Portfolio value
$80.92B
Holdings count
91
91 positions reportedAccession #
0001737888-24-000002
Form 13F-HR/A91 positions sorted by value
Issuer | CUSIP | Valuev | Weight | Shares/Prin. | Discretion | Voting (Sole/Shared/None) |
|---|---|---|---|---|---|---|
SPDR S&P 500 ETF TRTR UNIT | 78462F103 | $15.85B | 19.59% | 33,349shares | SOLE | 2,844 / 0 / 30,505 |
ISHARES INCMSCI WORLD ETF | 464286392 | $6.14B | 7.59% | 46,192shares | SOLE | 0 / 0 / 46,192 |
ONEOK INC NEWCOM | 682680103 | $3.16B | 3.90% | 44,970shares | SOLE | 0 / 0 / 44,970 |
ISHARES TRIBOXX HI YD ETF | 464288513 | $2.98B | 3.69% | 38,540shares | SOLE | 0 / 0 / 38,540 |
SELECT SECTOR SPDR TRTECHNOLOGY | 81369Y803 | $2.32B | 2.87% | 12,062shares | SOLE | 240 / 0 / 11,822 |
INVESCO EXCH TRADED FD TR IINASDAQ 100 ETF | 46138G649 | $1.74B | 2.15% | 10,311shares | SOLE | 0 / 0 / 10,311 |
SPDR SER TRBLOOMBERG 1-3 MO | 78468R663 | $1.56B | 1.93% | 17,088shares | SOLE | 2,340 / 0 / 14,748 |
ISHARES TRCORE S&P500 ETF | 464287200 | $1.52B | 1.88% | 3,188shares | SOLE | 0 / 0 / 3,188 |
ISHARES TRMSCI ACWI ETF | 464288257 | $1.47B | 1.82% | 14,461shares | SOLE | 0 / 0 / 14,461 |
SELECT SECTOR SPDR TRCOMMUNICATION | 81369Y852 | $1.43B | 1.77% | 19,666shares | SOLE | 455 / 0 / 19,211 |
BERKSHIRE HATHAWAY INC DELCL B NEW | 084670702 | $1.34B | 1.66% | 3,766shares | SOLE | 0 / 0 / 3,766 |
GLOBAL X FDSADAPTIVE US | 37954Y574 | $1.26B | 1.56% | 33,979shares | SOLE | 3,553 / 0 / 30,426 |
GLOBAL X FDSGLBL X MLP ETF | 37954Y343 | $1.24B | 1.53% | 28,017shares | SOLE | 2,939 / 0 / 25,078 |
EA SERIES TRUSTUS QUAN VALUE | 02072L102 | $1.24B | 1.53% | 30,623shares | SOLE | 3,021 / 0 / 27,602 |
GRANITESHARES ETF TRNASDAQ SELECT DI | 38747R603 | $1.19B | 1.48% | 26,019shares | SOLE | 2,569 / 0 / 23,450 |
INVESCO EXCH TRADED FD TR IIKBW PPTY CASUT | 46138E586 | $1.19B | 1.47% | 13,115shares | SOLE | 1,300 / 0 / 11,815 |
BLACKROCK ETF TRUSTUS EQT FACTOR | 09290C103 | $1.18B | 1.46% | 29,886shares | SOLE | 2,947 / 0 / 26,939 |
SPDR SER TRNYSE TECH ETF | 78464A102 | $1.18B | 1.46% | 7,198shares | SOLE | 713 / 0 / 6,485 |
ETFIS SER TR IINFRAC ACT MLP | 26923G772 | $1.16B | 1.43% | 32,746shares | SOLE | 3,385 / 0 / 29,361 |
VALERO ENERGY CORPCOM | 91913Y100 | $1.14B | 1.41% | 8,806shares | SOLE | 0 / 0 / 8,806 |
PROSHARES TRPSHS ULT S&P 500 | 74347R107 | $1.08B | 1.33% | 16,565shares | SOLE | 0 / 0 / 16,565 |
LOWES COS INCCOM | 548661107 | $1.03B | 1.27% | 4,629shares | SOLE | 0 / 0 / 4,629 |
ABBVIE INCCOM | 00287Y109 | $761.21M | 0.94% | 4,912shares | SOLE | 0 / 0 / 4,912 |
WALMART INCCOM | 931142103 | $746.47M | 0.92% | 4,735shares | SOLE | 0 / 0 / 4,735 |
JOHNSON & JOHNSONCOM | 478160104 | $739.69M | 0.91% | 4,719shares | SOLE | 0 / 0 / 4,719 |
SELECT SECTOR SPDR TRENERGY | 81369Y506 | $665.51M | 0.82% | 7,938shares | SOLE | 40 / 0 / 7,898 |
ISHARES TRRUSSELL 2000 ETF | 464287655 | $650.10M | 0.80% | 3,239shares | SOLE | 0 / 0 / 3,239 |
EXXON MOBIL CORPCOM | 30231G102 | $638.04M | 0.79% | 6,382shares | SOLE | 0 / 0 / 6,382 |
SELECT SECTOR SPDR TRSBI CONS DISCR | 81369Y407 | $626.94M | 0.77% | 3,506shares | SOLE | 88 / 0 / 3,418 |
BNY MELLON ETF TRUSTHIGH YIELD BETA | 09661T800 | $611.37M | 0.76% | 12,909shares | SOLE | 0 / 0 / 12,909 |
SELECT SECTOR SPDR TRSBI HEALTHCARE | 81369Y209 | $611.33M | 0.76% | 4,483shares | SOLE | 115 / 0 / 4,368 |
CONOCOPHILLIPSCOM | 20825C104 | $600.17M | 0.74% | 5,171shares | SOLE | 0 / 0 / 5,171 |
BROADCOM INCCOM | 11135F101 | $596.08M | 0.74% | 534shares | SOLE | 0 / 0 / 534 |
FIDELITY COVINGTON TRUSTMSCI INFO TECH I | 316092808 | $575.14M | 0.71% | 4,004shares | SOLE | 0 / 0 / 4,004 |
SELECT SECTOR SPDR TRFINANCIAL | 81369Y605 | $574.51M | 0.71% | 15,280shares | SOLE | 389 / 0 / 14,891 |
HUNTINGTON INGALLS INDS INCCOM | 446413106 | $545.98M | 0.67% | 2,103shares | SOLE | 0 / 0 / 2,103 |
PHILLIPS 66COM | 718546104 | $539.22M | 0.67% | 4,050shares | SOLE | 0 / 0 / 4,050 |
AMGEN INCCOM | 031162100 | $535.41M | 0.66% | 1,859shares | SOLE | 0 / 0 / 1,859 |
VISTRA CORPCOM | 92840M102 | $523.24M | 0.65% | 13,584shares | SOLE | 0 / 0 / 13,584 |
UNIVERSAL CORP VACOM | 913456109 | $509.72M | 0.63% | 7,572shares | SOLE | 0 / 0 / 7,572 |
PEPSICO INCCOM | 713448108 | $501.83M | 0.62% | 2,955shares | SOLE | 0 / 0 / 2,955 |
CHEVRON CORP NEWCOM | 166764100 | $501.63M | 0.62% | 3,363shares | SOLE | 0 / 0 / 3,363 |
VANGUARD BD INDEX FDSTOTAL BND MRKT | 921937835 | $489.48M | 0.60% | 6,655shares | SOLE | 0 / 0 / 6,655 |
ISHARES TR1 3 YR TREAS BD | 464287457 | $471.81M | 0.58% | 5,751shares | SOLE | 0 / 0 / 5,751 |
ISHARES TRMORNINGSTAR GRWT | 464287119 | $455.93M | 0.56% | 6,723shares | SOLE | 0 / 0 / 6,723 |
ISHARES TRCORE S&P TTL STK | 464287150 | $451.73M | 0.56% | 4,293shares | SOLE | 0 / 0 / 4,293 |
CISCO SYS INCCOM | 17275R102 | $442.30M | 0.55% | 8,755shares | SOLE | 0 / 0 / 8,755 |
ISHARES TR0-5YR HI YL CP | 46434V407 | $433.06M | 0.54% | 10,257shares | SOLE | 0 / 0 / 10,257 |
KIMBERLY-CLARK CORPCOM | 494368103 | $431.56M | 0.53% | 3,552shares | SOLE | 0 / 0 / 3,552 |
EOG RES INCCOM | 26875P101 | $425.60M | 0.53% | 3,519shares | SOLE | 0 / 0 / 3,519 |
PFIZER INCCOM | 717081103 | $423.32M | 0.52% | 14,704shares | SOLE | 0 / 0 / 14,704 |
FRANKLIN TEMPLETON ETF TRSENIOR LOAN ETF | 35473P595 | $420.67M | 0.52% | 17,319shares | SOLE | 0 / 0 / 17,319 |
SPDR SER TRPORTFOLIO S&P500 | 78464A854 | $396.05M | 0.49% | 7,085shares | SOLE | 0 / 0 / 7,085 |
GENERAL DYNAMICS CORPCOM | 369550108 | $393.58M | 0.49% | 1,516shares | SOLE | 0 / 0 / 1,516 |
BOOZ ALLEN HAMILTON HLDG CORCL A | 099502106 | $391.28M | 0.48% | 3,059shares | SOLE | 0 / 0 / 3,059 |
SELECT SECTOR SPDR TRINDL | 81369Y704 | $372.51M | 0.46% | 3,268shares | SOLE | 84 / 0 / 3,184 |
VERMILION ENERGY INCCOM | 923725105 | $371.54M | 0.46% | 30,808shares | SOLE | 0 / 0 / 30,808 |
SELECT SECTOR SPDR TRSBI CONS STPLS | 81369Y308 | $364.71M | 0.45% | 5,063shares | SOLE | 132 / 0 / 4,931 |
JPMORGAN CHASE & COCOM | 46625H100 | $359.28M | 0.44% | 2,112shares | SOLE | 0 / 0 / 2,112 |
SCHWAB STRATEGIC TRUS LCAP GR ETF | 808524300 | $351.25M | 0.43% | 4,234shares | SOLE | 0 / 0 / 4,234 |
ISHARES TRRUS TP200 GR ETF | 464289438 | $347.29M | 0.43% | 1,982shares | SOLE | 0 / 0 / 1,982 |
SPDR DOW JONES INDL AVERAGEUT SER 1 | 78467X109 | $346.72M | 0.43% | 920shares | SOLE | 0 / 0 / 920 |
NEXSTAR MEDIA GROUP INCCOMMON STOCK | 65336K103 | $342.24M | 0.42% | 2,183shares | SOLE | 0 / 0 / 2,183 |
MICROSOFT CORPCOM | 594918104 | $341.53M | 0.42% | 908shares | SOLE | 0 / 0 / 908 |
ISHARES TRMSCI USA MMENTM | 46432F396 | $339.98M | 0.42% | 2,167shares | SOLE | 0 / 0 / 2,167 |
COLGATE PALMOLIVE COCOM | 194162103 | $339.48M | 0.42% | 4,259shares | SOLE | 0 / 0 / 4,259 |
BHP GROUP LTDSPONSORED ADS | 088606108 | $339.15M | 0.42% | 4,965shares | SOLE | 0 / 0 / 4,965 |
LEIDOS HOLDINGS INCCOM | 525327102 | $330.10M | 0.41% | 3,050shares | SOLE | 0 / 0 / 3,050 |
PROCTER AND GAMBLE COCOM | 742718109 | $328.09M | 0.41% | 2,239shares | SOLE | 0 / 0 / 2,239 |
INGREDION INCCOM | 457187102 | $327.64M | 0.40% | 3,019shares | SOLE | 0 / 0 / 3,019 |
RIO TINTO PLCSPONSORED ADR | 767204100 | $321.20M | 0.40% | 4,314shares | SOLE | 0 / 0 / 4,314 |
APPLE INCCOM | 037833100 | $313.04M | 0.39% | 1,626shares | SOLE | 0 / 0 / 1,626 |
DUKE ENERGY CORP NEWCOM NEW | 26441C204 | $310.90M | 0.38% | 3,204shares | SOLE | 0 / 0 / 3,204 |
LOCKHEED MARTIN CORPCOM | 539830109 | $307.96M | 0.38% | 679shares | SOLE | 0 / 0 / 679 |
CUBESMARTCOM | 229663109 | $297.20M | 0.37% | 6,412shares | SOLE | 0 / 0 / 6,412 |
AMAZON COM INCCOM | 023135106 | $296.89M | 0.37% | 1,954shares | SOLE | 0 / 0 / 1,954 |
SCHLUMBERGER LTDCOM STK | 806857108 | $296.16M | 0.37% | 5,691shares | SOLE | 0 / 0 / 5,691 |
DOMINION ENERGY INCCOM | 25746U109 | $294.11M | 0.36% | 6,258shares | SOLE | 0 / 0 / 6,258 |
INSPERITY INCCOM | 45778Q107 | $288.74M | 0.36% | 2,463shares | SOLE | 0 / 0 / 2,463 |
ISHARES TRCORE TOTAL USD | 46434V613 | $284.98M | 0.35% | 6,186shares | SOLE | 0 / 0 / 6,186 |
UNITED PARCEL SERVICE INCCL B | 911312106 | $283.41M | 0.35% | 1,803shares | SOLE | 0 / 0 / 1,803 |
NVIDIA CORPORATIONCOM | 67066G104 | $261.30M | 0.32% | 528shares | SOLE | 0 / 0 / 528 |
INVESCO EXCH TRADED FD TR IIS&P ULTRA DIVIDE | 46138G656 | $253.55M | 0.31% | 5,802shares | SOLE | 0 / 0 / 5,802 |
BWX TECHNOLOGIES INCCOM | 05605H100 | $249.90M | 0.31% | 3,257shares | SOLE | 0 / 0 / 3,257 |
MSC INDL DIRECT INCCL A | 553530106 | $233.81M | 0.29% | 2,309shares | SOLE | 0 / 0 / 2,309 |
KINDER MORGAN INC DELCOM | 49456B101 | $230.93M | 0.29% | 13,091shares | SOLE | 0 / 0 / 13,091 |
INVESCO EXCHANGE TRADED FD TS&P500 EQL WGT | 46137V357 | $230.25M | 0.28% | 1,459shares | SOLE | 146 / 0 / 1,313 |
CVS HEALTH CORPCOM | 126650100 | $221.64M | 0.27% | 2,807shares | SOLE | 0 / 0 / 2,807 |
SOUTHERN COCOM | 842587107 | $219.34M | 0.27% | 3,128shares | SOLE | 0 / 0 / 3,128 |
MCDONALDS CORPCOM | 580135101 | $218.14M | 0.27% | 736shares | SOLE | 0 / 0 / 736 |
CARNIVAL CORPUNIT 99/99/9999 | 143658300 | $202.87M | 0.25% | 10,942shares | SOLE | 0 / 0 / 10,942 |
Form type
13F-HR/A
Filing date
Jan 19, 2024
Holdings as of
December 31, 2023
Accession
0001737888-24-000002
CIK
0001737888
Total Portfolio Value
$80.92B
Number of Positions
91
91 reported by filer
Top 10 Concentration
47.2%
Top 20 Concentration
62.2%
Unique Issuers
91
By CUSIP
Avg. Position Size
$889.25M
Across 91 holdings