13F

Investor

Bensler, LLC

CIK 0001965941 · filed 2026-05-04 · SEC filing

13F book

$968.9M

Positions

194

15 new · 12 sold

Largest name

4.9%

Nvidia Corp · NVDA

Est. mark

−$26.1M

Price effect on 179 names still held. Flow −$3.84M.
NameTickerSharesValueWeightEst. markChange
Nvidia CorpNVDA274.7K$47.9M4.9%−$3.32MCut−$4.18M
Morgan Stanley Etf Trust846.7K$42.6M4.4%−$293.4KAdded$6.74M
Microsoft CorpMSFT107K$39.6M4.1%−$12.1MCut−$12.6M
Alphabet Inc117.7K$33.9M3.5%−$2.99MAdded−$2.88M
Apple Inc.AAPL133.4K$33.9M3.5%−$2.41MCut−$4.29M
Kla CorpKLAC20.4K$30M3.1%$5.25MCut$5.01M
Global X Fds409.8K$29M3.0%$2.01MAdded$7.49M
Global X Fds863.5K$27.8M2.9%$2.68MCut−$1.04M
Adams Diversified Equity Fd1.05M$23.1M2.4%−$1.41MAdded$59.7K
First Tr Exchng Traded Fd Vi845.4K$20.9M2.2%−$286.5KAdded$2.92M
Nomura Etf Tr441.9K$19.9M2.1%New
Calamos Strategic Total Retu1.11M$19.1M2.0%−$2.26MAdded−$1.79M
Eli Lilly & CoLLY20.5K$18.9M1.9%−$3.05MAdded−$2.3M
Vaneck Etf Trust213.7K$18.8M1.9%New
Invesco Qqq Tr30.9K$17.8M1.8%−$1.14MAdded−$1.02M
Principal Exchange Traded Fd831.8K$15.7M1.6%−$176.8KAdded$2.16M
Spdr Series Trust598.8K$15.3M1.6%−$77.9KCut−$4.91M
Progressive Corp75.5K$15M1.5%−$2.13MAdded−$1.45M
Lockheed Martin CorpLMT23.3K$14.1M1.5%$2.67MAdded$3.41M
Spdr Series Trust236.2K$14M1.4%$302.3KAdded$624.9K
Amazon Com IncAMZN65.2K$13.6M1.4%−$1.47MCut−$1.8M
Vistra Corp.VST89.9K$13.5M1.4%−$960.8KAdded−$576.5K
Spdr Series Trust170.7K$13.5M1.4%−$577.7KAdded−$354.2K
Spdr S&P 500 Etf Tr20K$13M1.3%−$630.1KCut−$768.5K
Cintas CorpCTAS74.5K$12.6M1.3%−$1.35MAdded−$813.2K
Broadcom Inc.AVGO39.7K$12.3M1.3%−$1.26MAdded$392.8K
Old Dominion Freight Line In61.5K$12M1.2%$2.23MAdded$2.94M
Ishares Tr252.6K$11.7M1.2%−$88.4KCut−$3.31M
Leidos Holdings, Inc.LDOS73.9K$11.5M1.2%New
Goldman Sachs Etf Tr230.5K$11.4M1.2%−$752KAdded−$355.8K
Hartford Fds Exchange Traded325.8K$11M1.1%−$133.6KCut−$3.61M
Costco Whsl Corp New10.9K$10.9M1.1%$1.46MCut$1.22M
Deckers Outdoor CorpDECK108.7K$10.9M1.1%−$340.2KAdded$1.03M
American Express CoAXP35.2K$10.6M1.1%−$2.33MAdded−$2.15M
Micron Technology IncMU30.4K$10.3M1.1%New
Uber Technologies, IncUBER142.8K$10.3M1.1%−$1.3MAdded−$621K
State Srt Spdr Prtfl Hgh423K$9.86M1.0%−$148.1KCut−$3.65M
Meta Platforms, Inc.META16.9K$9.64M1.0%−$1.35MAdded−$515.6K
Columbia Etf Tr I245.3K$9.56M1.0%−$450.2KAdded−$322.5K
BWX Technologies, Inc.BWXT44.9K$9.17M0.9%$1.28MAdded$2.16M
Spdr Series Trust160.3K$9.07M0.9%−$35.3KAdded$373.6K
Pimco Dynamic Income Fd525.9K$9M0.9%−$301.3KAdded$105.4K
Walmart Inc.WMT67.9K$8.43M0.9%$724.6KAdded$2.16M
Janus Detroit Str Tr161.1K$8.11M0.8%−$25.4KAdded$2.01M
Ishares Gold Tr90.9K$8.01M0.8%$529.3KAdded$1.86M
Spdr Series Trust165.7K$8.01M0.8%$233.1KAdded$525.4K
Mercadolibre IncMELI4.5K$7.78M0.8%−$1.29MCut−$1.61M
Spdr Index Shs Fds167.1K$7.63M0.8%$192.2KAdded$742.8K
Arista Networks, Inc.ANET53.5K$6.57M0.7%−$399.8KAdded$216.8K
Vaneck Etf Trust255K$6.5M0.7%$12Cut−$2.19M
Quanta Svcs Inc10.7K$5.88M0.6%$1.36MCut$1.28M
Ishares Tr16.4K$5.86M0.6%−$277.6KCut−$611.1K
Aercap Holdings Nv42K$5.76M0.6%−$272.2KAdded−$188.4K
Victory Portfolios Ii113.8K$5.76M0.6%−$29.6KCut−$2.1M
Schwab Strategic Tr185.3K$5.68M0.6%$602.2KCut$248.6K
Vertiv Holdings CoVRT20.1K$5.03M0.5%$1.76MAdded$1.8M
Invesco Exch Traded Fd Tr Ii20.8K$4.94M0.5%−$317.6KAdded−$310.7K
Spotify Technology S.A.SPOT9.98K$4.84M0.5%New
Republic Svcs Inc20.3K$4.46M0.5%$144.3KCut−$82.6K
Wheaton Precious Metals Corp.WPM33.6K$4.41M0.5%New
Entergy Corp New35.5K$3.99M0.4%$707.4KCut$629.6K
Asml Holding N V2.98K$3.94M0.4%$715.9KAdded$879.7K
Janus Detroit Str Tr77.1K$3.77M0.4%−$21.6KCut−$821.5K
Vertex Pharmaceuticals Inc8.26K$3.69M0.4%−$56.1KCut−$278.2K
Alphabet Inc11.8K$3.39M0.4%−$317KAdded−$300.6K
Nasdaq, Inc.NDAQ38.9K$3.3M0.3%−$475.9KCut−$697.3K
Schwab Strategic Tr95.7K$2.79M0.3%−$334KCut−$697.9K
Ishares Tr35.9K$2.42M0.3%$55KCut$18.3K
S&P Global Inc.SPGI5.68K$2.42M0.2%New
Tesla, Inc.TSLA6.28K$2.34M0.2%−$489.9KCut−$1.35M
Emerson Elec Co17.4K$2.28M0.2%−$29.6KCut−$104.7K
Ishares Tr14.5K$2.2M0.2%$149.4KCut$41.1K
Arch Cap Group Ltd22.1K$2.12M0.2%$1.56KCut−$108.9K
Schwab Strategic Tr68.5K$2.12M0.2%$60.9KCut−$269K
Berkshire Hathaway Inc Del4.34K$2.08M0.2%−$101.8KCut−$221.5K
Ishares Tr18K$2.03M0.2%−$180.7KAdded−$161.6K
Ishares Tr4.72K$2.01M0.2%−$217.6KAdded−$182.2K
Vanguard Index Fds3.34K$2M0.2%−$98.9KCut−$183K
Ishares Tr7.49K$1.86M0.2%$13.7KCut−$90.9K
Cencora, Inc.COR5.89K$1.85M0.2%−$126.8KAdded$36.3K
Nu Hldgs Ltd128.2K$1.84M0.2%−$293.9KAdded−$233.5K
Vanguard Whitehall Fds12.2K$1.81M0.2%$56KCut−$69K
Ishares Tr22.6K$1.8M0.2%−$24.2KCut−$1.03M
Spdr Gold Tr3.69K$1.59M0.2%$107KAdded$340.7K
Roku, IncROKU16.4K$1.55M0.2%−$226.8KCut−$278.8K
Intuitive Surgical IncISRG3.23K$1.49M0.2%−$339.8KCut−$483.7K
Ishares Tr12.1K$1.46M0.2%−$82.3KAdded$73.4K
Schwab Strategic Tr49.7K$1.44M0.1%$29.8KCut−$216.8K
Ishares Tr6.65K$1.42M0.1%$22KCut−$216.3K
Spdr Series Trust17.6K$1.35M0.1%−$65KCut−$89.5K
Caterpillar IncCAT1.81K$1.28M0.1%$245.5KCut$216.3K
Franklin Templeton Etf Tr18.4K$1.24M0.1%New
Rbb Fund Trust25.8K$1.21M0.1%$11.5KAdded$667.8K
Vanguard World Fd1.54K$1.08M0.1%−$86.3KCut−$111.2K
Global X Fds20.2K$1.02M0.1%$60.9KCut$41.6K
Fluor Corp NewFLR19.4K$905K0.1%$136.2KHeld
Ishares Tr1.38K$900.9K0.1%−$41.9KAdded−$12.5K
Ge Aerospace3.17K$900.6K0.1%−$76.8KAdded−$75.7K
Global X Fds51.2K$877.3K0.1%−$26.6KCut−$234K
Jpmorgan Chase & Co.2.88K$848.6K0.1%−$79.4KAdded−$62.6K
Seagate Technology Hldngs Pl2.06K$809.2K0.1%$240.1KAdded$241.7K
First Tr Exchange-Traded Fd3.45K$807.4K0.1%−$121.3KCut−$319.4K
Ishares Tr7.5K$728.8K0.1%$7.17KCut−$21.6K
First Tr Exchange-Traded Fd18.5K$692.4K0.1%$78.6KAdded$89.7K
First Tr Exchange-Traded Alp5.11K$655.6K0.1%$9.48KAdded$127.6K
Ishares Tr5.07K$649.3K0.1%−$44.7KHeld
Nushares Etf Tr14.4K$648.1K0.1%$5.02KAdded$101.8K
Starbucks CorpSBUX7.14K$639.7K0.1%$38.4KCut$11.7K
Vanguard Index Fds2.1K$628.8K0.1%−$33.6KCut−$113.5K
Ishares Tr4.31K$628.3K0.1%$20.2KAdded$20.3K
Vanguard Specialized Funds2.86K$615.7K0.1%−$13.5KHeld
Schwab Strategic Tr24.5K$605.6K0.1%$17.4KCut−$45.4K
Spdr Dow Jones Indl Average1.3K$602.4K0.1%−$23KCut−$25.9K
Ishares Tr1.88K$589.4K0.1%−$17.2KHeld
First Tr Exchange Traded Fd9.28K$581.7K0.1%−$81.3KCut−$195.5K
Global X Fds13.9K$545.7K0.1%−$20.9KCut−$94.9K
T Rowe Price Etf Inc15.2K$541.9K0.1%−$39.9KAdded−$37.8K
Vanguard Tax-Managed Fds8.38K$537.2K0.1%$8.46KAdded$208.9K
Lam Research CorpLRCX2.51K$536.3K0.1%$99.4KAdded$135.7K
Vanguard Index Fds1.85K$532.1K0.1%−$3.04KAdded$238.2K
Heritage Finl Corp Wash20.4K$531.7K0.1%$48.1KHeld
Goldman Sachs Group Inc611$516.9K0.1%−$20KAdded−$15.8K
Ishares Tr2.77K$502.7K0.1%−$50.6KAdded−$50.5K
Boeing Co2.44K$485.4K0.1%−$42.8KAdded−$28.5K
EMCOR Group, Inc.EME657$484.7K0.1%$82.5KAdded$83.3K
Taiwan Semiconductor Mfg Ltd1.42K$481.2K0.1%$47.5KAdded$58.6K
Oneok Inc /New/OKE5.25K$474.7K0.0%$87.6KAdded$93.2K
Select Sector Spdr Tr7.56K$463.3K0.0%$125.1KCut$111.1K
Salesforce, Inc.CRM2.31K$430.8K0.0%−$107.7KAdded$66.2K
Oklo Inc.OKLO8.45K$419.2K0.0%−$176.8KAdded−$153.1K
Ishares Tr3.34K$415.2K0.0%$13.8KHeld
Vanguard Index Fds1.54K$402.6K0.0%$4.53KAdded$114K
Ishares Tr4.81K$401.7K0.0%$5.24KCut$2.76K
Freeport-Mcmoran IncFCX6.52K$383.4K0.0%$51.8KAdded$54.2K
Eaton Corp PlcETN1.05K$376.4K0.0%$41.3KAdded$42.3K
Johnson & JohnsonJNJ1.53K$375.1K0.0%$54KAdded$76.5K
Vanguard Index Fds1.15K$369.5K0.0%−$16.8KCut−$29.2K
Select Sector Spdr Tr3.37K$366.7K0.0%−$35.1KCut−$42.7K
Chipotle Mexican Grill IncCMG11.4K$366.3K0.0%−$57.1KCut−$104.2K
Ishares Tr7.67K$359.1K0.0%−$55.3KCut−$172.5K
Ishares Tr3.53K$355.6K0.0%$13.1KAdded$16.1K
Invesco Exch Traded Fd Tr Ii6.79K$336.5K0.0%$2.96KAdded$67K
Schwab Strategic Tr10.1K$334K0.0%$2.01KCut−$47.9K
Exxon Mobil Corp1.96K$332.1K0.0%$96.1KAdded$97.4K
Select Sector Spdr Tr2.24K$328K0.0%−$18.3KCut−$22.8K
Coca Cola CoKO4.26K$324.1K0.0%$26.2KCut−$30K
Tcw Etf Trust7.87K$308.9K0.0%−$2KAdded$70.3K
Coinbase Global, Inc.COIN1.76K$307.8K0.0%New
Ishares Tr7.31K$305.9K0.0%−$44.5KCut−$68.5K
Visa Inc.V1.01K$305.8K0.0%−$49.1KCut−$6.2M
Schwab Strategic Tr9.8K$298.8K0.0%$8.71KAdded$8.99K
Pgim Etf Tr8.4K$290.9K0.0%−$5.91KAdded$44.4K
First Tr Exchange-Traded Fd5.68K$288.7K0.0%$33KAdded$62.2K
Spdr S&P Midcap 400 Etf Tr468$288.4K0.0%$5.98KAdded$7.21K
Fidelity Covington Trust7.66K$287.2K0.0%−$32.2KCut−$45.5K
Ishares Tr2.35K$278.8K0.0%$11.1KHeld
SoFi Technologies, Inc.SOFI17.4K$277.1K0.0%−$179.7KHeld
Philip Morris Intl Inc1.64K$270.5K0.0%$7.72KAdded$21.9K
Ishares Tr1.85K$268K0.0%$6.58KHeld
Applied Matls Inc771$263.7K0.0%New
Cisco Sys Inc3.4K$263.5K0.0%$1.64KAdded$39.6K
General Dynamics CorpGD760$260.7K0.0%$4.09KAdded$39.1K
Ishares Tr3.73K$255.4K0.0%$5KHeld
Vanguard Growth Etf578$252.5K0.0%−$29.4KCut−$30.4K
Vanguard Index Fds2.81K$249.5K0.0%$594Added$1.04K
Paccar IncPCAR2.02K$233.6K0.0%$12.1KAdded$13.2K
Bank America Corp4.72K$229.9K0.0%−$29.5KCut−$29.8K
Waste Mgmt Inc Del1K$229.8K0.0%$9.97KAdded$14.3K
Vaneck Etf Trust2.5K$229.4K0.0%$15KHeld
Totalenergies SeTTE2.51K$228.3K0.0%New
J P Morgan Exchange Traded F4.9K$226.2K0.0%−$1.28KCut−$1.33K
Spdr Index Shs Fds3.62K$224.6K0.0%−$8.38KCut−$21.3M
Fidelity Covington Trust6.38K$222.6K0.0%$1.6KCut−$5.02K
Alaska Air Group, Inc.ALK6.05K$222.4K0.0%−$79.3KAdded−$72.7K
Sherwin Williams CoSHW692$221.7K0.0%−$2.41KHeld
Applovin CorpAPP551$219.3K0.0%−$152KCut−$179.6K
Shell Plc2.35K$219.1K0.0%New
Marvell Technology, Inc.MRVL2.21K$219K0.0%New
Spdr Series Trust1.5K$218.2K0.0%$10.1KAdded$11.2K
Ishares Tr3.24K$217.1K0.0%New
Oracle Corp1.47K$216.2K0.0%−$62.3KAdded−$37.5K
InterDigital, Inc.IDCC701$211.6K0.0%−$11.6KAdded−$11K
Netflix IncNFLX2.19K$210.5K0.0%$5.23KCut−$17.4M
Ishares Tr1.98K$209.8K0.0%New
Mcdonalds CorpMCD666$206.9K0.0%$3.38KCut$1.55K
Spdr Series Trust2.11K$206.5K0.0%−$18.5KAdded−$18.3K
Spdr Index Shs Fds4.31K$202K0.0%$430Held
Travelers Companies, Inc.TRV688$200.8K0.0%$1.12KCut−$2.37K
Nuveen Real Asset Income & G13.2K$161.8K0.0%−$17.2KCut−$30.4K
First Northwest BancorpFNWB12.2K$106.2K0.0%−$8.56KCut−$14.5K
Enel Chile S.A.ENIC24.6K$96.8K0.0%−$1.97KHeld
Key Tronic CorpKTCC30.5K$83.3K0.0%−$1.83KCut−$9.02K
Liberty All Star Equity Fd12.2K$67.7K0.0%−$8.9KCut−$88K
Ambev Sa12K$34.9K0.0%$5.39KHeld

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.