13F

Investor

Advisors Preferred, LLC

CIK 0001598841 · filed 2026-05-05 · SEC filing

13F book

$679M

Positions

215

78 new · 89 sold

Largest name

12.3%

Spdr S&P 500 Etf Tr

Est. mark

−$8.73M

Price effect on 137 names still held. Flow $73.5M.
NameTickerSharesValueWeightEst. markChange
Spdr S&P 500 Etf Tr128.7K$83.7M12.3%−$867.7KAdded$65.6M
Ishares Tr410.6K$33.9M5.0%New
Invesco Exch Traded Fd Tr Ii110.6K$26.3M3.9%−$1.43MAdded$1.87M
Schwab Strategic Tr784.5K$24.1M3.5%$2.17MAdded$3.64M
Ishares 0-3 Month193.3K$19.5M2.9%$48.3KCut−$95.3K
Select Sector Spdr Tr309.2K$18.9M2.8%New
Vanguard Scottsdale Fds154K$16.9M2.5%−$1.36MAdded$2.85M
Ishares Tr151.9K$14.5M2.1%−$71.1KAdded$3.82M
Bondbloxx Etf Trust278.9K$14M2.1%$12KAdded$1.99M
Vanguard Specialized Funds56K$12M1.8%−$303.1KAdded−$31.3K
Nvidia CorpNVDA66K$11.5M1.7%−$953.7KHeld
Spdr Series Trust125.2K$11.5M1.7%$70.9KAdded$4.84M
Spdr Series Trust124.5K$11.4M1.7%$27.4KCut−$115.2K
Bny Mellon Etf Trust89.6K$11.2M1.6%−$560.3KHeld
Wisdomtree Tr122.3K$10.9M1.6%$49.9KAdded$5.04M
Apple Inc.AAPL42.3K$10.7M1.6%−$692.2KAdded−$168.7K
Invesco Exch Traded Fd Tr Ii511.1K$10.7M1.6%−$97.4KAdded$8.01M
Vanguard Index Fds53.4K$10.5M1.5%$181KHeld
Catalyst Pharmaceuticals Inc381.2K$9.44M1.4%New
Goldman Sachs Etf Tr100K$8.47M1.2%−$43KAdded$5.26M
Microsoft CorpMSFT21.7K$8.05M1.2%−$2.15MAdded−$1.86M
Alphabet Inc27.8K$7.99M1.2%−$767KHeld
Spdr Series Trust100K$7.65M1.1%−$290.3KAdded$1.59M
Caterpillar IncCAT10.7K$7.61M1.1%$693.3KAdded$3.84M
Costco Whsl Corp New7.47K$7.45M1.1%$245.1KAdded$5.97M
Alps Etf Tr139.7K$7.35M1.1%New
Linde PlcLIN12.7K$6.28M0.9%New
Broadcom Inc.AVGO20K$6.18M0.9%−$468.2KAdded$1.91M
Ishares Tr67K$5.81M0.9%−$16.2KAdded$1.68M
Ishares Tr38.3K$5.58M0.8%New
Bank Hawaii Corp75.1K$5.58M0.8%$115.6KAdded$4.22M
Waste Mgmt Inc Del2.3K$5.28M0.8%$2.67MAdded$5M
Amazon Com IncAMZN25.3K$5.27M0.8%−$461.2KHeld
Ishares Tr53.2K$5.05M0.7%−$8.02KAdded$1.03M
Spdr Series Trust110.9K$5.03M0.7%New
Vaneck Etf Trust108.3K$5.03M0.7%New
Intercontinental Exchange In52.1K$4.99M0.7%−$728.9KAdded$3.17M
Range Res Corp99K$4.47M0.7%New
GE Vernova Inc.GEV5.04K$4.4M0.6%$788.7KAdded$1.63M
American Tower Corp New25.2K$4.36M0.6%New
First Horizon Corporation173.8K$3.96M0.6%New
Darling Ingredients Inc.DAR62.5K$3.86M0.6%New
Jpmorgan Chase & Co.12.5K$3.68M0.5%−$391.5KHeld
Meta Platforms, Inc.META6.3K$3.6M0.5%−$493.2KHeld
Kodiak Gas Svcs Inc60.9K$3.55M0.5%$1.26MCut−$252.5K
Walmart Inc.WMT28.2K$3.5M0.5%$324.9KHeld
Td Synnex CorpSNX20.6K$3.47M0.5%New
Brightspring Health Svcs Inc80.3K$3.42M0.5%New
Invesco Exchange Traded Fd T17.6K$3.38M0.5%−$16.6KCut−$2.17M
Amphenol Corp New26K$3.29M0.5%−$347.4KCut−$4.82M
Axalta Coating Sys Ltd118.4K$3.28M0.5%−$442.7KAdded$522.2K
Kennametal IncKMT89.9K$3.25M0.5%New
Nasdaq, Inc.NDAQ36.9K$3.13M0.5%−$434.1KCut−$1.74M
Phibro Animal Health CorpPAHC53K$2.93M0.4%New
Janus Henderson Group Plc54.6K$2.81M0.4%$183KAdded$370K
Ishares Tr13K$2.78M0.4%$19.1KCut−$14.2M
Bank America Corp55.5K$2.71M0.4%−$399.6KHeld
Smurfit Westrock PlcSW65.5K$2.61M0.4%$16.4KCut−$1.01M
Enact Hldgs Inc63.7K$2.6M0.4%New
Home Depot, Inc.HD7.8K$2.57M0.4%−$132.1KCut−$409.4K
Pimco Etf Tr27K$2.52M0.4%New
Ishares Tr49.1K$2.5M0.4%New
Williams Cos Inc34.4K$2.5M0.4%$410.4KHeld
Proshares Tr102.4K$2.48M0.4%New
Spdr Gold Tr5.71K$2.45M0.4%$182.6KCut−$241.2K
Vanguard Whitehall Fds27.7K$2.45M0.4%−$92.2KCut−$617.6K
Berkshire Hathaway Inc Del5.1K$2.44M0.4%−$90KHeld
Ha Sustainable Infra Cap Inc66.4K$2.44M0.4%$327.2KCut−$239.8K
Invesco Exch Traded Fd Tr Ii33.2K$2.43M0.4%$64.1KCut−$607.1K
Johnson & JohnsonJNJ9.5K$2.32M0.3%$352.4KHeld
Autonation, Inc.AN11.8K$2.31M0.3%New
Procter And Gamble CoPG15.7K$2.27M0.3%$32.1KAdded$555.1K
Salesforce, Inc.CRM11.9K$2.22M0.3%−$796.7KHeld
Goldman Sachs Group Inc2.6K$2.2M0.3%−$177.7KHeld
Tjx Cos Inc New13.7K$2.19M0.3%$67.2KAdded$276.3K
BlackRock, Inc.BLK2.2K$2.12M0.3%−$271.4KHeld
Vornado Rlty Tr80.9K$2.1M0.3%New
Honeywell Intl Inc9K$2.03M0.3%$271.4KCut−$18.9K
Ishares Tr34.5K$1.96M0.3%New
Morgan Stanley11.3K$1.86M0.3%−$195.8KHeld
Invesco Qqq Tr3.09K$1.78M0.3%−$110.9KCut−$1.82M
Visa Inc.V5.7K$1.72M0.3%−$252.2KCut−$520K
Privia Health Group, Inc.PRVA82.5K$1.7M0.3%New
Masco Corp27.5K$1.66M0.2%−$112.8KHeld
Amgen IncAMGN4.7K$1.65M0.2%$113.8KHeld
Netflix IncNFLX17K$1.63M0.2%$87.7KHeld
Pepsico IncPEP10.4K$1.62M0.2%$91.4KAdded$626.5K
Oracle Corp11K$1.62M0.2%−$534.6KHeld
Alcoa CorpAA24.3K$1.61M0.2%New
Seagate Technology Hldngs Pl4.01K$1.57M0.2%New
Tesla, Inc.TSLA4.2K$1.56M0.2%−$278.5KHeld
Toyota Motor Corp7.43K$1.53M0.2%−$11.5KAdded$1.32M
Thermo Fisher Scientific Inc.TMO3.1K$1.52M0.2%−$313KHeld
Gibraltar Inds Inc38.1K$1.52M0.2%New
Western Digital CorpWDC5.55K$1.5M0.2%New
Stryker CorpSYK4.3K$1.41M0.2%−$84.2KHeld
Exxon Mobil Corp8.2K$1.39M0.2%$385.5KHeld
Dxc Technology CoDXC110.6K$1.39M0.2%New
Chevron Corp NewCVX6.6K$1.37M0.2%$336.6KHeld
Genmab A/S50.7K$1.36M0.2%New
Sylvamo CorpSLVM31.6K$1.33M0.2%New
Abbott LabsABT13K$1.33M0.2%−$279.8KHeld
Capital One Finl Corp6.8K$1.24M0.2%−$445.4KHeld
Banco Santander Chile New35.3K$1.18M0.2%$44.6KAdded$547.6K
Eni S P A19.7K$1.12M0.2%$346.6KCut$292.6K
Latam Airlines Group Sa21.9K$1.08M0.2%−$20.5KAdded$863.2K
Adobe Inc.ADBE4.4K$1.07M0.2%−$397KHeld
PDD Holdings Inc.PDD10.2K$1.05M0.2%−$46.6KAdded$647.6K
Lumentum Hldgs Inc1.49K$1.04M0.2%$470.5KCut−$360.4K
Banco De Chile27.7K$1.03M0.2%−$8.56KAdded$746.8K
P T Telekomunikasi Indonesia48K$896.2K0.1%−$24.4KAdded$681.6K
Allegiant Travel CoALGT10.8K$873.9K0.1%−$46.7KAdded$284.3K
Fox Factory Hldg Corp52.4K$861.8K0.1%−$30.8KAdded$302.6K
Taiwan Semiconductor Mfg Ltd2.5K$844.5K0.1%$25.3KAdded$404.4K
Kb Finl Group Inc8.03K$800.6K0.1%$53.6KAdded$458.8K
Banco Bilbao Vizcaya Argenta35.9K$777.7K0.1%New
Concentrix CorpCNXC26.5K$725.1K0.1%New
Danaher Corporation3.8K$720.5K0.1%−$155KHeld
Cia Energetica De Minas Gera296.2K$707.9K0.1%New
Ing Groep N.V.25K$651.1K0.1%New
Grupo Aeroportuario Del Cent5.61K$644K0.1%New
Futu Hldgs Ltd4.68K$639.6K0.1%−$93.6KAdded$239.2K
Grupo Aeropuerto Del Pacific2.41K$595K0.1%New
Suzano S.A.SUZ58.7K$587.9K0.1%New
Korea Elec Pwr Corp39K$556K0.1%−$65.9KAdded$100.1K
Litman Gregory Fds Tr18.3K$552.6K0.1%$12.9KAdded$371.1K
Service Corp Intl6.58K$542.8K0.1%$19.3KAdded$262.3K
Simon Ppty Group Inc New2.89K$538.7K0.1%$3.85KAdded$261.8K
British Amern Tob Plc9.17K$536.1K0.1%New
Aflac IncAFL4.88K$535.8K0.1%−$1.38KAdded$249.2K
Sysco CorpSYY7.47K$533K0.1%−$4.99KAdded$251.8K
Ellington Financial Inc44.7K$530.1K0.1%−$37.1KAdded$252.9K
Coca Cola CoKO6.93K$527.2K0.1%$27.5KAdded$253.1K
Motorola Solutions, Inc.MSI1.21K$525.5K0.1%$39.7KAdded$240.2K
Arch Cap Group Ltd5.46K$524.6K0.1%New
Colgate Palmolive CoCL6.13K$522.5K0.1%$25.8KAdded$256.8K
Globe Life Inc3.75K$521.3K0.1%New
American Finl Group Inc Ohio4.05K$517.4K0.1%−$14KAdded$251.3K
Sei Invts Co6.57K$515.6K0.1%New
Natwest Group Plc34.5K$514.1K0.1%New
Palo Alto Networks IncPANW3.2K$513K0.1%−$61KHeld
Allegion plcALLE3.53K$512.7K0.1%New
Mastercard IncMA1.02K$510.7K0.1%−$30KAdded$244.3K
Ishares Tr1.6K$508.9K0.1%New
Mueller Inds Inc4.58K$506.9K0.1%New
Union Pac Corp2.09K$506.1K0.1%$12.8KAdded$228.5K
Ross Stores, Inc.ROST2.33K$505.4K0.1%New
Veralto CorpVLTO5.71K$504.5K0.1%−$28.1KAdded$229.6K
Federated Hermes, Inc.FHI8.82K$500.4K0.1%$21.9KAdded$236.3K
Illinois Tool Wks Inc1.91K$496.9K0.1%$12KAdded$219K
Automatic Data Processing In2.44K$495.1K0.1%−$53.2KAdded$224.6K
Cintas CorpCTAS2.92K$493.4K0.1%−$2.56MAdded−$2.32M
Telefonaktiebolaget Lm Erics43.7K$492.6K0.1%New
Annaly Capital Management In23.3K$492.5K0.1%−$21.7KAdded$209.1K
Lamar Advertising Co/NewLAMR3.85K$487.8K0.1%New
Banco Bradesco S A130.7K$477.2K0.1%$19.7KAdded$249.2K
Petroleo Brasileiro Sa Petro22.7K$471.3K0.1%$182KAdded$225.7K
Atour Lifestyle Hldgs Ltd12.4K$457.7K0.1%−$20KAdded$196.8K
Ishares Tr4.37K$444.7K0.1%$4.04KAdded$215.3K
H World Group Ltd8.51K$428.1K0.1%New
Novartis Ag2.65K$404K0.1%$8.1KAdded$325.1K
Ishares Tr6.9K$397.3K0.1%New
Grifols S A49.5K$396.9K0.1%New
Ambev Sa133.9K$390.9K0.1%New
Fidelity Covington Trust6.24K$344.8K0.1%−$6.42KAdded$141.3K
Ishares Tr1.8K$340.5K0.1%$12.1KCut−$33.2M
Hsbc Hldgs Plc3.88K$320.1K0.0%$7.91KCut−$56.9K
Itau Unibanco Hldg S A37.1K$311.2K0.0%New
Infosys LtdINFY21.9K$296K0.0%New
Invesco Exch Traded Fd Tr Ii10.7K$255.8K0.0%−$452Added$228.2K
First Tr Exchange Trad Fd Vi7.56K$255.2K0.0%New
Simplify Exchange Traded Fun8.06K$243.5K0.0%New
Fresenius Medical Care Ag10.2K$230.7K0.0%−$9.15KAdded$4.13K
Banco Santander Sa20.2K$227.5K0.0%−$15.9KCut−$278.7K
Alibaba Group Hldg Ltd1.76K$221.2K0.0%New
Mizuho Financial Group Inc27.4K$217.3K0.0%New
Ishares U S Etf Tr3.96K$201.4K0.0%−$1.1KAdded$1.04K
First Tr Exchange-Traded Fd8.02K$198.3K0.0%$23.4KAdded$56.3K
Spdr Index Shs Fds4.77K$188.4K0.0%New
Strategy Inc1.5K$187.2K0.0%−$48.5KHeld
Flexshares Tr3.34K$184.2K0.0%New
Solstice Advanced Matls Inc2.25K$171.4K0.0%$60.5KHeld
Vaneck Etf Trust2.25K$163.1K0.0%$25.4KCut−$3.13K
Legg Mason Etf Invt4.01K$162.5K0.0%$13.1KCut$12.6K
Ishares U S Etf Tr2.73K$162.5K0.0%New
Ishares Tr3.6K$156.8K0.0%New
Vaneck Etf Trust1.61K$141.7K0.0%New
Ishares Tr2.01K$130.1K0.0%New
Spdr Index Shs Fds1.53K$114.4K0.0%New
Global X Fds2.09K$101.1K0.0%$1.62KAdded$56.6K
Spdr Series Trust831$75.1K0.0%−$1.51KAdded$37.8K
First Tr Exchange Trad Fd Vi2.55K$73.2K0.0%New
Spdr Series Trust430$72.9K0.0%$451Added$36.9K
Etf Ser Solutions1.53K$64.3K0.0%−$228Added$58.6K
Spdr Series Trust349$63.5K0.0%New
Invesco Exch Traded Fd Tr Ii1.08K$60.3K0.0%New
Fidelity Covington Trust1.73K$59K0.0%New
Trust For Professional Manag1.58K$44.5K0.0%$116Added$38.8K
Wisdomtree Tr623$42.4K0.0%−$1.79KCut−$11.4K
Jefferies Finl Group Inc1K$41.3K0.0%−$22.2KHeld
Ishares Tr1.37K$39.5K0.0%New
Ishares Gold TrIAUM829$38.7K0.0%$461Added$33.1K
Ishares Tr1.84K$33.7K0.0%New
Vaneck Etf Trust76$30.7K0.0%New
Global X Fds325$29.3K0.0%$2.3KCut−$10.1K
Invesco Exchange Traded Fd T413$24.6K0.0%New
Ishares Tr291$24.2K0.0%New
Invesco Actvely Mngd Etc Fd1.35K$23.4K0.0%New
Abrdn Etfs949$23.1K0.0%New
Invesco Exchange Traded Fd T677$21.4K0.0%−$242Added$11.3K
Ishares Tr323$20.3K0.0%$899Added$16.4K
Amplify Etf Tr653$19.4K0.0%$1.08KAdded$6.31K
Global X Fds227$16.9K0.0%$1.83KCut−$88
New York Life Investments Et355$12.1K0.0%$86Added$4.49K
Ishares U S Etf Tr98$3.31K0.0%New

Positions as of Q1 2026. 13F filings arrive up to 45 days after quarter-end and omit shorts. Values are quarter-end marks, as filed. Estimated mark is the price effect on shares still held — not realized P&L or investment advice.