13F

Investor

apricus wealth, LLC

CIK 0001913842 · filed 2026-04-22 · SEC filing

13F book

$205.2M

Positions

120

8 new · 9 sold

Largest name

3.5%

Chevron Corp New · CVX

Est. mark

$13.1M

Price effect on 112 names still held. Flow −$3.67M.
NameTickerSharesValueWeightEst. markChange
Chevron Corp NewCVX34.5K$7.15M3.5%$1.88MCut$1.77M
Bunge Global SaBG50.3K$6.4M3.1%$1.92MCut$1.72M
State Str Corp39.2K$4.96M2.4%−$96KCut−$583.6K
Merck & Co., Inc.MRK40.9K$4.92M2.4%$614.1KCut−$1.57M
Johnson & JohnsonJNJ19.6K$4.79M2.3%$734.1KCut$547.3K
Archer-Daniels-Midland CoADM64.1K$4.66M2.3%$973.7KCut$858.7K
Citigroup Inc41K$4.65M2.3%−$134.4KCut−$659.6K
AbbVie Inc.ABBV20.9K$4.55M2.2%−$226.7KAdded−$162.5K
EXPAND ENERGY CorpEXE40.5K$4.45M2.2%−$22.6KAdded$154.7K
Slb Limited/NvSLB86.5K$4.44M2.2%$1.1MAdded$1.19M
Amgen IncAMGN12.5K$4.38M2.1%$305.6KCut$186.2K
Oneok Inc /New/OKE47.8K$4.32M2.1%$798.1KAdded$850K
Coterra Energy Inc121.2K$4.26M2.1%$1.07MCut$1.05M
Kimberly Clark CorpKMB42.9K$4.14M2.0%−$120.8KAdded$1.38M
Cisco Sys Inc53.2K$4.13M2.0%$29.8KCut−$169.7K
Nucor CorpNUE24.3K$4.11M2.0%$145.3KAdded$153.8K
Tyson Foods, Inc.TSN63.1K$4.04M2.0%$341.7KAdded$367.3K
Kroger CoKR54.6K$3.95M1.9%$526.1KAdded$627.7K
Newmont Corp35.9K$3.89M1.9%$301.6KCut−$28.4K
Bank America Corp78.7K$3.84M1.9%−$491.8KCut−$574.6K
Kinder Morgan Inc Del114.2K$3.83M1.9%$683.6KAdded$719K
Apple Inc.AAPL14.8K$3.74M1.8%−$266.5KCut−$317.4K
Novartis Ag24.4K$3.73M1.8%$363.4KCut$328.9K
Tc Energy Corp57.5K$3.6M1.8%$436.5KCut$368.8K
Chubb Limited11K$3.58M1.7%$151.5KCut$103.1K
Toyota Motor Corp17.3K$3.57M1.7%−$134.1KAdded−$29K
Pfizer IncPFE124.3K$3.49M1.7%$380.6KAdded$509.3K
Kt CorpKT157.7K$3.38M1.6%$391.2KCut−$297.6K
Airbnb, Inc.ABNB26K$3.28M1.6%−$245KCut−$246.4K
Wec Energy Group, Inc.WEC28K$3.24M1.6%$286KAdded$317.8K
Southern Co33.4K$3.22M1.6%$301.4KAdded$401.3K
Pnc Finl Svcs Group Inc15.5K$3.22M1.6%−$9.91KCut−$162.3K
Shell Plc34K$3.16M1.5%$656.1KAdded$694.9K
Barrick Mng Corp75.2K$3.07M1.5%−$207.6KCut−$397.1K
Unilever Plc52.2K$2.97M1.4%−$440.1KCut−$446.4K
Duke Energy Corp New22.2K$2.91M1.4%$305.3KCut$289.5K
Unum Group38.4K$2.81M1.4%−$164.8KAdded−$52K
Lyondellbasell Industries N34.5K$2.78M1.4%$1.21MAdded$1.37M
Cigna GroupCI10.2K$2.72M1.3%−$80.6KAdded$103.5K
Smucker J M Co26.1K$2.51M1.2%−$35.7KCut−$58.2K
Verizon Communications IncVZ48.8K$2.45M1.2%$461.8KCut$455.7K
Comcast Corp New76.1K$2.19M1.1%−$89KAdded−$68.5K
Owens Corning New20.1K$2.17M1.1%−$61.2KAdded$319.2K
Alphabet Inc6.84K$1.96M1.0%−$184.4KCut−$378.9K
Microsoft CorpMSFT5.09K$1.88M0.9%−$568KAdded−$538.4K
Mimedx Group, Inc.MDXG451.9K$1.79M0.9%−$1.27MHeld
Exxon Mobil Corp10.4K$1.77M0.9%$506.5KAdded$533.6K
Enbridge Inc28.9K$1.57M0.8%$169.7KAdded$279.6K
Constellation Energy CorpCEG4.28K$1.19M0.6%−$316.6KHeld
Berkshire Hathaway Inc Del2.33K$1.12M0.5%−$54.7KCut−$65.7K
Essential Utils Inc26.3K$1.06M0.5%$50.2KHeld
At&T Inc35.4K$1.03M0.5%$147KCut$137K
Caterpillar IncCAT1.39K$987.6K0.5%$189KHeld
Jpmorgan Chase & Co.3.28K$964.3K0.5%−$92KCut−$145.1K
Honeywell Intl Inc3.85K$870.9K0.4%$119.2KCut$114.7K
Corning Inc6.15K$836.2K0.4%$297.7KCut$286.9K
Hess Midstream LpHESM21.5K$835.7K0.4%$92.9KAdded$102.6K
Pepsico IncPEP5.13K$797.1K0.4%$60.4KCut$56.8K
Vanguard Index Fds3.91K$767.5K0.4%$19.6KAdded$49K
Amazon Com IncAMZN3.58K$745.2K0.4%−$80.2KAdded−$76.1K
Stryker CorpSYK2.25K$739.3K0.4%−$50.9KAdded−$42.3K
Palantir Technologies Inc.PLTR5.05K$738.7K0.4%−$158.9KHeld
Vanguard Tax-Managed Fds11.2K$715.6K0.3%$18KCut−$30.9K
Alphabet Inc2.36K$679.2K0.3%−$60.1KCut−$138.3K
Ishares Tr5.11K$677.6K0.3%$4.65KHeld
Abbott LabsABT5.76K$591.8K0.3%−$130.4KHeld
Hershey CoHSY2.72K$565.7K0.3%$70.3KAdded$72.1K
Fedex CorpFDX1.53K$545K0.3%$103KCut$95.8K
Coca Cola CoKO7.08K$538.5K0.3%$42.8KAdded$51.4K
Sprott Asset Management Lp14.5K$513.9K0.3%$35.1KCut−$30.9K
South Bow CorpSOBO15.2K$505.8K0.2%$85.3KAdded$105.3K
Cboe Global Mkts Inc1.75K$492.7K0.2%$52.7KCut$46.4K
Vanguard World Fd673$469.6K0.2%−$37.7KCut−$58.1K
Norfolk Southn Corp1.62K$464.1K0.2%−$2.6KAdded$28.1K
Standex Intl Corp1.76K$448.6K0.2%$66.1KCut$34.9K
Vanguard Index Fds1.4K$447.5K0.2%−$20.2KCut−$67.1K
Mastercard IncMA891$445.2K0.2%−$63.5KCut−$86.3K
Thermo Fisher Scientific Inc.TMO900$442.4K0.2%−$79.1KCut−$102.3K
American Elec Pwr Co Inc3.14K$411.2K0.2%$49.5KHeld
Ametek Inc/AME1.87K$400.9K0.2%$16.9KCut$6.66K
Prudential Finl Inc3.96K$387.2K0.2%−$60.2KCut−$127.9K
Johnson Ctls Intl Plc2.95K$385.8K0.2%$33KHeld
Hubbell IncHUBB750$368.1K0.2%$35KCut$12.8K
Ishares Inc5.28K$367.9K0.2%$12.9KAdded$25.1K
Caci Intl Inc653$355.1K0.2%$7.22KCut−$70K
Phillips 66PSX1.9K$346.1K0.2%$101KCut$88.1K
STERIS plcSTE1.51K$332.9K0.2%−$47KAdded−$35.3K
Schwab Strategic Tr10.8K$330.4K0.2%$34.9KAdded$35.9K
Relmada Therapeutics, Inc.RLMD47.5K$330.3K0.2%$101.1KHeld
Analog Devices IncADI1.03K$328.6K0.2%$48.5KHeld
Tjx Cos Inc New2.03K$323.9K0.2%$12.4KCut−$5.16K
Procter And Gamble CoPG2.17K$313.4K0.2%$2.39KAdded$2.67K
Nextera Energy Inc3.27K$303.9K0.1%$41.2KHeld
Eog Res Inc2.06K$298.2K0.1%$79.6KAdded$86.9K
Dell Technologies Inc.DELL1.81K$297.9K0.1%$69.4KCut$50.5K
United Parcel Service IncUPS2.95K$289.9K0.1%−$2.25KAdded$14.4K
Aflac IncAFL2.51K$275.5K0.1%−$1.41KHeld
Nordson CorpNDSN1.03K$273K0.1%$26.3KCut$21.5K
Franklin Templeton Etf Tr6.61K$263.2K0.1%New
Vanguard Whitehall Fds2.7K$254.4K0.1%$11.4KHeld
Wisdomtree Tr2.85K$250.3K0.1%−$4.53KHeld
M & T Bk Corp1.2K$248.1K0.1%$6.29KCut−$21.9K
Exelon CorpEXC4.95K$242.6K0.1%$26.9KHeld
Lowes Cos Inc1.02K$241.7K0.1%−$4.99KHeld
Corteva, Inc.CTVA2.88K$240.8K0.1%$48KCut$36.3K
Ishares Tr1.25K$240.5K0.1%−$8.54KHeld
Ishares Inc3.04K$239.1K0.1%$18.2KHeld
American Express CoAXP787$238.1K0.1%−$53.1KCut−$75.3K
Orrstown Finl Svcs Inc6.39K$230.7K0.1%$4.22KHeld
Enterprise Prods Partners L6.08K$229.9K0.1%New
First Tr Exchange-Traded Fd4.27K$216.7K0.1%New
Sysco CorpSYY2.99K$213.2K0.1%−$7.05KHeld
Ishares Tr2.18K$212K0.1%$2.4KHeld
Dover CorpDOV1K$208.4K0.1%New
American Wtr Wks Co Inc New1.53K$208.1K0.1%New
Darden Restaurants IncDRI1.04K$204.1K0.1%New
Vanguard Intl Equity Index F2.69K$202.4K0.1%New
Brady CorpBRC2.48K$201.6K0.1%$7.12KCut−$20.3K
Marqeta, Inc.MQ15K$61.2K0.0%−$10KHeld
Advisorshares Tr10K$35.5K0.0%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.