Clarity Capital Advisors, LLC

CIK 2011219 · View on SEC EDGAR ↗

Portfolio value
$238.5M
#5,874 of 9,443 by 13F value · top 62.2%
Positions
95
As of
June 30, 2026

Portfolio value QoQ: +11.2% 13F does not disclose cash

Top 10 holdings weight
51.05%
Top 25 holdings weight
76.98%
Positions above 1%
28
Effective number of positions
28.8

Based on 13F long-equity holdings only (cash, bonds, shorts not disclosed)

Turnover Q2 2026: 1.55% Est. buys $12,853,099 · sells $3,505,611

Median holding: 7.0 quarters Tracked Q4 2024–Q2 2026 · 96.0% still held

New positions
1
Increased
64
Decreased
6
Closed
1
On this page

Sector breakdown

Technology
1.6%
Communication Services
0.4%
Retail
0.3%
Utilities
0.2%
Industrials
0.2%
Other/Unmapped
97.3%

Full portfolio 95 positions

Type Streak 8Q trend
VTI $20,741,622 8.70% 56,052 $3,344,854 Up ×3
DFAU $16,141,394 6.77% 312,273 $654,776 Down ×1
AVUS $14,055,734 5.89% 109,742 $1,888,912 Up ×2
VEA $12,863,567 5.39% 180,541 $1,874,019 Up ×4
VXUS Vanguard Total International Stock ETF $11,005,342 4.61% 128,733 $1,497,673 Up ×6
AVDE $9,813,978 4.11% 110,022 $593,104 Up ×6
VTV $9,632,638 4.04% 44,201 $1,779,738 Up ×4
VOO $9,434,223 3.96% 13,736 $1,258,123 Up ×3
BSV $9,149,896 3.84% 117,442 $132,219 Up ×5
VTIP Vanguard Short-Term Inflation-Protected Securities Index Fund ETF Shares $8,936,362 3.75% 177,909 $-81,877 Down ×1
DFAI $8,313,998 3.49% 201,551 $-213,391 Down ×1
BIV $6,532,039 2.74% 85,163 $-263 Up ×6
VUG $5,744,471 2.41% 66,688 $891,131 Up ×1
DFAC $4,833,185 2.03% 108,954 $603,211 Up ×6
BRKB $4,743,197 1.99% 9,479 $200,860
DFUS $4,652,048 1.95% 56,774 $711,183 Up ×5
IVV $3,586,725 1.50% 4,789 $465,411 Up ×2
SPY SPY $3,554,888 1.49% 4,760 $460,860 Up ×6
DFUV $3,284,991 1.38% 59,716 $416,909 Up ×3
AAPL Apple Inc. - Common Stock $2,927,155 1.23% 10,116 $359,834
VWO $2,925,474 1.23% 49,011 $442,673 Up ×4
DFAE $2,700,453 1.13% 67,159 $249,537 Down ×1
VYM $2,695,170 1.13% 17,055 $177,101 Up ×1
VO $2,686,461 1.13% 33,343 $298,119 Up ×6
VNQ $2,677,830 1.12% 27,770 $-311,539 Down ×1
AVEM $2,471,780 1.04% 25,617 $417,296 Up ×6
VCSH Vanguard Short-Term Corporate Bond ETF $2,439,038 1.02% 30,862 $141,436 Up ×6
VGSH Vanguard Short-Term Treasury ETF $2,427,625 1.02% 41,712 $340,791 Up ×6
VGIT Vanguard Intermediate-Term Treasury ETF $2,180,316 0.91% 36,967 $139,727 Up ×6
VB $2,087,742 0.88% 6,888 $287,500 Up ×2
VBR $1,910,533 0.80% 7,863 $210,992 Up ×5
SCHG $1,860,571 0.78% 54,981 $259,431 Up ×6
VCIT Vanguard Intermediate-Term Corporate Bond ETF $1,713,001 0.72% 20,726 $86,046 Up ×6
DFAX $1,618,607 0.68% 43,936 $58,139 Down ×1
DFAS $1,579,553 0.66% 19,183 $218,445 Up ×6
SCHX $1,481,676 0.62% 50,346 $194,188 Up ×6
DFIV $1,371,611 0.58% 25,391 $46,992 Up ×6
FNDX $1,126,354 0.47% 36,217 $121,529 Up ×6
VV $978,240 0.41% 2,844 $130,574 Up ×6
IJH $977,540 0.41% 12,677 $121,448
QQQ Invesco QQQ Trust, Series 1 $963,967 0.40% 1,309 $208,423
MSFT Microsoft Corporation - Common Stock $915,375 0.38% 2,454 $81,028 Up ×3
AVLV $885,713 0.37% 9,711 $105,383 Up ×2
VXF $884,937 0.37% 3,594 $146,269 Up ×6
SCHF $883,673 0.37% 31,902 $98,852 Up ×1
SPXT $863,387 0.36% 7,975 Up ×1
FNDA $833,629 0.35% 21,903 $125,140 Up ×6
VBK $829,042 0.35% 2,267 $143,841
IVE $826,284 0.35% 3,639 $57,897
FNDF $804,331 0.34% 15,245 $62,587 Up ×1
GOOG Alphabet Inc. - Class C Capital Stock $783,743 0.33% 2,218 $225,800 Up ×1
BRKA $748,850 0.31% 1 $30,710
IDEV $722,010 0.30% 8,112 $52,205 Up ×1
FNDE $714,902 0.30% 18,017 $28,845 Up ×1
CWI $625,830 0.26% 15,388 $62,783
SCHE $623,646 0.26% 17,199 $57,633 Up ×1
VIOO $563,089 0.24% 4,094 $92,975
VEU $561,788 0.24% 6,708 $60,392 Up ×6
SCHB $547,248 0.23% 18,897 $73,520 Up ×5
VSS $517,651 0.22% 3,355 $30,023 Up ×1
SCHA $514,654 0.22% 14,245 $101,602 Up ×5
VOE $513,339 0.22% 2,598 $42,060 Up ×6
DISV $511,583 0.21% 12,748 $16,116 Up ×6
IWF $502,977 0.21% 4,051 $71,178 Up ×1
SGOV iShares 0-3 Month Treasury Bond ETF $492,296 0.21% 4,890 $4,386 Up ×2
VIG $489,483 0.21% 2,069 $44,675 Up ×1
SPYV $487,587 0.20% 8,021 $33,768
AKRE $479,827 0.20% 9,021 $3,067
SPDW $469,063 0.20% 9,309 $50,161 Up ×1
BND Vanguard Total Bond Market ETF $466,056 0.20% 6,349 $2,559 Up ×1
SCHY $462,528 0.19% 14,577 $1,020
AMZN Amazon.com, Inc. - Common Stock $452,369 0.19% 1,898 $57,073
SPEM $438,019 0.18% 8,459 $45,264 Up ×1
ED Consolidated Edison, Inc. Common Stock $418,053 0.18% 3,779 $-9,636
GLDM $412,746 0.17% 5,197 $-68,964
IJR $410,458 0.17% 2,768 $67,362 Up ×2
TDY Teledyne Technologies Incorporated Common Stock $400,140 0.17% 600 $37,134
FNDC $388,468 0.16% 8,000 $19,718 Up ×1
DFSV $378,655 0.16% 9,762 $37,555 Up ×5
DGCB Dimensional Global Credit ETF $365,860 0.15% 6,692 $7,719 Up ×1
DFGP Dimensional Global Core Plus Fixed Income ETF $363,197 0.15% 6,669 $7,201 Up ×1
DFIC $353,645 0.15% 9,491 $20,528 Up ×5
XLF XLF $352,539 0.15% 6,576 $27,882
DFAT $328,341 0.14% 4,697 $34,995
VGT $326,743 0.14% 2,734 $88,477 Up ×1
SCHM $326,445 0.14% 8,854 $53,137 Up ×6
DUHP $325,647 0.14% 7,804 $39,443 Up ×5
IVW $315,708 0.13% 2,296 $56,057
DFIS $312,952 0.13% 8,934 $15,705 Up ×6
DBEF $311,847 0.13% 5,708 $29,854
VOT $272,437 0.11% 889 $43,539
ITOT $267,731 0.11% 1,630 $35,596
GOOGL Alphabet Inc. - Class A Common Stock $255,877 0.11% 716 $49,984
SCHC $211,838 0.09% 4,402 $6,538 Up ×1
TJX TJX Companies, Inc. (The) Common Stock $202,556 0.08% 1,337 $-10,963

Conviction holdings

Positions increased for 3+ consecutive quarters.

Share counts are as reported in 13F filings (not split-adjusted)

Security Value % of portfolio Streak
VTI $20,741,622 8.70% up ×3
VEA $12,863,567 5.39% up ×4
VXUS $11,005,342 4.61% up ×6
AVDE $9,813,978 4.11% up ×6
VTV $9,632,638 4.04% up ×4
VOO $9,434,223 3.96% up ×3
BSV $9,149,896 3.84% up ×5
BIV $6,532,039 2.74% up ×6
DFAC $4,833,185 2.03% up ×6
DFUS $4,652,048 1.95% up ×5
SPY $3,554,888 1.49% up ×6
DFUV $3,284,991 1.38% up ×3
VWO $2,925,474 1.23% up ×4
VO $2,686,461 1.13% up ×6
AVEM $2,471,780 1.04% up ×6

Biggest new bets

New positions opened this quarter, largest first.

Security Value Shares % of portfolio
SPXT $863,387 7,975 0.36%

Top movers (QoQ)

Security Action Shares Δ Value Δ
VTI Bought more +2K +$3.3M
AVUS Bought more +308 +$1.9M
VEA Bought more +9K +$1.9M
VTV Bought more +4K +$1.8M
VXUS Bought more +5K +$1.5M
VOO Bought more +53 +$1.3M
VUG Bought more +56K +$891K
DFUS Bought more +1K +$711K
DFAU Trimmed -31K +$655K
DFAC Bought more +102 +$603K

Exited positions

Includes corporate events (mergers, delistings) — not all exits are sells

Closed positions reflect 13F reporting changes; for index managers these are often mechanical (delisting, M&A, index rebalancing), not active decisions.

SecurityQuarter Shares before Value before Price since exit
DON March 31, 2025 5,379 $274,155 No longer tracked
USMV March 31, 2026 2,583 $243,247 No longer tracked
META March 31, 2026 347 $229,051 -4.1%
VGT March 31, 2025 340 $211,154 No longer tracked
ITOT March 31, 2025 1,617 $208,018 No longer tracked
FMB June 30, 2026 3,997 $202,488