13F

Investor

Clarus Wealth Advisors

CIK 0001730149 · filed 2026-04-08 · SEC filing

13F book

$234.6M

Positions

88

15 new · 13 sold

Largest name

9.0%

Spdr S&P 500 Etf Tr

Est. mark

−$9.37M

Price effect on 73 names still held. Flow $2.66M.
NameTickerSharesValueWeightEst. markChange
Spdr S&P 500 Etf Tr32.1K$21.2M9.0%−$1.11MCut−$1.41M
Vanguard World Fd54.7K$20.5M8.7%−$2.17MAdded−$1.93M
Select Sector Spdr Tr77.2K$10.6M4.5%−$653.4KAdded$39.1K
Spdr Series Trust117.4K$9.11M3.9%−$473KCut−$519.6K
Ishares Tr132.6K$9.09M3.9%−$107.5KCut−$331.4K
J P Morgan Exchange Traded F134.9K$8.37M3.6%−$306.2KCut−$342.8K
Vanguard Growth Etf17K$7.58M3.2%−$770.8KAdded−$595K
Pacer Fds Tr111.9K$6.97M3.0%$52.6KCut−$73.7K
Apple Inc.AAPL27.4K$6.94M3.0%−$206.7KCut−$610.8K
Vanguard Bd Index Fds79.3K$5.83M2.5%−$55.6KCut−$81.2K
Ishares Tr24.2K$5.13M2.2%−$113.9KCut−$192.6K
Select Sector Spdr Tr99.4K$4.96M2.1%−$342.2KAdded$689.4K
Spdr Series Trust83.9K$4.76M2.0%−$105.7KCut−$246.1K
Pacer Fds Tr102.8K$4.67M2.0%−$19.5KCut−$167.7K
Ishares Tr43.5K$3.99M1.7%New
Select Sector Spdr Tr22.2K$3.64M1.6%$5.93KAdded$35.5K
Nvidia CorpNVDA18.2K$3.23M1.4%−$140KCut−$248.1K
Spdr Series Trust64.2K$3.16M1.3%−$5.12KCut−$54.2K
Vanguard Index Fds9.21K$3M1.3%−$153.1KAdded−$101K
Select Sector Spdr Tr24.3K$2.72M1.2%−$117.1KAdded$20.7K
Ishares Tr24.7K$2.7M1.1%−$40.9KAdded$5.57K
Ishares Tr26.7K$2.68M1.1%−$43.9KAdded−$9.04K
Ishares Inc37.2K$2.62M1.1%New
Microsoft CorpMSFT6.88K$2.56M1.1%−$594.1KAdded−$279.2K
Select Sector Spdr Tr42K$2.53M1.1%$533.1KAdded$625.2K
Spdr Series Trust25.6K$2.5M1.1%−$1.28KCut−$55.5K
Spdr Series Trust22.8K$2.5M1.1%−$223.9KAdded−$193K
Spdr Series Trust25.1K$2.48M1.1%$752Cut−$24.2K
Ishares Tr9.8K$2.44M1.0%−$94.3KCut−$2.72M
Spdr Series Trust9.31K$2.42M1.0%−$194.1KAdded−$135.4K
Spdr Gold Tr5.56K$2.4M1.0%$56.6KCut$26.3K
Ishares Tr21.4K$2.21M0.9%New
Palantir Technologies Inc.PLTR14.6K$2.19M0.9%−$421.7KCut−$750.5K
Select Sector Spdr Tr43.1K$2.16M0.9%$54.8KAdded$180.6K
Select Sector Spdr Tr45.9K$2.12M0.9%$147.2KAdded$277.4K
Ishares Tr27.2K$2.05M0.9%−$51.2KAdded$88K
Cloudflare, Inc.NET9.18K$1.98M0.8%$240.9KAdded$336.7K
Alphabet Inc6.36K$1.94M0.8%−$194.2KCut−$250.9K
Select Sector Spdr Tr17.8K$1.92M0.8%−$270.1KAdded−$121.9K
Tesla, Inc.TSLA5.47K$1.9M0.8%−$509.2KAdded−$367.1K
Amazon Com IncAMZN8.83K$1.89M0.8%−$219.4KAdded$41.6K
Advanced Micro Devices IncAMD8.4K$1.86M0.8%$4.43KAdded$114.5K
Quanta Svcs Inc3.27K$1.81M0.8%$363.7KCut−$32.5K
Costco Whsl Corp New1.73K$1.76M0.7%$123.6KCut$37.9K
Select Sector Spdr Tr12K$1.75M0.7%−$117KAdded−$51.4K
Tjx Cos Inc New10.8K$1.69M0.7%−$5.93KAdded$18.5K
Meta Platforms, Inc.META2.94K$1.69M0.7%−$164.9KCut−$200.3K
Citigroup Inc14.4K$1.69M0.7%New
Vaneck Etf Trust4.2K$1.68M0.7%$35.1KCut−$134.8K
Nasdaq, Inc.NDAQ18.9K$1.64M0.7%−$219.6KAdded−$102.3K
Robinhood Mkts Inc22.8K$1.59M0.7%−$852.9KAdded−$437.8K
AbbVie Inc.ABBV7.68K$1.59M0.7%New
General Dynamics CorpGD4.41K$1.54M0.7%New
Vaneck Etf Trust11.6K$1.53M0.7%−$110.5KCut−$193.7K
Caterpillar IncCAT2.07K$1.5M0.6%$177KAdded$221.1K
Texas Roadhouse, Inc.TXRH9.28K$1.48M0.6%New
CARRIER GLOBAL CorpCARR26.8K$1.48M0.6%New
Lockheed Martin CorpLMT2.17K$1.36M0.6%$150.4KAdded$151K
Proshares Tr23.2K$980.2K0.4%−$59.4KAdded$89.3K
First Tr Exchange Traded Fd10.2K$971.1K0.4%−$41.1KAdded$63.8K
Ishares Tr11.4K$806.4K0.3%−$4.21KAdded$20K
Proshares Tr8.72K$764.3K0.3%$4.52KAdded$35.6K
Marriott Intl Inc New2.08K$686.7K0.3%$15.1KAdded$73.1K
Visa Inc.V1.89K$570.9K0.2%New
Emerson Elec Co4.11K$552.8K0.2%−$41.3KAdded$36.9K
Jpmorgan Chase & Co.1.83K$545.2K0.2%−$20KAdded$85.6K
Nextera Energy Inc5.57K$522.1K0.2%New
Caseys Gen Stores Inc632$468.8K0.2%$86.7KCut$80.1K
Unitedhealth Group IncUNH1.5K$462.8K0.2%−$27.6KAdded$110.5K
Oneok Inc /New/OKE5.07K$459.2K0.2%New
Broadcom Inc.AVGO1.36K$455.9K0.2%−$23KAdded$61.5K
Cardinal Health IncCAH2.1K$446.2K0.2%$8.2KAdded$67.4K
Walmart Inc.WMT3.6K$441K0.2%$6.78KAdded$58.1K
Goldman Sachs Group Inc509$439.9K0.2%−$30.9KAdded$48.6K
First Tr Exchange Traded Fd2.64K$434.3K0.2%−$26.8KAdded−$3.25K
HCA Healthcare, Inc.HCA849$415.7K0.2%$7.91KAdded$46.1K
Oracle Corp2.85K$407.9K0.2%−$111.3KAdded$27K
Chevron Corp NewCVX1.5K$303.3K0.1%$56.7KHeld
Ww Grainger Inc240$266K0.1%$15.9KHeld
Vanguard World Fd360$259K0.1%−$16.5KHeld
Exxon Mobil Corp1.53K$251.6K0.1%$57.3KCut$8.75K
Gorman Rupp CoGRC3.82K$243.9K0.1%New
Cameco CorpCCJ2.13K$235.1K0.1%New
Nutrien Ltd.NTR3.02K$232.1K0.1%New
Invesco Exchange Traded Fd T2.25K$223.9K0.1%$22.2KHeld
Pimco Etf Tr8.28K$217.5K0.1%−$4.47KHeld
Archer-Daniels-Midland CoADM2.78K$200.6K0.1%New
Humacyte Inc40K$24.3K0.0%−$20.1KHeld

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.