Alternative Investment Advisors, LLC.

CIK 2009486 · Visualizza su SEC EDGAR ↗

Valore del portafoglio
$229.2M
#6.006 di 9.443 per valore 13F · top 63.6%
Posizioni
76
Aggiornato al
31 Marzo 2026 Dati aggiornati al Q1 2026

Valore portafoglio QoQ: +4.2% Il 13F non rivela la liquidità

Peso dei primi 10 titoli
80,41%
Peso dei primi 25 titoli
92,65%
Posizioni superiori all'1%
14
Numero effettivo di posizioni
3,0

Basato solo su partecipazioni azionarie long 13F (liquidità, obbligazioni, short non divulgati)

Rotazione Q1 2026: 2,38% Acquisti stimati $24.330.975 · vendite $5.349.883

Nuove posizioni
26
Aumentato
26
Diminuito
22
Chiuso
0
Su questa pagina

Suddivisione settoriale

Technology
7,2%
Energy
1,9%
Financials
1,5%
Materials
1,4%
Retail
1,3%
Communication Services
1,2%
Industrials
0,5%
Utilities
0,4%
Consumer Discretionary
0,1%
Telecommunication
0,1%
Financial Services
0,1%
Health Care
0,1%
Communications
0,0%
Altro/Non mappato
84,0%

Portafoglio completo 76 posizioni

Tipo Sequenza Tendenza 8 trim.
IVV $130.963.425 57,13% 200.489 $-5.224.895
BINC $8.575.855 3,74% 165.140 $1.050.520
DYNF $8.446.603 3,68% 145.179 $572.370
OEF $7.076.577 3,09% 22.247 $-664.859
MBB iShares MBS ETF $6.273.532 2,74% 66.069 $-625.996
FNDE $5.996.337 2,62% 156.726 Su ×1
EMB iShares J.P. Morgan USD Emerging Markets Bond ETF $5.586.924 2,44% 59.476 $214.036
LRCX Lam Research Corporation - Common Stock $3.884.245 1,69% 18.176 $1.164.838
NVDA NVIDIA Corporation - Common Stock $3.771.969 1,65% 21.625 $-177.790
VMBS Vanguard Mortgage-Backed Securities ETF $3.734.783 1,63% 79.545 $728.056
IUSB iShares Core Universal USD Bond ETF $3.024.472 1,32% 65.476 $-360.748
PLMR Palomar Holdings, Inc. - Common stock $2.838.485 1,24% 23.753 $-48.044
KMI Kinder Morgan, Inc. Common Stock $2.724.223 1,19% 81.246 Su ×1
IBM International Business Machines Corporation Common Stock $2.627.038 1,15% 10.835 $-435.920
AMZN Amazon.com, Inc. - Common Stock $2.122.896 0,93% 10.193 $504.007
APPF AppFolio, Inc. - Class A Common Stock $1.985.851 0,87% 12.583 Su ×1
AAPL Apple Inc. - Common Stock $1.744.553 0,76% 6.872 $217.836
GOOGL Alphabet Inc. - Class A Common Stock $1.715.091 0,75% 5.962 $287.514
IGV $1.694.098 0,74% 21.163 Su ×1
SCHR $1.684.981 0,74% 67.640 $-506.066
AVGO Broadcom Inc. - Common Stock $1.566.808 0,68% 5.059 $-155.239
NEM Newmont Corporation $1.184.100 0,52% 3.200 Opzione Call Su ×1
OKE ONEOK, Inc. Common Stock $1.174.502 0,51% 12.993 $251.480
GLD $1.010.322 0,44% 2.348 $-61.065
MSFT Microsoft Corporation - Common Stock $972.814 0,42% 2.625 $-332.264
SCHX $936.623 0,41% 36.527 $-109.828
BRKB $870.706 0,38% 1.817 $164.357
B Barrick Mining Corporation Common Shares $796.060 0,35% 4.500 Opzione Call Su ×1
GLD $731.493 0,32% 1.700 Opzione Call Su ×1
SPY SPY $720.843 0,31% 1.106 $-350.030
SLV $708.179 0,31% 10.393 $263.845
DE Deere & Company Common Stock $686.757 0,30% 1.218 $358.059
SPXL $562.935 0,25% 3.044 $277.266
KGC Kinross Gold Corporation Common Stock $534.100 0,23% 17.500 Opzione Call Su ×1
QQQ Invesco QQQ Trust, Series 1 $533.138 0,23% 922 $97.951
WMT Walmart Inc. - Common Stock $516.114 0,23% 4.151 $102.076
SHY iShares 1-3 Year Treasury Bond ETF $440.217 0,19% 5.329 $-87.637
GOOG Alphabet Inc. - Class C Capital Stock $439.453 0,19% 1.531 $80.966
CAT Caterpillar, Inc. Common Stock $421.680 0,18% 594 $152.293
OTTR Otter Tail Corporation - Common Stock $418.561 0,18% 4.768 $32.585
WFC Wells Fargo & Company Common Stock $411.606 0,18% 5.169 $19.867
SSO $398.016 0,17% 7.671 $-2.857
IWV $397.467 0,17% 1.072 $-6.909
DIA $375.744 0,16% 811 Su ×1
ED Consolidated Edison, Inc. Common Stock $310.907 0,14% 2.746 Su ×1
PAAS Pan American Silver Corp. Common Stock $300.465 0,13% 5.500 Opzione Call Su ×1
NFLX Netflix, Inc. - Common Stock $296.431 0,13% 3.083 $-102.809
TSLA Tesla, Inc. - Common Stock $289.687 0,13% 779 $-69.201
JPM JP Morgan Chase & Co. Common Stock $285.052 0,12% 968 Su ×1
T AT&T Inc. $283.509 0,12% 9.777 $-13.920
CVX Chevron Corporation Common Stock $276.582 0,12% 1.335 $16.511
META Meta Platforms, Inc. - Class A Common Stock $271.968 0,12% 474 $55.546
TQQQ ProShares UltraPro QQQ $256.325 0,11% 6.149 $-146.297
VOO $242.793 0,11% 405 Su ×1
SCHD $226.799 0,10% 7.391 Su ×1
V Visa Inc. $225.477 0,10% 744 $-37.903
GVI $224.296 0,10% 2.102 Su ×1
VTI $223.211 0,10% 694 $17.080
PHYS $214.943 0,09% 6.065 Su ×1
DUK Duke Energy Corporation (Holding Company) Common Stock $212.217 0,09% 1.620 $-76.014
DOCS Doximity, Inc. Class A Common Stock $210.749 0,09% 9.045 $-496.319
HD Home Depot, Inc. (The) Common Stock $210.336 0,09% 638 $-14.125
EMHY $209.943 0,09% 5.329 $-7.316
COST Costco Wholesale Corporation - Common Stock $200.523 0,09% 200 Su ×1
GEVO Gevo, Inc. - Common Stock $200.185 0,09% 73.328 $56.462
SLV $190.792 0,08% 2.800 Opzione Call Su ×1
AEM Agnico Eagle Mines Limited Common Stock $182.682 0,08% 900 Opzione Call Su ×1
NEM Newmont Corporation $87.399 0,04% 806 Su ×1
NOK Nokia Corporation Sponsored American Depositary Shares $80.400 0,04% 10.000 $22.521
PAAS Pan American Silver Corp. Common Stock $65.556 0,03% 1.200 Su ×1
KGC Kinross Gold Corporation Common Stock $61.040 0,03% 2.000 Su ×1
GERN Geron Corporation - Common Stock $58.524 0,03% 39.278 $4.713
AEM Agnico Eagle Mines Limited Common Stock $22.531 0,01% 111 Su ×1
B Barrick Mining Corporation Common Shares $12.074 0,01% 296 Su ×1
DVLT Datavault AI Inc. - Common Stock $6.616 0,00% 10.700 Su ×1
GERN Geron Corporation - Common Stock $1.490 0,00% 1.000 Opzione Call Su ×1

Le maggiori nuove scommesse

Nuove posizioni aperte questo trimestre, dalla più grande.

Titolo Valore Azioni % del portafoglio
FNDE $5.996.337 156.726 2,62%
KMI $2.724.223 81.246 1,19%
APPF $1.985.851 12.583 0,87%
IGV $1.694.098 21.163 0,74%
NEM $1.184.100 3.200 0,52%
B $796.060 4.500 0,35%
GLD $731.493 1.700 0,32%
KGC $534.100 17.500 0,23%
DIA $375.744 811 0,16%
ED $310.907 2.746 0,14%
PAAS $300.465 5.500 0,13%
JPM $285.052 968 0,12%
VOO $242.793 405 0,11%
SCHD $226.799 7.391 0,10%
GVI $224.296 2.102 0,10%

Principali variazioni (QoQ)

Titolo Movimento Azioni Δ Valore Δ
IVV Ridotto -3K -$5.2M
LRCX Ridotto -2K +$1.2M
BINC Acquistato di più +24K +$1.1M
VMBS Acquistato di più +16K +$728K
OEF Ridotto -1K -$665K
MBB Ridotto -6K -$626K
DYNF Acquistato di più +12K +$572K
SCHR Ridotto -20K -$506K
AMZN Acquistato di più +3K +$504K
DOCS Ridotto -621 -$496K