13F

Investor

Coign Capital Advisors LLC

CIK 0002056441 · filed 2026-05-15 · SEC filing

13F book

$190.3M

Positions

80

1 new · 2 sold

Largest name

9.2%

Morgan Stanley Etf Trust

Est. mark

−$4.78M

Price effect on 79 names still held. Flow $4.1M.
NameTickerSharesValueWeightEst. markChange
Morgan Stanley Etf Trust343.4K$17.4M9.2%−$251.9KAdded$129.8K
John Hancock Exchange Traded536.2K$13.5M7.1%−$104.2KAdded$221.1K
Putnam Etf Trust288.5K$13.4M7.0%$234.2KAdded$527.5K
Vanguard Admiral Fds Inc91.1K$10.4M5.5%$229.6KCut$63.9K
Capital Group Growth Etf247.6K$9.95M5.2%−$1MAdded−$478.1K
Rbb Fd Inc184.8K$9.22M4.8%−$3.69KCut−$180.1K
Ishares Tr13.8K$9.02M4.7%−$420.9KAdded−$68.2K
Capital Group Equity Etf Tr278.3K$8.17M4.3%$132.6KAdded$818.2K
Pgim Etf Tr180.7K$7.65M4.0%−$73.1KAdded$219.8K
Ishares Tr333.5K$7.64M4.0%−$37.5KAdded$125.8K
Ishares Tr107.9K$7.29M3.8%$153.4KAdded$671.9K
Ishares Tr46K$5.72M3.0%$188.6KAdded$232.9K
Ishares Tr53.5K$5.31M2.8%−$31.3KAdded$189.3K
Morgan Stanley Etf Trust93.3K$4.9M2.6%−$47.6KAdded$46.1K
Spdr S&P 500 Etf Tr5.47K$3.56M1.9%−$172.9KCut−$220.7K
Ishares Tr14.7K$3.09M1.6%−$13KAdded$120.1K
Ishares Tr27K$3.05M1.6%−$262.2KAdded−$129.1K
Pgim Etf Tr38.9K$2.16M1.1%−$221.7KAdded−$134.2K
Alphabet Inc6.6K$1.89M1.0%−$177.9KCut−$395.6K
Apple Inc.AAPL7.08K$1.8M0.9%−$127.9KAdded−$127.6K
Ishares Tr21.3K$1.69M0.9%−$22.1KAdded$32.2K
Microsoft CorpMSFT4.24K$1.57M0.8%−$400.1KAdded−$135.8K
Ishares Tr16.8K$1.52M0.8%$17.3KAdded$70.7K
Nvidia CorpNVDA8.4K$1.46M0.8%−$101.6KCut−$178.3K
Amazon Com IncAMZN6K$1.25M0.7%−$134.4KAdded−$126.5K
Meta Platforms, Inc.META2.12K$1.22M0.6%−$177.2KAdded−$114.2K
Ishares Tr19.9K$1.13M0.6%$38.6KAdded$114.5K
Netflix IncNFLX10.8K$1.04M0.5%$24.4KAdded$81K
Walmart Inc.WMT7.63K$948.7K0.5%$98.3KCut$15.6K
Amphenol Corp New6.92K$874K0.5%−$60.8KCut−$80K
Northrop Grumman Corp1.28K$873.3K0.5%$143.4KCut$82.4K
Visa Inc.V2.85K$862.6K0.5%−$135.2KAdded−$115.9K
Johnson & JohnsonJNJ3.4K$830.7K0.4%$127.4KCut−$33.2K
Pepsico IncPEP5.3K$823.4K0.4%$62.3KCut$60.4K
Cisco Sys Inc10.5K$814K0.4%$5.88KCut−$441
Advanced Micro Devices IncAMD3.99K$811.1K0.4%−$42.8KCut−$113.7K
Berkshire Hathaway Inc Del1.69K$808.9K0.4%−$38.6KAdded−$17.5K
Analog Devices IncADI2.54K$807.1K0.4%$119.1KCut$32.8K
Morgan Stanley4.87K$800.8K0.4%−$62.3KAdded−$52.4K
Citigroup Inc7.04K$799K0.4%−$21.7KAdded$25.7K
Exxon Mobil Corp4.7K$797.2K0.4%$231.7KCut$46.8K
Pgim Etf Tr19K$790.9K0.4%−$10.2KCut−$48.1K
Mckesson CorpMCK908$785.8K0.4%$40.9KCut−$56.7K
Chubb Limited2.41K$785.3K0.4%$33.3KCut$7.67K
Jpmorgan Chase & Co.2.65K$780.6K0.4%−$74.4KAdded−$74.1K
Tesla, Inc.TSLA2.09K$775.8K0.4%−$161.2KAdded−$153.7K
ConocophillipsCOP5.86K$773.4K0.4%$224.9KCut$123.5K
Bank America Corp15.8K$771.8K0.4%−$97.7KAdded−$87.8K
Eli Lilly & CoLLY832$765.2K0.4%−$128.9KCut−$165.4K
AbbVie Inc.ABBV3.52K$764.9K0.4%−$38.2KAdded−$29.3K
Honeywell Intl Inc3.28K$741.6K0.4%$98.4KAdded$121.4K
American Express CoAXP2.4K$726.3K0.4%−$162KCut−$164.6K
Philip Morris Intl Inc4.36K$720.8K0.4%$20.5KAdded$54.7K
Schwab Charles Corp7.24K$680.2K0.4%−$40.4KAdded−$1.16K
Thermo Fisher Scientific Inc.TMO1.38K$676.1K0.4%−$120.6KAdded−$118.6K
Uber Technologies, IncUBER9.39K$675.6K0.4%−$86.4KAdded−$46.4K
Oreilly Automotive Inc7.32K$675.3K0.4%$7.93KAdded$17.4K
Broadcom Inc.AVGO2.18K$674.7K0.4%−$78.2KAdded−$65.2K
Spdr Index Shs Fds14.4K$674.4K0.4%$1.44KCut−$16.3K
Intuitive Surgical IncISRG1.46K$671.2K0.4%−$151.3KAdded−$142.1K
Mastercard IncMA1.33K$666K0.4%−$91.7KAdded−$68.7K
Unitedhealth Group IncUNH2.45K$662.4K0.3%−$125KAdded−$30.8K
Qualcomm Inc4.81K$619.4K0.3%−$186.7KAdded−$136.1K
Adobe Inc.ADBE2.55K$619.1K0.3%−$201.3KAdded−$39.9K
Abbott LabsABT5.97K$612.9K0.3%−$125.6KAdded−$82.5K
Salesforce, Inc.CRM3.26K$608.2K0.3%−$207KAdded−$92.6K
Cigna GroupCI2.27K$605.5K0.3%−$18.2KAdded$13.5K
Progressive Corp3.02K$598.5K0.3%−$82.6KAdded−$39.8K
Marsh & Mclennan Cos Inc3.45K$598.4K0.3%−$38.6KAdded$4.55K
ServiceNow, Inc.NOW5.69K$595.2K0.3%−$168KAdded$66.2K
Intuit Inc.INTU1.37K$591.1K0.3%−$213.5KAdded−$23.7K
Vanguard Index Fds1.77K$568.8K0.3%−$25.6KHeld
Fs Kkr Cap Corp49K$507.4K0.3%−$178.1KAdded−$84.3K
RTX CorpRTX1.92K$369.6K0.2%$18.2KCut$8.48K
Alphabet Inc1.1K$317.3K0.2%−$28KCut−$224.3K
Cardinal Health IncCAH1.46K$308.5K0.2%$8.45KAdded$9.51K
Ameriprise Finl Inc623$276.9K0.1%−$28.6KHeld
Caterpillar IncCAT298$211.3K0.1%New
Medical Pptys Trust IncMPT41.6K$192.5K0.1%−$15.4KCut−$53.5K
Hive Digital Technologies Lt10K$19K0.0%−$6.8KHeld

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.