13F

Investor

American Alpha Advisors, LLC

CIK 0002041441 · filed 2026-05-15 · SEC filing

13F book

$188.1M

Positions

91

16 new · 7 sold

Largest name

15.3%

Globalstar, Inc. · GSAT

Est. mark

$2.86M

Price effect on 75 names still held. Flow $9.79M.
NameTickerSharesValueWeightEst. markChange
Globalstar, Inc.GSAT433.3K$28.8M15.3%$2.33MHeld
Schwab Strategic Tr382.2K$11.7M6.2%$1.24MAdded$1.29M
Ishares Tr119.6K$11.6M6.2%$130.7KAdded$213.9K
Alps Etf Tr134.4K$5.6M3.0%$368.7KAdded$999.7K
Pacer Fds Tr205.1K$5.47M2.9%$409.5KAdded$1.06M
Pacer Fds Tr128.3K$5.45M2.9%$463.8KAdded$675K
Vanguard Index Fds27.6K$5.42M2.9%$131.3KAdded$600.6K
Legg Mason Etf Invt132.6K$5.37M2.9%$493.1KCut$320.3K
Pgim Etf Tr153.5K$5.32M2.8%−$124.8KAdded$105.6K
Goldman Sachs Etf Tr105.4K$5.28M2.8%−$284.6KAdded−$169.5K
Wisdomtree Tr97.5K$5.27M2.8%$217.9KAdded$748.5K
Spdr S&P 500 Etf Tr7.81K$5.08M2.7%−$246.6KCut−$380.9K
Vanguard Index Fds19.2K$5.02M2.7%$76.1KHeld
Pacer Fds Tr63.8K$3.99M2.1%$152.6KCut−$1.34M
e.l.f. Beauty, Inc.ELF58K$3.51M1.9%−$894.6KHeld
Vanguard Intl Equity Index F62.5K$3.38M1.8%$18.1KCut−$222.3K
Bny Mellon Etf Trust Ii81K$2.4M1.3%$42.2KAdded$492.2K
Advanced Micro Devices IncAMD10.2K$2.08M1.1%−$54.8KAdded$985.9K
Invesco Exchange Traded Fd T10.3K$1.97M1.0%$3.7KCut−$304.3K
Etf Ser Solutions33.1K$1.92M1.0%−$25.9KAdded$418.4K
Ishares Tr19.4K$1.68M0.9%−$8.39KAdded$122.8K
Crowdstrike Hldgs Inc4.02K$1.57M0.8%New
ServiceNow, Inc.NOW15K$1.57M0.8%−$486.4KAdded$36.4K
Centrus Energy CorpLEU8.77K$1.52M0.8%−$577.1KAdded−$503K
Alphabet Inc5.18K$1.49M0.8%−$135.2KAdded−$89.3K
Ionq Inc50K$1.44M0.8%−$802KHeld
Berkshire Hathaway Inc Del2$1.44M0.8%−$73.3KHeld
Vanguard Tax-Managed Fds21.6K$1.38M0.7%$34.8KCut−$702
First Tr Exchng Traded Fd Vi33K$1.36M0.7%−$14.4KAdded−$5.17K
Spdr Dow Jones Indl Average2.8K$1.3M0.7%−$47.6KAdded−$19.8K
Shopify Inc.SHOP10.3K$1.22M0.6%New
Uber Technologies, IncUBER16.5K$1.19M0.6%−$31.8KAdded$923K
First Tr Exchng Traded Fd Vi22.5K$1.13M0.6%−$27.6KCut−$28K
The Alger Etf Trust31.4K$978.6K0.5%−$100.9KAdded−$85.3K
Select Sector Spdr Tr21.3K$975.6K0.5%$65.8KAdded$98.3K
Vanguard World Fd4.16K$934.3K0.5%$48.1KAdded$173.6K
John Hancock Exchange Traded35K$908.6K0.5%−$7.03KHeld
Exxon Mobil Corp5.16K$874.8K0.5%$229.6KAdded$314.5K
Chevron Corp NewCVX3.69K$764.3K0.4%$187.1KAdded$241.1K
Mckesson CorpMCK806$697.5K0.4%$34.3KAdded$72.4K
Bristol-Myers Squibb Co11.3K$683.4K0.4%$73.1KAdded$95.8K
Merck & Co., Inc.MRK5.64K$678.6K0.4%$84.8KCut$41.5K
Newmont Corp6.21K$672.8K0.4%$52.2KCut$6.47K
Spdr Series Trust26K$644.8K0.3%−$3.64KHeld
Amgen IncAMGN1.81K$637.6K0.3%$42.7KAdded$68K
Boston Scientific CorpBSX10K$627.5K0.3%New
Gilead Sciences, Inc.GILD4.46K$621.6K0.3%$70.8KAdded$99.3K
Altria Group, Inc.MO9.29K$613K0.3%$72.9KAdded$108.8K
Pfizer IncPFE21.8K$612.5K0.3%$67.2KAdded$86K
At&T Inc20.9K$604.8K0.3%$75.3KAdded$154.3K
First Tr Exchng Traded Fd Vi15.8K$602.7K0.3%−$9.33KAdded$28.8K
ConocophillipsCOP4.39K$579.9K0.3%New
Disney Walt Co5.96K$573.9K0.3%−$73.3KAdded$94.5K
Diamondback Energy, Inc.FANG2.79K$552.2K0.3%$109.6KAdded$205.1K
Slb Limited/NvSLB10.6K$544.8K0.3%$137.9KCut$68.3K
Oddity Tech LtdODD40K$535.2K0.3%New
HCA Healthcare, Inc.HCA1.11K$527.2K0.3%$7.11KCut$4.77K
Target CorpTGT4.34K$526.6K0.3%$101.9KCut−$803.5K
Ford Mtr Co43.4K$501.1K0.3%−$68.6KCut−$117.9K
Verizon Communications IncVZ9.94K$498.9K0.3%New
Warner Bros. Discovery, Inc.WBD18K$494.1K0.3%−$24.5KCut−$277K
Booking Holdings Inc.BKNG116$488.4K0.3%−$107.6KAdded−$15K
General Dynamics CorpGD1.36K$467.5K0.2%$7.79KAdded$67.9K
Comcast Corp New16K$459K0.2%New
Qualcomm Inc3.38K$434.9K0.2%−$142.1KAdded−$140.2K
Airbnb, Inc.ABNB3.21K$405.7K0.2%−$27.4KAdded$11.9K
Proshares Tr6.6K$402.8K0.2%−$62.1KHeld
Marathon Pete Corp1.61K$392.4K0.2%New
Archer-Daniels-Midland CoADM5.28K$383.8K0.2%New
Occidental Pete Corp5.81K$377.9K0.2%New
Colgate Palmolive CoCL4.33K$368.7K0.2%$26.9KCut$26.5K
Accenture Plc Ireland1.85K$367.6K0.2%−$54.6KAdded$158.4K
Regeneron Pharmaceuticals, Inc.REGN468$361.6K0.2%$360Added$1.91K
Lauder Estee Cos Inc5K$358.9K0.2%New
Salesforce, Inc.CRM1.88K$351.1K0.2%−$73.7KAdded$101.6K
Apple Inc.AAPL1.36K$346.4K0.2%−$20.8KAdded$33.5K
Paccar IncPCAR2.99K$345.2K0.2%$17.9KCut−$9.25K
United Airls Hldgs Inc3.72K$342.7K0.2%−$73.5KCut−$151.9K
Adobe Inc.ADBE1.37K$332.3K0.2%−$69.7KAdded$104.1K
Microsoft CorpMSFT847$313.5K0.2%New
Cardinal Health IncCAH1.48K$312.3K0.2%New
United Parcel Service IncUPS3.06K$301.2K0.2%New
Eog Res Inc2.08K$300.4K0.2%New
Kraft Heinz CoKHC12.9K$289.6K0.2%−$15.6KAdded$74.2K
D R Horton Inc2K$274K0.1%−$12.8KAdded$3.25K
Tjx Cos Inc New1.71K$273.7K0.1%$9.16KAdded$42.7K
Applied Matls Inc724$247.5K0.1%$61.4KCut−$496.3K
Spdr Gold Tr523$225K0.1%New
Peloton Interactive, Inc.PTON30.9K$132.3K0.1%−$25KAdded$50.1K
Coty Inc.COTY25K$50.3K0.0%−$26.8KHeld
Rain Enhancement Technologie33.7K$7.04K0.0%−$1.38KHeld

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.