
    FIRST TR EXCH TRADED FD III
    PFD SECS INC ETF
    33739E108
    419171
    
      23159
      SH
    
    SOLE
    
      0
      0
      23159
    
  
  
    FIRST TR EXCHANGE-TRADED FD
    FIRST TR TA HIYL
    33738D408
    525883
    
      12533
      SH
    
    SOLE
    
      0
      0
      12533
    
  
  
    FIRST TR EXCHANGE-TRADED FD
    SMID RISNG ETF
    33741X102
    496223
    
      13640
      SH
    
    SOLE
    
      0
      0
      13640
    
  
  
    FIRST TR EXCHANGE-TRADED FD
    DORSEY WRT 5 ETF
    33738R605
    324564
    
      5570
      SH
    
    SOLE
    
      0
      0
      5570
    
  
  
    FIRST TR EXCHANGE-TRADED FD
    FT VEST S&P 500
    33739Q705
    1209456
    
      22200
      SH
    
    SOLE
    
      0
      0
      22200
    
  
  
    FIRST TR VALUE LINE DIVID IN
    SHS
    33734H106
    1236762
    
      27188
      SH
    
    SOLE
    
      0
      0
      27188
    
  
  
    HOME DEPOT INC
    COM
    437076102
    328182
    
      810
      SH
    
    SOLE
    
      0
      0
      810
    
  
  
    INTERNATIONAL BUSINESS MACHS
    COM
    459200101
    453435
    
      2051
      SH
    
    SOLE
    
      0
      0
      2051
    
  
  
    INVESCO EXCH TRADED FD TR II
    S&P EMRNG MKTS
    46138E297
    347232
    
      13309
      SH
    
    SOLE
    
      0
      0
      13309
    
  
  
    INVESCO EXCHANGE TRADED FD T
    FTSE RAFI 1500
    46137V597
    915255
    
      22028
      SH
    
    SOLE
    
      0
      0
      22028
    
  
  
    INVESCO EXCHANGE TRADED FD T
    FTSE RAFI 1000
    46137V613
    1529390
    
      37642
      SH
    
    SOLE
    
      0
      0
      37642
    
  
  
    INVESCO EXCHANGE TRADED FD T
    S&P MDCP QUALITY
    46137V472
    460166
    
      4486
      SH
    
    SOLE
    
      0
      0
      4486
    
  
  
    INVESCO EXCHANGE TRADED FD T
    S&P500 EQL WGT
    46137V357
    1239250
    
      6917
      SH
    
    SOLE
    
      0
      0
      6917
    
  
  
    INVESCO QQQ TR
    UNIT SER 1
    46090E103
    414860
    
      850
      SH
    
    SOLE
    
      0
      0
      850
    
  
  
    ISHARES GOLD TR
    ISHARES NEW
    464285204
    279898
    
      5632
      SH
    
    SOLE
    
      0
      0
      5632
    
  
  
    ISHARES INC
    MSCI EMRG CHN
    46434G764
    440909
    
      7215
      SH
    
    SOLE
    
      0
      0
      7215
    
  
  
    ISHARES INC
    CORE MSCI EMKT
    46434G103
    3501501
    
      60991
      SH
    
    SOLE
    
      0
      0
      60991
    
  
  
    ISHARES TR
    S&P 500 GRWT ETF
    464287309
    1955255
    
      20420
      SH
    
    SOLE
    
      0
      0
      20420
    
  
  
    ISHARES TR
    CORE DIV GRWTH
    46434V621
    1928127
    
      30757
      SH
    
    SOLE
    
      0
      0
      30757
    
  
  
    ISHARES TR
    CORE S&P TTL STK
    464287150
    10258969
    
      81667
      SH
    
    SOLE
    
      0
      0
      81667
    
  
  
    ISHARES TR
    CORE S&P500 ETF
    464287200
    1129929
    
      1959
      SH
    
    SOLE
    
      0
      0
      1959
    
  
  
    ISHARES TR
    U.S. FIN SVC ETF
    464287770
    712331
    
      10030
      SH
    
    SOLE
    
      0
      0
      10030
    
  
  
    ISHARES TR
    CORE S&P SCP ETF
    464287804
    1454697
    
      12438
      SH
    
    SOLE
    
      0
      0
      12438
    
  
  
    ISHARES TR
    MSCI INTL QUALTY
    46434V456
    2172528
    
      52363
      SH
    
    SOLE
    
      0
      0
      52363
    
  
  
    ISHARES TR
    MSCI USA QLT FCT
    46432F339
    4504627
    
      25123
      SH
    
    SOLE
    
      0
      0
      25123
    
  
  
    ISHARES TR
    MBS ETF
    464288588
    487989
    
      5093
      SH
    
    SOLE
    
      0
      0
      5093
    
  
  
    ISHARES TR
    MSCI USA MIN VOL
    46429B697
    473823
    
      5189
      SH
    
    SOLE
    
      0
      0
      5189
    
  
  
    ISHARES TR
    CORE S&P MCP ETF
    464287507
    799846
    
      12834
      SH
    
    SOLE
    
      0
      0
      12834
    
  
  
    ISHARES TR
    PFD AND INCM SEC
    464288687
    303196
    
      9124
      SH
    
    SOLE
    
      0
      0
      9124
    
  
  
    ISHARES TR
    MSCI USA MMENTM
    46432F396
    599607
    
      2957
      SH
    
    SOLE
    
      0
      0
      2957
    
  
  
    ISHARES TR
    S&P 500 VAL ETF
    464287408
    745697
    
      3782
      SH
    
    SOLE
    
      0
      0
      3782
    
  
  
    ISHARES TR
    EAFE VALUE ETF
    464288877
    2167371
    
      37674
      SH
    
    SOLE
    
      0
      0
      37674
    
  
  
    ISHARES TR
    20 YR TR BD ETF
    464287432
    361008
    
      3680
      SH
    
    SOLE
    
      0
      0
      3680
    
  
  
    ISHARES TR
    U.S. TECH ETF
    464287721
    971733
    
      6409
      SH
    
    SOLE
    
      0
      0
      6409
    
  
  
    ISHARES TR
    EAFE GRWTH ETF
    464288885
    1693980
    
      15736
      SH
    
    SOLE
    
      0
      0
      15736
    
  
  
    ISHARES TR
    ESG AWR MSCI USA
    46435G425
    858781
    
      6806
      SH
    
    SOLE
    
      0
      0
      6806
    
  
  
    ISHARES TR
    US INFRASTRUC
    46435U713
    232642
    
      4953
      SH
    
    SOLE
    
      0
      0
      4953
    
  
  
    ISHARES TR
    CORE MSCI INTL
    46435G326
    5269661
    
      74399
      SH
    
    SOLE
    
      0
      0
      74399
    
  
  
    ISHARES TR
    MSCI EAFE ETF
    464287465
    410916
    
      4914
      SH
    
    SOLE
    
      0
      0
      4914
    
  
  
    ISHARES TR
    NATIONAL MUN ETF
    464288414
    242354
    
      2231
      SH
    
    SOLE
    
      0
      0
      2231
    
  
  
    ISHARES TR
    RUS 1000 GRW ETF
    464287614
    6569244
    
      17500
      SH
    
    SOLE
    
      0
      0
      17500
    
  
  
    ISHARES TR
    MSCI USA VALUE
    46432F388
    957344
    
      8780
      SH
    
    SOLE
    
      0
      0
      8780
    
  
  
    ISHARES TR
    CORE TOTAL USD
    46434V613
    1516557
    
      32185
      SH
    
    SOLE
    
      0
      0
      32185
    
  
  
    J P MORGAN EXCHANGE TRADED F
    MUNICIPAL ETF
    46641Q647
    234560
    
      4575
      SH
    
    SOLE
    
      0
      0
      4575
    
  
  
    J P MORGAN EXCHANGE TRADED F
    INCOME ETF
    46641Q159
    2067165
    
      44561
      SH
    
    SOLE
    
      0
      0
      44561
    
  
  
    J P MORGAN EXCHANGE TRADED F
    EQUITY PREMIUM
    46641Q332
    1177053
    
      19779
      SH
    
    SOLE
    
      0
      0
      19779
    
  
  
    JOHNSON & JOHNSON
    COM
    478160104
    508018
    
      3135
      SH
    
    SOLE
    
      0
      0
      3135
    
  
  
    JPMORGAN CHASE & CO.
    COM
    46625H100
    345824
    
      1640
      SH
    
    SOLE
    
      0
      0
      1640
    
  
  
    LOCKHEED MARTIN CORP
    COM
    539830109
    569895
    
      975
      SH
    
    SOLE
    
      0
      0
      975
    
  
  
    MCDONALDS CORP
    COM
    580135101
    265231
    
      871
      SH
    
    SOLE
    
      0
      0
      871
    
  
  
    META PLATFORMS INC
    CL A
    30303M102
    339533
    
      593
      SH
    
    SOLE
    
      0
      0
      593
    
  
  
    MICROSOFT CORP
    COM
    594918104
    2373689
    
      5516
      SH
    
    SOLE
    
      0
      0
      5516
    
  
  
    NEXTERA ENERGY INC
    COM
    65339F101
    623164
    
      7372
      SH
    
    SOLE
    
      0
      0
      7372
    
  
  
    NUVEEN N Y SELECT TAX FREE I
    SH BEN INT
    67063V104
    152125
    
      12500
      SH
    
    SOLE
    
      0
      0
      12500
    
  
  
    NUVEEN NEW JERSEY QULT MUN F
    COM
    67069Y102
    256324
    
      19657
      SH
    
    SOLE
    
      0
      0
      19657
    
  
  
    NUVEEN NEW YORK QLT MUN INC
    COM
    67066X107
    321199
    
      27243
      SH
    
    SOLE
    
      0
      0
      27243
    
  
  
    NVIDIA CORPORATION
    COM
    67066G104
    1364852
    
      11239
      SH
    
    SOLE
    
      0
      0
      11239
    
  
  
    PROGRESSIVE CORP
    COM
    743315103
    896936
    
      3535
      SH
    
    SOLE
    
      0
      0
      3535
    
  
  
    SCHWAB STRATEGIC TR
    US AGGREGATE B
    808524839
    726201
    
      15282
      SH
    
    SOLE
    
      0
      0
      15282
    
  
  
    SCHWAB STRATEGIC TR
    US TIPS ETF
    808524870
    800127
    
      14919
      SH
    
    SOLE
    
      0
      0
      14919
    
  
  
    SCHWAB STRATEGIC TR
    US DIVIDEND EQ
    808524797
    1896605
    
      22437
      SH
    
    SOLE
    
      0
      0
      22437
    
  
  
    SCHWAB STRATEGIC TR
    FUNDAMENTAL INTL
    808524755
    1184629
    
      31700
      SH
    
    SOLE
    
      0
      0
      31700
    
  
  
    SELECT SECTOR SPDR TR
    TECHNOLOGY
    81369Y803
    217259
    
      962
      SH
    
    SOLE
    
      0
      0
      962
    
  
  
    SELECT SECTOR SPDR TR
    ENERGY
    81369Y506
    441430
    
      5028
      SH
    
    SOLE
    
      0
      0
      5028
    
  
  
    SOUTHERN CO
    COM
    842587107
    354379
    
      3930
      SH
    
    SOLE
    
      0
      0
      3930
    
  
  
    SPDR DOW JONES INDL AVERAGE
    UT SER 1
    78467X109
    731574
    
      1729
      SH
    
    SOLE
    
      0
      0
      1729
    
  
  
    SPDR INDEX SHS FDS
    PORTFOLIO DEVLPD
    78463X889
    323772
    
      8620
      SH
    
    SOLE
    
      0
      0
      8620
    
  
  
    SPDR S&P 500 ETF TR
    TR UNIT
    78462F103
    2413360
    
      4206
      SH
    
    SOLE
    
      0
      0
      4206
    
  
  
    SPDR SER TR
    PORTFOLIO S&P500
    78464A854
    11525217
    
      170719
      SH
    
    SOLE
    
      0
      0
      170719
    
  
  
    SPDR SER TR
    PORTFOLIO AGRGTE
    78464A649
    303041
    
      11593
      SH
    
    SOLE
    
      0
      0
      11593
    
  
  
    SPDR SER TR
    PORTFOLI S&P1500
    78464A805
    307547
    
      4390
      SH
    
    SOLE
    
      0
      0
      4390
    
  
  
    T ROWE PRICE ETF INC
    US EQUITY RESEAR
    87283Q503
    204383
    
      5660
      SH
    
    SOLE
    
      0
      0
      5660
    
  
  
    T ROWE PRICE ETF INC
    CAP APPRECIATION
    87283Q867
    1245346
    
      37454
      SH
    
    SOLE
    
      0
      0
      37454
    
  
  
    TAPESTRY INC
    COM
    876030107
    505975
    
      10770
      SH
    
    SOLE
    
      0
      0
      10770
    
  
  
    TESLA INC
    COM
    88160R101
    638242
    
      2439
      SH
    
    SOLE
    
      0
      0
      2439
    
  
  
    UNITEDHEALTH GROUP INC
    COM
    91324P102
    339978
    
      581
      SH
    
    SOLE
    
      0
      0
      581
    
  
  
    VANGUARD BD INDEX FDS
    SHORT TRM BOND
    921937827
    3588269
    
      45600
      SH
    
    SOLE
    
      0
      0
      45600
    
  
  
    VANGUARD BD INDEX FDS
    INTERMED TERM
    921937819
    256745
    
      3276
      SH
    
    SOLE
    
      0
      0
      3276
    
  
  
    VANGUARD INDEX FDS
    MID CAP ETF
    922908629
    1026176
    
      3890
      SH
    
    SOLE
    
      0
      0
      3890
    
  
  
    VANGUARD INDEX FDS
    TOTAL STK MKT
    922908769
    2841117
    
      10034
      SH
    
    SOLE
    
      0
      0
      10034
    
  
  
    VANGUARD INDEX FDS
    S&P 500 ETF SHS
    922908363
    264890
    
      502
      SH
    
    SOLE
    
      0
      0
      502
    
  
  
    VANGUARD INDEX FDS
    VALUE ETF
    922908744
    276567
    
      1584
      SH
    
    SOLE
    
      0
      0
      1584
    
  
  
    VANGUARD INTL EQUITY INDEX F
    ALLWRLD EX US
    922042775
    732597
    
      11629
      SH
    
    SOLE
    
      0
      0
      11629
    
  
  
    VANGUARD MALVERN FDS
    STRM INFPROIDX
    922020805
    1888864
    
      38306
      SH
    
    SOLE
    
      0
      0
      38306
    
  
  
    VANGUARD MALVERN FDS
    CORE BD ETF
    922020748
    2911117
    
      36761
      SH
    
    SOLE
    
      0
      0
      36761
    
  
  
    VANGUARD MALVERN FDS
    CORE-PLUS BD ETF
    922020755
    737495
    
      9298
      SH
    
    SOLE
    
      0
      0
      9298
    
  
  
    VANGUARD MUN BD FDS
    TAX EXEMPT BD
    922907746
    347716
    
      6802
      SH
    
    SOLE
    
      0
      0
      6802
    
  
  
    VANGUARD SCOTTSDALE FDS
    INTER TERM TREAS
    92206C706
    4880354
    
      80774
      SH
    
    SOLE
    
      0
      0
      80774
    
  
  
    VANGUARD SCOTTSDALE FDS
    INT-TERM CORP
    92206C870
    1059250
    
      12648
      SH
    
    SOLE
    
      0
      0
      12648
    
  
  
    VANGUARD SPECIALIZED FUNDS
    DIV APP ETF
    921908844
    676751
    
      3417
      SH
    
    SOLE
    
      0
      0
      3417
    
  
  
    VANGUARD TAX-MANAGED FDS
    VAN FTSE DEV MKT
    921943858
    280527
    
      5312
      SH
    
    SOLE
    
      0
      0
      5312
    
  
  
    VANGUARD WHITEHALL FDS
    INTL DVD ETF
    921946810
    715341
    
      8103
      SH
    
    SOLE
    
      0
      0
      8103
    
  
  
    VANGUARD WHITEHALL FDS
    HIGH DIV YLD
    921946406
    2241522
    
      17485
      SH
    
    SOLE
    
      0
      0
      17485
    
  
  
    WISDOMTREE TR
    US MIDCAP DIVID
    97717W505
    1116705
    
      21841
      SH
    
    SOLE
    
      0
      0
      21841
    
  
  
    WISDOMTREE TR
    EM EX ST-OWNED
    97717X578
    413932
    
      12532
      SH
    
    SOLE
    
      0
      0
      12532