13F

Investor

CLEAR WAVE WEALTH MANAGEMENT LLC

CIK 0002113615 · filed 2026-05-13 · SEC filing

13F book

$462.7M

Positions

170

Largest name

11.0%

Ishares Tr

Est. mark

Need a prior quarter to estimate
NameTickerSharesValueWeightEst. markChange
Ishares Tr77.8K$50.8M11.0%Held
Invesco Exchange Traded Fd T128.5K$24.7M5.3%Held
Ishares Tr412.1K$20M4.3%Held
Ishares Tr236.9K$16.6M3.6%Held
Ishares Tr179.3K$14.8M3.2%Held
Ishares Tr145.6K$13.5M2.9%Held
Spdr S&P 500 Etf Tr20.5K$13.4M2.9%Held
Nvidia CorpNVDA74.4K$13M2.8%Held
Ishares Tr175.4K$11.8M2.6%Held
Fidelity Covington Trust56.6K$11.8M2.5%Held
Ishares Gold Tr123.6K$10.9M2.4%Held
Vanguard Index Fds48.9K$10.6M2.3%Held
Ishares Tr49.2K$10.4M2.2%Held
Ishares Tr50.3K$9.66M2.1%Held
Microsoft CorpMSFT22.1K$8.16M1.8%Held
Ishares Tr37.2K$8.14M1.8%Held
Apple Inc.AAPL31.7K$8.05M1.7%Held
Amazon Com IncAMZN30K$6.24M1.3%Held
Ishares Tr62.6K$5.72M1.2%Held
Blackrock Etf Trust98K$5.7M1.2%Held
Meta Platforms, Inc.META9.42K$5.39M1.2%Held
Select Sector Spdr Tr75.3K$4.61M1.0%Held
Broadcom Inc.AVGO14.7K$4.56M1.0%Held
Blackrock Etf Trust134.6K$4.43M1.0%Held
J P Morgan Exchange Traded F66K$3.55M0.8%Held
Invesco Qqq Tr5.77K$3.33M0.7%Held
Alphabet Inc11.4K$3.28M0.7%Held
Tesla, Inc.TSLA8.61K$3.2M0.7%Held
Ishares Inc47.7K$3.09M0.7%Held
Select Sector Spdr Tr66.4K$3.05M0.7%Held
Alphabet Inc9.1K$2.62M0.6%Held
Jpmorgan Chase & Co.8.57K$2.52M0.5%Held
Vanguard Specialized Funds11.2K$2.42M0.5%Held
Ishares Tr21K$2.24M0.5%Held
Taiwan Semiconductor Mfg Ltd6.45K$2.18M0.5%Held
Vanguard Index Fds3.6K$2.15M0.5%Held
Spdr Gold Tr4.85K$2.09M0.5%Held
Xylem Inc.XYL17.5K$2.09M0.5%Held
Bank America Corp37.3K$1.82M0.4%Held
Amgen IncAMGN5.03K$1.77M0.4%Held
Ishares Tr13.9K$1.73M0.4%Held
Nebius Group N.V.NBIS16.5K$1.71M0.4%Held
Verizon Communications IncVZ31.5K$1.58M0.3%Held
Ishares 0-3 Month13.5K$1.36M0.3%Held
Western Digital CorpWDC4.92K$1.33M0.3%Held
Johnson & JohnsonJNJ5.14K$1.26M0.3%Held
Ishares Tr4.97K$1.23M0.3%Held
Ishares Tr11.9K$1.15M0.2%Held
Eli Lilly & CoLLY1.19K$1.09M0.2%Held
Applovin CorpAPP2.52K$1M0.2%Held
Albemarle Corp5.26K$944.5K0.2%Held
Berkshire Hathaway Inc Del1.93K$922.5K0.2%Held
Morgan Stanley5.6K$921.1K0.2%Held
Coca Cola CoKO12.1K$919.4K0.2%Held
Netflix IncNFLX9.46K$909.8K0.2%Held
Exxon Mobil Corp4.73K$801.8K0.2%Held
Palo Alto Networks IncPANW5K$801.6K0.2%Held
Talen Energy CorpTLN2.48K$793K0.2%Held
Vanguard Bd Index Fds9.9K$764K0.2%Held
Fidelity Covington Trust14.5K$757.8K0.2%Held
Ecolab Inc.ECL2.83K$752.6K0.2%Held
Visa Inc.V2.49K$751.4K0.2%Held
Ishares Tr7.84K$710K0.2%Held
Merck & Co., Inc.MRK5.46K$657.4K0.1%Held
Goldman Sachs Group Inc751$635.3K0.1%Held
Natera, Inc.NTRA3.14K$628.6K0.1%Held
GE Vernova Inc.GEV714$623.3K0.1%Held
Vertiv Holdings CoVRT2.34K$587.1K0.1%Held
Qxo Inc29.4K$570.9K0.1%Held
Vanguard World Fd3.25K$562.4K0.1%Held
Walmart Inc.WMT4.5K$558.6K0.1%Held
Chevron Corp NewCVX2.69K$557.4K0.1%Held
Palantir Technologies Inc.PLTR3.8K$555.6K0.1%Held
Advanced Micro Devices IncAMD2.63K$535.2K0.1%Held
Intuitive Surgical IncISRG1.16K$534.7K0.1%Held
Micron Technology IncMU1.52K$513.5K0.1%Held
Fifth Third Bancorp11K$512.9K0.1%Held
Nextera Energy Inc5.47K$507.8K0.1%Held
ConocophillipsCOP3.84K$506.7K0.1%Held
Procter And Gamble CoPG3.45K$498.5K0.1%Held
Crowdstrike Hldgs Inc1.24K$484.9K0.1%Held
Novartis Ag3.11K$475.7K0.1%Held
Johnson Ctls Intl Plc3.57K$467.8K0.1%Held
RTX CorpRTX2.33K$450.4K0.1%Held
Welltower Inc.WELL2.27K$448.3K0.1%Held
Ishares Silver Tr6.57K$448K0.1%Held
Sea LtdSE5.34K$442K0.1%Held
Cisco Sys Inc5.4K$419.1K0.1%Held
Select Sector Spdr Tr2.55K$411.9K0.1%Held
Philip Morris Intl Inc2.47K$408.2K0.1%Held
Astera Labs, Inc.ALAB3.66K$400.8K0.1%Held
At&T Inc13.5K$391.5K0.1%Held
Costco Whsl Corp New380$378.6K0.1%Held
GFL Environmental Inc.GFL9.02K$376.2K0.1%Held
Heico Corp New1.33K$363.6K0.1%Held
Lam Research CorpLRCX1.7K$362.2K0.1%Held
Select Sector Spdr Tr2.42K$355.6K0.1%Held
GeneDx Holdings Corp.WGS5.5K$353K0.1%Held
Altria Group, Inc.MO5.18K$341.7K0.1%Held
Cardinal Health IncCAH1.59K$337K0.1%Held
Citigroup Inc2.96K$335.9K0.1%Held
Roku, IncROKU3.54K$334.8K0.1%Held
S&P Global Inc.SPGI754$320.7K0.1%Held
Vanguard Growth Etf734$320.6K0.1%Held
Boston Scientific CorpBSX5.1K$320.2K0.1%Held
Unitedhealth Group IncUNH1.18K$319.3K0.1%Held
Bank New York Mellon Corp2.69K$318.8K0.1%Held
Cloudflare, Inc.NET1.54K$316.9K0.1%Held
Medtronic PlcMDT3.63K$314.1K0.1%Held
Mastercard IncMA611$305.3K0.1%Held
Astrazeneca Plc OrdAZN1.54K$302.9K0.1%Held
Vanguard Bd Index Fds3.86K$302.6K0.1%Held
Rapport Therapeutics, Inc.RAPP9.5K$297.3K0.1%Held
Ishares Inc4.21K$293.4K0.1%Held
First Tr Exchange-Traded Fd1.23K$287.6K0.1%Held
Select Sector Spdr Tr5.82K$287.3K0.1%Held
Rocket Cos Inc19.9K$283.8K0.1%Held
Te Connectivity PlcTEL1.35K$282.6K0.1%Held
Arista Networks, Inc.ANET2.3K$282.1K0.1%Held
Arrowhead Pharmaceuticals In4.43K$278.1K0.1%Held
Entegris IncENTG2.31K$271.3K0.1%Held
Duke Energy Corp New2.07K$270.5K0.1%Held
International Business Machs1.11K$269.1K0.1%Held
Oracle Corp1.82K$267.4K0.1%Held
Qualcomm Inc2.06K$265.7K0.1%Held
Home Depot, Inc.HD802$263.8K0.1%Held
Pfizer IncPFE9.31K$261.5K0.1%Held
General Dynamics CorpGD757$259.8K0.1%Held
Applied Matls Inc758$259.1K0.1%Held
AbbVie Inc.ABBV1.19K$257.9K0.1%Held
Trimas CorpTRS7.17K$257.6K0.1%Held
Abivax Sa2.31K$257.4K0.1%Held
Rbc Bearings IncRBC466$253.1K0.1%Held
Ge Aerospace886$251.4K0.1%Held
Shopify Inc.SHOP2.12K$251.4K0.1%Held
Caterpillar IncCAT354$250.8K0.1%Held
Ishares Tr1.74K$248K0.1%Held
Medpace Hldgs Inc507$243.5K0.1%Held
Brookfield Corp5.91K$239K0.1%Held
Spdr Dow Jones Indl Average514$238.1K0.1%Held
Jabil IncJBL895$237.7K0.1%Held
Marriott Intl Inc New723$236.5K0.1%Held
Grand Canyon Ed Inc1.39K$235.8K0.1%Held
Biogen Inc.BIIB1.28K$234.7K0.1%Held
Wells Fargo Co New2.91K$231.6K0.1%Held
United Parcel Service IncUPS2.31K$227.1K0.0%Held
Linde PlcLIN458$227.1K0.0%Held
Comcast Corp New7.85K$225.3K0.0%Held
Macom Tech Solutions Hldgs I1.01K$224.3K0.0%Held
Robinhood Mkts Inc3.22K$223.2K0.0%Held
American Express CoAXP730$220.8K0.0%Held
Tjx Cos Inc New1.37K$218.5K0.0%Held
CBIZ, Inc.CBZ8.13K$218.4K0.0%Held
Vanguard Index Fds830$217.5K0.0%Held
Truist Finl Corp4.73K$217.5K0.0%Held
Comfort Sys Usa Inc157$216.5K0.0%Held
Cadence Design System Inc776$215.6K0.0%Held
Thermo Fisher Scientific Inc.TMO433$212.8K0.0%Held
Direxion Shs Etf Tr2.06K$212.3K0.0%Held
Ase Technology Hldg Co Ltd9.7K$210.2K0.0%Held
FabrinetFN396$206.5K0.0%Held
Lowes Cos Inc873$206.3K0.0%Held
Asml Holding N V155$204.7K0.0%Held
HCA Healthcare, Inc.HCA429$203K0.0%Held
Travelers Companies, Inc.TRV692$201.8K0.0%Held
Api Group CorpAPG4.98K$201.7K0.0%Held
ServiceNow, Inc.NOW1.93K$201.5K0.0%Held
Healthpeak Properties, Inc.DOC10.2K$167.1K0.0%Held
Global Business Travel Group, Inc.GBTG10K$55.8K0.0%Held
Rani Therapeutics Hldgs Inc13.2K$9.72K0.0%Held

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.