13F

Investor

AIRE ADVISORS, LLC

CIK 0001908177 · filed 2026-05-06 · SEC filing

13F book

$546.6M

Positions

167

21 new · 8 sold

Largest name

7.8%

Apple Inc. · AAPL

Est. mark

−$7.68M

Price effect on 146 names still held. Flow $7.43M.
NameTickerSharesValueWeightEst. markChange
Apple Inc.AAPL169K$42.9M7.8%−$3.05MCut−$3.4M
Vanguard Growth Etf74.4K$32.5M5.9%−$3.76MAdded−$3.37M
Vanguard Index Fds127.8K$23.6M4.3%$875.9KAdded$1.07M
Vanguard Index Fds88.4K$22.8M4.2%−$1.9MAdded−$1.55M
Spdr Series Trust227.7K$22M4.0%$549.2KAdded$706.2K
American Centy Etf Tr265.5K$21.4M3.9%$1.27MAdded$1.58M
Dimensional Etf Trust593.6K$21.1M3.9%$627.9KAdded$869.8K
Rbb Fund Trust333.5K$19.3M3.5%$426.2KCut$379.2K
American Centy Etf Tr154.8K$17.1M3.1%$1.31MAdded$1.4M
Dimensional Etf Trust457.3K$15.4M2.8%$331.1KAdded$456.7K
American Centy Etf Tr186.6K$15M2.8%$661.2KAdded$729.5K
Comcast Corp New494.5K$14.2M2.6%−$583.4KAdded−$580.5K
Dimensional Etf Trust188.2K$13.4M2.4%$269.6KAdded$526K
Ishares Tr126.7K$12.9M2.4%$410.5KAdded$608.9K
Vanguard Index Fds61.5K$12.1M2.2%$320.5KCut$79.9K
J P Morgan Exchange Traded F146.4K$9.36M1.7%−$358.3KAdded−$91.6K
Spdr Index Shs Fds184.4K$8.42M1.5%$228.6KCut$190.4K
Nvidia CorpNVDA45.7K$7.96M1.5%−$552.5KCut−$837.7K
Berkshire Hathaway Inc Del10$7.18M1.3%−$366.6KHeld
Dbx Etf Tr314.1K$7.1M1.3%−$190.6KAdded−$104.8K
Global X Fds349K$6.42M1.2%−$169.8KAdded$124.2K
Spdr Series Trust67.1K$6.35M1.2%$242.2KCut$229.8K
Franklin Templeton Etf Tr265.9K$6.12M1.1%−$109.1KAdded$32.1K
State Srt Spdr Prtfl Hgh260.4K$6.07M1.1%−$89.4KAdded$24.2K
Texas Roadhouse, Inc.TXRH35K$5.78M1.1%−$30.1KCut−$694.1K
Amazon Com IncAMZN25.3K$5.26M1.0%−$556.5KAdded−$437K
Berkshire Hathaway Inc Del10.8K$5.17M0.9%−$253KCut−$568.1K
Amgen IncAMGN13.9K$4.9M0.9%$340.6KAdded$353.6K
Tesla, Inc.TSLA13K$4.84M0.9%−$1MAdded−$936.1K
Ishares Tr93.5K$4.79M0.9%−$48.9KAdded$107.7K
At&T Inc148.9K$4.32M0.8%$617.4KAdded$622.4K
Costco Whsl Corp New4.28K$4.26M0.8%$572.9KCut$277.1K
Meta Platforms, Inc.META7.34K$4.2M0.8%−$642KAdded−$619.1K
Microsoft CorpMSFT11.2K$4.13M0.8%−$1.22MAdded−$1.06M
Schwab Strategic Tr165.1K$4.09M0.7%$117.2KCut$110.8K
Alphabet Inc13.7K$3.95M0.7%−$340.5KAdded−$235K
American Centy Etf Tr38.9K$3.89M0.7%$229.4KCut$208.8K
Jpmorgan Chase & Co.13K$3.81M0.7%−$354.1KAdded−$255.3K
Schwab Strategic Tr119.9K$3.49M0.6%−$418.6KCut−$436.6K
Ishares Tr40.5K$3.43M0.6%$99.2KCut$94.5K
Vanguard Index Fds11.1K$3.35M0.6%$1.43KAdded$75.2K
American Centy Etf Tr37.5K$3.18M0.6%$94.6KAdded$95.1K
American Centy Etf Tr50.6K$3.15M0.6%$180.3KCut$133.1K
Expedia Group, Inc.EXPE13.2K$3.05M0.6%−$691.4KAdded−$687.4K
Schwab Strategic Tr62.2K$2.91M0.5%$75.2KCut$68.5K
Alphabet Inc9.93K$2.85M0.5%−$267.6KCut−$844K
Chevron Corp NewCVX12.3K$2.54M0.5%$651.9KAdded$717.3K
Innovator Etfs Trust73.7K$2.54M0.5%−$64.7KCut−$141.8K
Ishares Tr31.2K$2.46M0.4%−$33.4KCut−$49.1K
Warner Bros. Discovery, Inc.WBD88.2K$2.42M0.4%−$119.9KCut−$152.5K
Ishares Tr26.7K$2.09M0.4%$23.5KCut$21.7K
Spdr S&P 500 Etf Tr3.22K$2.09M0.4%−$93.2KAdded$76.5K
Dimensional Etf Trust58.6K$2.05M0.4%$125.9KCut$118.3K
Caterpillar IncCAT2.88K$2.04M0.4%$388.9KAdded$396K
Aon plcAON6.27K$2.02M0.4%−$188.6KAdded−$183.4K
Dimensional Etf Trust54.3K$1.94M0.4%$81.5KCut$55.1K
Vanguard Intl Equity Index F34K$1.84M0.3%$9.91KCut$338
Johnson & JohnsonJNJ7.26K$1.77M0.3%$272.3KCut$81.9K
Siriusxm Holdings Inc75.4K$1.74M0.3%$232.6KHeld
Ionq Inc60K$1.73M0.3%−$962.4KHeld
Exxon Mobil Corp9.51K$1.61M0.3%$410.2KAdded$611.9K
Eli Lilly & CoLLY1.71K$1.58M0.3%−$262.1KAdded−$242.8K
Liberty Broadband Corp30.8K$1.55M0.3%$50.8KAdded$96.1K
Coca Cola CoKO16.8K$1.28M0.2%$102.7KAdded$110.7K
Ishares 0-3 Month12.6K$1.27M0.2%$3.53KHeld
Vanguard Intl Equity Index F28.4K$1.26M0.2%−$39.5KCut−$48.6K
Visa Inc.V4.16K$1.26M0.2%−$195.2KAdded−$153.5K
Us Bancorp Del23.9K$1.24M0.2%−$32.3KAdded−$30.4K
Invesco Qqq Tr2.07K$1.2M0.2%−$76.1KAdded−$60.6K
Vanguard Index Fds4.03K$1.16M0.2%−$12.2KAdded−$11K
Ishares Tr11.3K$1.13M0.2%−$56.7KHeld
Vanguard Index Fds3.5K$1.12M0.2%−$50.3KAdded−$47.1K
Mcdonalds CorpMCD3.47K$1.08M0.2%$17.7KAdded$23.3K
Vanguard Index Fds4.78K$1.04M0.2%$24.6KAdded$78.5K
Crowdstrike Hldgs Inc2.65K$1.03M0.2%−$164.3KAdded$51.6K
Forgent Power Solutions, Inc.FPS35K$1.02M0.2%New
Bank America Corp20.2K$985.8K0.2%−$126.4KCut−$129.1K
Liberty Live Holdings Inc10.5K$985.7K0.2%$114.7KCut$113.4K
Spdr Index Shs Fds20.8K$976K0.2%$2.08KHeld
Home Depot, Inc.HD2.79K$917.8K0.2%−$42.4KCut−$66.5K
Ge Aerospace3.18K$901.9K0.2%−$76.7KAdded−$71.6K
Uber Technologies, IncUBER11.9K$857.8K0.2%−$116.6KCut−$280.6K
Liberty Media Corp Del9.55K$812.4K0.1%−$128.9KCut−$133K
Dimensional Etf Trust23.5K$796.3K0.1%$30.3KCut$23.3K
Netflix IncNFLX8.04K$773K0.1%$18KAdded$67K
Palo Alto Networks IncPANW4.82K$772.9K0.1%−$86.7KAdded$103.9K
GE Vernova Inc.GEV844$737.1K0.1%$183.8KAdded$189.9K
Spdr Gold Tr1.71K$734.9K0.1%$56.7KAdded$73.5K
Versant Media Group, Inc.VSNT19.8K$732K0.1%New
Ishares Tr23.7K$720K0.1%−$15.2KAdded−$13.2K
Schwab Strategic Tr22.6K$689.9K0.1%$20.1KCut−$10.8K
Liberty Global Ltd57K$668.6K0.1%$39.3KHeld
Ishares Tr4.56K$650K0.1%New
Targa Res Corp2.54K$636.6K0.1%$168KAdded$168.7K
Ishares Tr4.83K$619K0.1%−$42.7KAdded−$42.6K
Ishares Tr2.73K$583K0.1%$8.95KAdded$9.37K
International Business Machs2.4K$581.7K0.1%−$125.7KAdded−$109.7K
Schwab Strategic Tr20K$581.6K0.1%$12KHeld
Broadcom Inc.AVGO1.88K$580.7K0.1%−$38KAdded$221K
Vertiv Holdings CoVRT2.17K$543.7K0.1%$178.8KAdded$216.4K
Walmart Inc.WMT4.26K$529.9K0.1%$50.5KAdded$93K
Ishares Tr1.16K$494K0.1%−$54.3KHeld
Disney Walt Co5.12K$493.4K0.1%−$88.9KAdded−$88.2K
Boeing Co2.43K$483.4K0.1%−$36KAdded$51.6K
Goldman Sachs Group Inc550$464.9K0.1%New
Oracle Corp3.1K$455.3K0.1%−$145.8KAdded−$139K
Service Corp Intl5.5K$453.8K0.1%$25KHeld
American Express CoAXP1.49K$451.4K0.1%−$99.9KAdded−$96.2K
Vanguard Intl Equity Index F3.01K$439.1K0.1%$7.41KHeld
Goldman Sachs Etf Tr3.5K$438K0.1%−$25.3KHeld
Liberty Live Holdings Inc4.71K$432.1K0.1%$47.8KHeld
Palantir Technologies Inc.PLTR2.86K$418.1K0.1%−$68.6KAdded$30.4K
AbbVie Inc.ABBV1.92K$417.2K0.1%−$19.9KAdded$2.48K
Qualcomm Inc3.18K$410K0.1%−$134.2KAdded−$132.9K
Vaneck Etf Trust2.97K$396.1K0.1%$26.4KAdded$32.6K
L3harris Technologies Inc1.14K$393.4K0.1%New
Taiwan Semiconductor Mfg Ltd1.16K$393.4K0.1%$36.8KAdded$64.9K
Goldman Sachs Etf Tr5.25K$391.1K0.1%−$5.41KAdded$12.9K
Eaton Corp PlcETN1.09K$389.9K0.1%$42.7KCut$282
Spdr Series Trust2.6K$379.4K0.1%$17.6KHeld
Franklin Templeton Etf Tr15.1K$375.3K0.1%New
Iron Mtn Inc Del3.64K$372K0.1%$68.9KAdded$74K
Cisco Sys Inc4.74K$368.1K0.1%$2.43KAdded$26.6K
Proshares Tr6K$366.2K0.1%−$56.5KHeld
Merck & Co., Inc.MRK3.04K$365.6K0.1%$44.4KAdded$54.4K
Liberty Media Corp Del4.52K$353.2K0.1%−$51.1KHeld
Parker-Hannifin CorpPH393$351.5K0.1%$5.6KAdded$30.6K
Lockheed Martin CorpLMT564$341.1K0.1%$66.5KAdded$74.4K
Vanguard World Fd1.25K$340.8K0.1%−$19.3KAdded−$18.5K
Ishares Tr13.1K$329.1K0.1%$2.6KAdded$2.78K
Ciena CorpCIEN841$326.5K0.1%New
Ishares Tr2.19K$319K0.1%$10.2KAdded$10.4K
Unitedhealth Group IncUNH1.12K$302.4K0.1%−$66.5KCut−$141.4K
Schwab Strategic Tr11.7K$301.6K0.1%New
Ishares Tr3K$297.3K0.1%New
Atlanta Braves Hldgs Inc6.72K$286.9K0.1%$21.8KCut$21.6K
Spdr Series Trust9.85K$286K0.1%−$3.05KAdded−$2.42K
Quanta Svcs Inc511$280.6K0.1%New
Ishares Tr3.21K$268.1K0.0%$3.5KHeld
Vanguard Index Fds444$265K0.0%−$12.2KAdded$6.32K
Mp Materials Corp5.38K$259.6K0.0%−$12.1KAdded−$12K
Blackstone Inc.BX2.24K$258.1K0.0%−$86.9KAdded−$84.1K
Vanguard Tax-Managed Fds3.93K$252.1K0.0%New
Columbia Etf Tr I6.4K$249.4K0.0%New
Liberty Global Ltd20.6K$249K0.0%$19.6KCut$17.9K
Paccar IncPCAR2.12K$245K0.0%$12.6KAdded$14.1K
Intel CorpINTC5.33K$235K0.0%$38.5KCut−$49.9K
Gci Liberty Inc5.97K$222.3K0.0%$0Held
Ishares Tr6K$221K0.0%−$3.31KAdded−$839
Ishares Tr1.95K$220.8K0.0%−$19.8KHeld
UBS Group AGUBS5.65K$220.6K0.0%−$40.7KAdded−$39.5K
Nushares Etf Tr5.35K$219.6K0.0%−$35.6KHeld
Heico Corp New800$219.4K0.0%−$39.5KCut−$42.4K
J P Morgan Exchange Traded F3.94K$219K0.0%New
Ishares Tr3.93K$217K0.0%−$9.34KAdded−$8.9K
Pepsico IncPEP1.36K$211.1K0.0%New
Ishares Tr2.69K$203.1K0.0%$781Held
Voyager Technologies Inc8.67K$202.7K0.0%−$23.8KCut−$30.3K
Wisdomtree Tr3.78K$202K0.0%New
Sei Exchange Traded Funds4.81K$200.1K0.0%New
Rivian Automotive Inc10.2K$152.8K0.0%−$47.3KCut−$59.1K
Kkr Real Estate Fin Tr Inc21.6K$131.9K0.0%New
Western Un Co12.4K$108K0.0%New
Angi Inc.ANGI14.5K$99K0.0%New
Octave Specialty Group IncOSG13.4K$62.5K0.0%New
Snap IncSNAP11.5K$53K0.0%New
Presidio Ppty Tr Inc13.1K$2600.0%−$132Held

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.