13F

Investor

Bensler, LLC

CIK 0001965941 · filed 2026-02-04 · SEC filing

13F book

$998.8M

Positions

191

Largest name

5.2%

Microsoft Corp · MSFT

Est. mark

Need a prior quarter to estimate
NameTickerSharesValueWeightEst. markChange
Microsoft CorpMSFT107.9K$52.2M5.2%Held
Nvidia CorpNVDA279.3K$52.1M5.2%Held
Apple Inc.AAPL140.3K$38.1M3.8%Held
Alphabet Inc117.4K$36.7M3.7%Held
Morgan Stanley Etf Trust707.1K$35.9M3.6%Held
Global X Fds991.3K$28.8M2.9%Held
Kla CorpKLAC20.6K$25M2.5%Held
Adams Diversified Equity Fd987.7K$23M2.3%Held
Global X Fds332.5K$21.5M2.2%Held
Spdr Index Shs Fds334.5K$21.5M2.2%Held
Eli Lilly & CoLLY19.7K$21.2M2.1%Held
Calamos Strategic Total Retu1.09M$20.9M2.1%Held
Spdr Series Trust786.3K$20.2M2.0%Held
Invesco Qqq Tr30.7K$18.8M1.9%Held
First Tr Exchng Traded Fd Vi716.1K$18M1.8%Held
Netflix IncNFLX188.2K$17.7M1.8%Held
Progressive Corp72.1K$16.4M1.6%Held
Global X Fds382K$16.3M1.6%Held
Amazon Com IncAMZN66.6K$15.4M1.5%Held
Ishares Tr321.7K$15M1.5%Held
Hartford Fds Exchange Traded427.7K$14.6M1.5%Held
Vistra Corp.VST87.4K$14.1M1.4%Held
Spdr Series Trust167.9K$13.9M1.4%Held
Spdr S&P 500 Etf Tr20.2K$13.7M1.4%Held
State Srt Spdr Prtfl Hgh570.9K$13.5M1.4%Held
Principal Exchange Traded Fd707.4K$13.5M1.4%Held
Cintas CorpCTAS71.3K$13.4M1.3%Held
Spdr Series Trust230.7K$13.4M1.3%Held
Palo Alto Networks IncPANW70.2K$12.9M1.3%Held
American Express CoAXP34.5K$12.8M1.3%Held
Broadcom Inc.AVGO34.3K$11.9M1.2%Held
Goldman Sachs Etf Tr222.5K$11.8M1.2%Held
Uber Technologies, IncUBER133.3K$10.9M1.1%Held
Lockheed Martin CorpLMT22.1K$10.7M1.1%Held
Meta Platforms, Inc.META15.4K$10.2M1.0%Held
Columbia Etf Tr I242K$9.88M1.0%Held
Deckers Outdoor CorpDECK95K$9.85M1.0%Held
Costco Whsl Corp New11.2K$9.67M1.0%Held
Mercadolibre IncMELI4.66K$9.39M0.9%Held
Old Dominion Freight Line In57.9K$9.07M0.9%Held
Pimco Dynamic Income Fd502.1K$8.89M0.9%Held
Spdr Series Trust153.1K$8.7M0.9%Held
Vaneck Etf Trust341K$8.69M0.9%Held
Victory Portfolios Ii154.5K$7.86M0.8%Held
Spdr Series Trust159.7K$7.48M0.7%Held
BWX Technologies, Inc.BWXT40.5K$7.01M0.7%Held
Spdr Index Shs Fds155K$6.88M0.7%Held
Visa Inc.V18.5K$6.51M0.7%Held
Ishares Tr17.3K$6.47M0.6%Held
Arista Networks, Inc.ANET48.5K$6.35M0.6%Held
Walmart Inc.WMT56.3K$6.27M0.6%Held
Ishares Gold Tr75.7K$6.15M0.6%Held
Janus Detroit Str Tr120.6K$6.1M0.6%Held
Unitedhealth Group IncUNH18.1K$5.97M0.6%Held
Aercap Holdings Nv41.4K$5.95M0.6%Held
Schwab Strategic Tr198.2K$5.44M0.5%Held
Invesco Exch Traded Fd Tr Ii20.7K$5.25M0.5%Held
Quanta Svcs Inc10.9K$4.6M0.5%Held
Janus Detroit Str Tr93.4K$4.59M0.5%Held
Republic Svcs Inc21.4K$4.54M0.5%Held
Nasdaq, Inc.NDAQ41.2K$4M0.4%Held
Vertex Pharmaceuticals Inc8.75K$3.96M0.4%Held
Alphabet Inc11.8K$3.69M0.4%Held
Tesla, Inc.TSLA8.2K$3.69M0.4%Held
Schwab Strategic Tr106.8K$3.49M0.3%Held
Entergy Corp New36.3K$3.36M0.3%Held
Vertiv Holdings CoVRT19.9K$3.23M0.3%Held
Asml Holding N V2.86K$3.06M0.3%Held
Ishares Tr35.1K$2.83M0.3%Held
Ishares Tr36.5K$2.41M0.2%Held
Schwab Strategic Tr79.4K$2.39M0.2%Held
Emerson Elec Co18K$2.38M0.2%Held
Berkshire Hathaway Inc Del4.58K$2.3M0.2%Held
Arch Cap Group Ltd23.3K$2.23M0.2%Held
Ishares Tr4.64K$2.2M0.2%Held
Ishares Tr17.8K$2.19M0.2%Held
Vanguard Index Fds3.48K$2.18M0.2%Held
Ishares Tr15.3K$2.16M0.2%Held
Nu Hldgs Ltd124K$2.08M0.2%Held
CARRIER GLOBAL CorpCARR39.2K$2.07M0.2%Held
Intuitive Surgical IncISRG3.48K$1.97M0.2%Held
Ishares Tr7.91K$1.95M0.2%Held
Vanguard Whitehall Fds13.1K$1.88M0.2%Held
Roku, IncROKU16.8K$1.83M0.2%Held
Cencora, Inc.COR5.38K$1.82M0.2%Held
Schwab Strategic Tr58.3K$1.66M0.2%Held
Ishares Tr7.78K$1.64M0.2%Held
Spdr Series Trust17.9K$1.44M0.1%Held
Ishares Tr10.8K$1.39M0.1%Held
Spdr Gold Tr3.15K$1.25M0.1%Held
Vanguard World Fd1.58K$1.19M0.1%Held
First Tr Exchange-Traded Fd4.19K$1.13M0.1%Held
Goldman Sachs Etf Tr11.9K$1.13M0.1%Held
Global X Fds62.9K$1.11M0.1%Held
Caterpillar IncCAT1.86K$1.07M0.1%Held
Global X Fds20.6K$982.5K0.1%Held
Ge Aerospace3.17K$976.3K0.1%Held
Ishares Tr1.33K$913.4K0.1%Held
Jpmorgan Chase & Co.2.83K$911.3K0.1%Held
First Tr Exchange Traded Fd10.9K$777.2K0.1%Held
Fluor Corp NewFLR19.4K$768.8K0.1%Held
Ishares Tr7.79K$750.4K0.1%Held
Vanguard Index Fds2.36K$742.3K0.1%Held
Ishares Tr5.07K$694K0.1%Held
Schwab Strategic Tr27.1K$650.9K0.1%Held
Global X Fds15.8K$640.6K0.1%Held
Vanguard Specialized Funds2.86K$629.2K0.1%Held
Spdr Dow Jones Indl Average1.31K$628.3K0.1%Held
Starbucks CorpSBUX7.46K$628K0.1%Held
Ishares Tr4.31K$608K0.1%Held
Ishares Tr1.88K$606.7K0.1%Held
First Tr Exchange-Traded Fd18.2K$602.7K0.1%Held
T Rowe Price Etf Inc15.2K$579.7K0.1%Held
Oklo Inc.OKLO7.97K$572.3K0.1%Held
Seagate Technology Hldngs Pl2.06K$567.5K0.1%Held
Ishares Tr2.77K$553.1K0.1%Held
Nushares Etf Tr12.2K$546.3K0.1%Held
Rbb Fund Trust11.8K$545.3K0.1%Held
Goldman Sachs Group Inc606$532.7K0.1%Held
Ishares Tr9.84K$531.6K0.1%Held
First Tr Exchange-Traded Alp4.19K$528K0.1%Held
Boeing Co2.37K$513.9K0.1%Held
Heritage Finl Corp Wash20.4K$483.6K0.0%Held
Chipotle Mexican Grill IncCMG12.7K$470.5K0.0%Held
SoFi Technologies, Inc.SOFI17.4K$456.8K0.0%Held
Taiwan Semiconductor Mfg Ltd1.39K$422.6K0.0%Held
Select Sector Spdr Tr3.43K$409.4K0.0%Held
EMCOR Group, Inc.EME656$401.4K0.0%Held
Ishares Tr3.34K$401.4K0.0%Held
Lam Research CorpLRCX2.34K$400.6K0.0%Held
Ishares Tr4.84K$398.9K0.0%Held
Applovin CorpAPP592$398.9K0.0%Held
Vanguard Index Fds1.19K$398.7K0.0%Held
Schwab Strategic Tr11.7K$381.9K0.0%Held
Oneok Inc /New/OKE5.19K$381.5K0.0%Held
Ishares Tr7.81K$374.4K0.0%Held
Salesforce, Inc.CRM1.38K$364.5K0.0%Held
Coca Cola CoKO5.06K$354.1K0.0%Held
Select Sector Spdr Tr7.88K$352.2K0.0%Held
Select Sector Spdr Tr2.27K$350.8K0.0%Held
Ishares Tr3.5K$339.5K0.0%Held
Eaton Corp PlcETN1.05K$334.1K0.0%Held
Fidelity Covington Trust7.98K$332.7K0.0%Held
Freeport-Mcmoran IncFCX6.48K$329.2K0.0%Held
Vanguard Tax-Managed Fds5.25K$328.3K0.0%Held
Johnson & JohnsonJNJ1.44K$298.6K0.0%Held
Alaska Air Group, Inc.ALK5.87K$295.2K0.0%Held
Vanguard Index Fds1.01K$293.9K0.0%Held
Schwab Strategic Tr9.79K$289.8K0.0%Held
Vanguard Index Fds1.12K$288.6K0.0%Held
Vanguard Growth Etf580$282.9K0.0%Held
Spdr S&P Midcap 400 Etf Tr466$281.2K0.0%Held
Invesco Exch Traded Fd Tr Ii5.5K$269.5K0.0%Held
Ishares Tr2.35K$267.7K0.0%Held
Ishares Tr1.85K$261.5K0.0%Held
Bank America Corp4.72K$259.8K0.0%Held
Oracle Corp1.3K$253.7K0.0%Held
Ishares Tr3.73K$250.4K0.0%Held
Philip Morris Intl Inc1.55K$248.6K0.0%Held
Vanguard Index Fds2.81K$248.5K0.0%Held
Pgim Etf Tr6.95K$246.5K0.0%Held
Tcw Etf Trust6.03K$238.6K0.0%Held
Exxon Mobil Corp1.95K$234.7K0.0%Held
Blackrock Etf Trust6.96K$231.8K0.0%Held
Fidelity Covington Trust6.57K$227.7K0.0%Held
J P Morgan Exchange Traded F4.9K$227.6K0.0%Held
First Tr Exchange-Traded Fd5.11K$226.5K0.0%Held
Spdr Series Trust2.11K$224.8K0.0%Held
Sherwin Williams CoSHW692$224.1K0.0%Held
Cisco Sys Inc2.91K$223.9K0.0%Held
InterDigital, Inc.IDCC699$222.6K0.0%Held
General Dynamics CorpGD658$221.6K0.0%Held
Paccar IncPCAR2.01K$220.3K0.0%Held
Waste Mgmt Inc Del981$215.5K0.0%Held
Vaneck Etf Trust2.5K$214.4K0.0%Held
Ishares Tr6.77K$209.6K0.0%Held
Spdr Series Trust1.49K$207K0.0%Held
Schwab Us Aggregate Bond8.79K$205.4K0.0%Held
Mcdonalds CorpMCD672$205.4K0.0%Held
Travelers Companies, Inc.TRV700$203.2K0.0%Held
Ishares Tr2.1K$202K0.0%Held
Spdr Index Shs Fds4.31K$201.6K0.0%Held
First Tr Exchange Traded Fd1.19K$200.3K0.0%Held
Nuveen Real Asset Income & G14.1K$192.2K0.0%Held
Liberty All Star Equity Fd24.8K$155.6K0.0%Held
Ford Mtr Co11.1K$146.3K0.0%Held
First Northwest BancorpFNWB12.9K$120.7K0.0%Held
Cion Invt Corp11.9K$114.7K0.0%Held
Enel Chile S.A.ENIC24.6K$98.8K0.0%Held
Key Tronic CorpKTCC33.1K$92.4K0.0%Held
Ambev Sa12K$29.6K0.0%Held

Positions as of Q4 2025. 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.