Fund Advisors of America Inc/FL

CIK 2116327 · View on SEC EDGAR ↗

Portfolio value
$110.2M
#8,204 of 9,443 by 13F value · top 86.9%
Positions
120
As of
June 30, 2026

Portfolio value QoQ: +11.7% 13F does not disclose cash

Top 10 holdings weight
34.67%
Top 25 holdings weight
57.22%
Positions above 1%
29
Effective number of positions
49.0

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

Turnover Q2 2026: 4.03% Est. buys $4,210,872 · sells $12,191,767

New positions
10
Increased
41
Decreased
63
Closed
8
On this page

Sector breakdown

Technology
34.2%
Industrials
6.3%
Financial Services
5.3%
Energy
5.0%
Retail
3.3%
Financials
3.3%
Real Estate
2.6%
Healthcare
2.5%
Communication Services
2.4%
Materials
2.3%
Consumer Discretionary
1.7%
Consumer Staples
1.5%
Communications
0.8%
Utilities
0.6%
Consumer products
0.5%
Telecommunication
0.4%
Other/Unmapped
27.3%

Full portfolio 120 positions

Type Streak 8Q trend
NVDA NVIDIA Corporation - Common Stock $7,307,642 6.63% 36,522 $945,131 Up ×1
AAPL Apple Inc. - Common Stock $6,095,020 5.53% 21,064 $502,663 Down ×2
MRVL Marvell Technology, Inc. - Common Stock $4,921,914 4.47% 16,523 $2,961,459 Down ×2
BRKB $3,783,949 3.43% 7,562 $-87,987 Down ×2
MU Micron Technology, Inc. - Common Stock $3,645,786 3.31% 3,158 $2,071,533 Down ×1
MAIN Main Street Capital Corporation Common Stock $2,996,182 2.72% 57,752 $-68,886 Down ×1
IBM International Business Machines Corporation Common Stock $2,550,481 2.31% 9,070 $289,214 Down ×2
EXG Eaton Vance Tax-Managed Global Diversified Equity Income Fund Common Shares of Beneficial Interest $2,429,080 2.20% 247,613 $291,147 Up ×2
EOS Eaton Vance Enhance Equity Income Fund II Common Stock $2,271,992 2.06% 103,085 $89,696 Down ×2
ASML ASML Holding N.V. - New York Registry Shares $2,200,321 2.00% 1,106 $592,871 Down ×2
GLW Corning Incorporated Common Stock $2,021,212 1.83% 7,913 $608,254 Down ×2
PFFA $1,980,829 1.80% 96,297 $-102,397 Down ×2
AMZN Amazon.com, Inc. - Common Stock $1,886,938 1.71% 7,917 $44,790 Down ×2
EPD Enterprise Products Partners L.P. Common Stock $1,808,517 1.64% 49,198 $-46,441 Up ×1
NET Cloudflare, Inc. Class A Common Stock $1,805,751 1.64% 7,362 $82,193 Down ×2
SPY SPY $1,778,740 1.61% 2,382 $201,607 Down ×1
MSFT Microsoft Corporation - Common Stock $1,739,099 1.58% 4,662 $16,520 Up ×1
WMB Williams Companies, Inc. (The) Common Stock $1,609,661 1.46% 21,653 $86,704 Up ×2
GLD $1,592,507 1.45% 4,323 $-313,247 Down ×2
MKL Markel Group Inc. Common Stock $1,533,113 1.39% 785 $133,928 Up ×1
ARM Arm Holdings plc - American Depositary Shares $1,473,238 1.34% 4,155 $719,561 Down ×2
VTI $1,468,178 1.33% 3,968 $169,895 Down ×2
FSCO FS Credit Opportunities Corp. Common Stock $1,434,909 1.30% 287,557 $30,573 Up ×1
CAT Caterpillar, Inc. Common Stock $1,362,444 1.24% 1,279 $445,507 Down ×1
GDX GDX $1,350,297 1.23% 17,897 $-358,071 Down ×2
OHI Omega Healthcare Investors, Inc. Common Stock $1,316,673 1.20% 27,615 $115,183 Up ×1
PLTR Palantir Technologies Inc. - Class A Common Stock $1,231,219 1.12% 10,553 $-37,029 Up ×1
XLK XLK $1,227,900 1.11% 6,445 $311,520 Down ×1
QQQ Invesco QQQ Trust, Series 1 $1,161,609 1.05% 1,577 $167,755 Down ×1
VOO $1,076,893 0.98% 1,568 $2,323 Down ×2
ET Energy Transfer LP Common Units $996,364 0.90% 52,111 $2,985 Up ×1
NFLX Netflix, Inc. - Common Stock $985,606 0.89% 13,804 $-323,188 Up ×1
GOOG Alphabet Inc. - Class C Capital Stock $961,875 0.87% 2,722 $113,960 Down ×1
PM Philip Morris International Inc Common Stock $936,199 0.85% 5,175 $25,264 Down ×2
NFJ Virtus Dividend, Interest & Premium Strategy Fund Common Shares of Beneficial Interest $903,295 0.82% 59,466 $164,217 Up ×2
ACMR ACM Research, Inc. - Class A Common Stock $902,695 0.82% 7,114 $622,759
CSCO Cisco Systems, Inc. - Common Stock $891,843 0.81% 7,593 $304,277 Up ×1
SCCO Southern Copper Corporation Common Stock $869,700 0.79% 4,991 $32,154 Up ×2
HD Home Depot, Inc. (The) Common Stock $867,133 0.79% 2,459 $28,319 Down ×2
VB $857,552 0.78% 2,829 $129,258 Up ×2
BSTZ BlackRock Science and Technology Term Trust Common Shares of Beneficial Interest $847,806 0.77% 28,232 $296,888 Up ×2
SYM Symbotic Inc. - Class A Common Stock $834,047 0.76% 18,555 $-243,679 Down ×2
CVX Chevron Corporation Common Stock $829,920 0.75% 5,007 $-216,834 Down ×1
ABBV AbbVie Inc. Common Stock $827,266 0.75% 3,287 $2,663 Down ×2
AMAT Applied Materials, Inc. - Common Stock $803,783 0.73% 1,112 $395,675 Down ×2
AVGO Broadcom Inc. - Common Stock $794,953 0.72% 2,104 $142,110 Down ×2
MO Altria Group, Inc. $761,664 0.69% 10,586 $28,845 Down ×2
HLT Hilton Worldwide Holdings Inc. Common Stock $751,037 0.68% 2,273 $36,478 Down ×2
RIO Rio Tinto Plc Common Stock $749,006 0.68% 7,890 $5,743 Down ×2
BX Blackstone Inc. Common Stock $715,233 0.65% 6,078 $17,627 Up ×2
GOOGL Alphabet Inc. - Class A Common Stock $712,568 0.65% 1,994 $73,743 Down ×2
RKLB Rocket Lab Corporation - Common Stock $712,567 0.65% 7,010 $195,596 Down ×2
ETN Eaton Corporation, PLC Ordinary Shares $710,768 0.65% 1,668 $104,160 Down ×2
MA Mastercard Incorporated Common Stock $676,765 0.61% 1,318 $21,761 Up ×1
TSLA Tesla, Inc. - Common Stock $627,956 0.57% 1,493 $-89,522 Down ×2
AOD abrdn Total Dynamic Dividend Fund Common Shares of Beneficial Interest $607,710 0.55% 58,944 $80,434 Up ×1
IONQ IonQ, Inc. Common Stock $604,821 0.55% 11,356 $277,312 Down ×1
GS Goldman Sachs Group, Inc. (The) Common Stock $585,162 0.53% 579 $89,975 Down ×2
Unknown issuer (CUSIP: 84615Q103) $557,516 0.51% 3,263 Up ×1
NKE Nike, Inc. Common Stock $548,839 0.50% 13,370 Up ×1
PANW Palo Alto Networks, Inc. - Common Stock $544,609 0.49% 1,597 $38,639 Down ×1
AMD Advanced Micro Devices, Inc. - Common Stock $540,827 0.49% 931 Up ×1
PAAS Pan American Silver Corp. Common Stock $530,269 0.48% 11,839 $-116,222 Up ×1
GBTC $527,122 0.48% 11,580 $-95,446 Down ×2
BIL $491,491 0.45% 5,363 $-5,218 Down ×2
WMT Walmart Inc. - Common Stock $477,831 0.43% 4,219 $-54,379 Down ×2
MRK Merck & Company, Inc. Common Stock (new) $476,477 0.43% 3,708 $21,576 Down ×2
AEP American Electric Power Company, Inc. - Common Stock $426,043 0.39% 3,114 $20,833 Up ×2
GSAT Globalstar, Inc. - Common Stock $419,700 0.38% 5,163 $58,309 Down ×2
PDO PIMCO Dynamic Income Opportunities Fund Common Shares of Beneficial Interest $406,204 0.37% 30,726 $15,194 Up ×2
CSWC Capital Southwest Corporation - Common Stock $394,068 0.36% 16,578 $-13,516 Down ×2
BLOK $389,544 0.35% 6,220 $84,563 Up ×1
CFG Citizens Financial Group, Inc. Common Stock $389,240 0.35% 5,555 $-49,314 Down ×1
BMO Bank Of Montreal Common Stock $386,090 0.35% 2,185 $90,372
RCAT Red Cat Holdings, Inc. - Common Stock $376,765 0.34% 35,377 Up ×1
APH Amphenol Corporation Common Stock $364,983 0.33% 2,070 $103,593 Up ×2
BNL Broadstone Net Lease, Inc. Common Stock $361,597 0.33% 17,494 $45,919 Up ×2
AB AllianceBernstein Holding L.P. Units $356,722 0.32% 10,128 $-14,056 Up ×2
COST Costco Wholesale Corporation - Common Stock $352,022 0.32% 376 $-61,541 Down ×2
RITM Rithm Capital Corp. Common Stock $336,562 0.31% 35,843 $-31,747 Down ×1
PRU Prudential Financial, Inc. Common Stock $332,187 0.30% 3,078 $11,316 Down ×2
GRBK Green Brick Partners, Inc. Common Stock $330,965 0.30% 4,135 Up ×1
PAVE $324,782 0.29% 5,512 $44,705
AMSC American Superconductor Corporation - Common Stock $324,152 0.29% 7,809 $53,386 Down ×2
VXUS Vanguard Total International Stock ETF $320,152 0.29% 3,745 $43,818 Up ×1
SMFG Sumitomo Mitsui Financial Group Inc Unsponsored American Depositary Shares (Japan) $313,590 0.28% 13,299 $58,933 Up ×1
CRSP CRISPR Therapeutics AG - Common Shares $292,934 0.27% 5,371 $-18,269 Down ×2
COPY $287,984 0.26% 19,551 $20,679 Up ×2
TER Teradyne, Inc. - Common Stock $281,460 0.26% 582 $28,679 Down ×1
BMY Bristol-Myers Squibb Company Common Stock $275,752 0.25% 4,786 $-8,089 Up ×1
JPM JP Morgan Chase & Co. Common Stock $269,398 0.24% 823 $-69,434 Down ×2
LAND Gladstone Land Corporation - Common Stock $261,370 0.24% 30,641 $-47,598 Up ×2
JPC Nuveen Preferred & Income Opportunities Fund $259,273 0.24% 32,903 $16,459 Up ×1
GKOS Glaukos Corporation Common Stock $258,696 0.23% 1,851 $56,511 Down ×2
LH Labcorp Holdings Inc. Common Stock $253,891 0.23% 907 $22,745 Up ×1
XLV XLV $250,761 0.23% 1,580 $12,391 Down ×2
VWO $248,814 0.23% 4,168 $29,499 Up ×1
DEM $243,596 0.22% 4,529 $23,755 Up ×1
HYG $240,111 0.22% 3,003 $4,474 Up ×1
CTRE CareTrust REIT, Inc. Common Stock $235,632 0.21% 5,840 $-60,333 Down ×2

Biggest new bets

New positions opened this quarter, largest first.

Security Value Shares % of portfolio
Unknown issuer (CUSIP: 84615Q103) $557,516 3,263 0.51%
NKE $548,839 13,370 0.50%
AMD $540,827 931 0.49%
RCAT $376,765 35,377 0.34%
GRBK $330,965 4,135 0.30%
DHI $224,874 1,381 0.20%
DIA $219,171 420 0.20%
CUBE $217,747 5,475 0.20%
SPTM $210,662 2,320 0.19%
JNJ $208,971 823 0.19%

Top movers (QoQ)

Security Action Shares Δ Value Δ
MRVL Trimmed -3K +$3.0M
MU Trimmed -2K +$2.1M
NVDA Bought more +40 +$945K
ARM Trimmed -827 +$720K
ACMR Price move only +0 +$623K
GLW Trimmed -2K +$608K
ASML Trimmed -111 +$593K
AAPL Trimmed -971 +$503K
CAT Trimmed -15 +$446K
AMAT Trimmed -82 +$396K

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
XOM June 30, 2026 12,321 $2,090,379 21.7%
CYBR March 31, 2026 2,274 $1,014,340 No longer tracked
KMI June 30, 2026 24,396 $817,985 -1.3%
OWL March 31, 2026 31,758 $474,465 26.7%
GRAL March 31, 2026 3,494 $299,051 49.1%
TOST March 31, 2026 8,160 $289,762 34.4%
RYAN March 31, 2026 5,368 $277,130 26.6%
VFC March 31, 2026 14,175 $256,292 -16.0%
DHI March 31, 2026 1,719 $247,589 8.1%
LNG June 30, 2026 799 $226,755 17.0%
RDDT June 30, 2026 1,663 $223,923 -11.7%
XLE June 30, 2026 3,652 $223,716 No longer tracked
RBRK March 31, 2026 2,915 $222,939 96.8%
ETHE March 31, 2026 8,956 $218,258 No longer tracked
ABT June 30, 2026 2,118 $217,455 26.1%
SLV June 30, 2026 3,040 $207,146 No longer tracked
TSM June 30, 2026 611 $206,487 -12.0%
DIA March 31, 2026 417 $200,258 No longer tracked
TXO March 31, 2026 10,816 $115,408 12.6%