13F

Investor

Corps Capital Advisors, LLC

CIK 0002054234 · filed 2026-05-14 · SEC filing

13F book

$115.2M

Positions

96

16 new · 7 sold

Largest name

7.8%

Apple Inc. · AAPL

Est. mark

−$931.8K

Price effect on 80 names still held. Flow $19.6M.
NameTickerSharesValueWeightEst. markChange
Apple Inc.AAPL35.3K$8.96M7.8%−$414.6KAdded$2.73M
Nvidia CorpNVDA44.1K$7.7M6.7%−$499.3KAdded$1.24K
Amazon Com IncAMZN21.2K$4.41M3.8%−$427.6KAdded$38K
Netflix IncNFLX44.1K$4.24M3.7%$75.3KAdded$1.28M
Microsoft CorpMSFT11K$4.07M3.5%−$1.12MAdded−$688.1K
Oneok Inc /New/OKE44.1K$3.98M3.5%$688.8KAdded$987.1K
Goldman Sachs Group Inc4.4K$3.72M3.2%−$127.7KAdded$322.4K
Alphabet Inc12.9K$3.71M3.2%−$328.5KCut−$391.4K
Enterprise Prods Partners L92.8K$3.51M3.0%$491.1KAdded$785.7K
Energy Transfer L P179K$3.46M3.0%$460.3KAdded$754.2K
Crowdstrike Hldgs Inc8.31K$3.24M2.8%−$564.6KAdded−$133.1K
Meta Platforms, Inc.META4.96K$2.84M2.5%−$365.9KAdded$92.4K
Berkshire Hathaway Inc Del4.84K$2.32M2.0%−$90.4KAdded$384K
Palantir Technologies Inc.PLTR15.4K$2.25M2.0%−$395.4KAdded$16.4K
Costco Whsl Corp New2.17K$2.17M1.9%$291.5KCut$288.9K
Arm Holdings Plc13.8K$2.09M1.8%$402.1KAdded$1.04M
Alphabet Inc7.14K$2.05M1.8%−$149.3KAdded$310.6K
Mastercard IncMA3.93K$1.97M1.7%−$280.2KCut−$397.8K
RTX CorpRTX9.43K$1.82M1.6%$89.7KHeld
Enbridge Inc31.5K$1.71M1.5%$165.3KAdded$454.4K
Plains All Amern Pipeline L66.1K$1.48M1.3%$229.3KAdded$534.1K
Broadcom Inc.AVGO4.74K$1.47M1.3%−$74.2KAdded$766.1K
Tesla, Inc.TSLA3.91K$1.45M1.3%−$210.1KAdded$240.5K
Thermo Fisher Scientific Inc.TMO2.91K$1.43M1.2%−$255.5KCut−$342.4K
Verizon Communications IncVZ24.7K$1.24M1.1%$234KHeld
AbbVie Inc.ABBV5.69K$1.24M1.1%−$62.6KCut−$64.9K
Pepsico IncPEP7.45K$1.16M1.0%$87.7KHeld
Walmart Inc.WMT9.18K$1.14M1.0%$107.7KAdded$208.9K
Spdr Gold Tr2.59K$1.12M1.0%$71.5KAdded$282.3K
Brand Engagement Network Inc28.3K$1.07M0.9%$1.01MCut$882.3K
Exxon Mobil Corp6.28K$1.06M0.9%$207KAdded$559.5K
Applied Matls Inc2.94K$1M0.9%$177.1KAdded$467.7K
At&T Inc34.1K$988.7K0.9%$141.5KAdded$141.6K
Cheniere Energy Partners LpCQP15.1K$974.8K0.8%$116.5KAdded$415.8K
Fidelity Wise Origin Bitcoin16.2K$955.2K0.8%−$124.3KAdded$404.5K
Hess Midstream LpHESM24.3K$944.6K0.8%$74KAdded$360.1K
Lockheed Martin CorpLMT1.49K$899.9K0.8%$121.8KAdded$411.9K
GE Vernova Inc.GEV1.03K$897.3K0.8%$225.5KHeld
Canadian Pacific Kansas City11.4K$896.4K0.8%$57.3KCut$55.1K
Home Depot, Inc.HD2.69K$885K0.8%−$40.9KCut−$175.1K
Phillips 66PSX4.68K$853.3K0.7%$172.9KAdded$433.4K
J P Morgan Exchange Traded F15.1K$836.3K0.7%−$39.2KAdded−$38.9K
Salesforce, Inc.CRM4.25K$792.5K0.7%−$281.3KAdded−$160K
American Intl Group Inc10.4K$784.3K0.7%−$74.6KAdded$165.1K
Chevron Corp NewCVX3.57K$738.2K0.6%New
Marsh & Mclennan Cos Inc4.04K$701.6K0.6%−$32.6KAdded$200.7K
Reddit, Inc.RDDT5.15K$693.4K0.6%−$302.3KAdded−$36.4K
Jpmorgan Chase & Co.2.33K$685.4K0.6%−$65.4KHeld
Rio Tinto Plc6.95K$648K0.6%$65.8KAdded$251K
Ge Aerospace2.27K$644.2K0.6%−$53KAdded−$28.9K
Visa Inc.V2.11K$638K0.6%−$62.5KAdded$185.6K
Cisco Sys Inc8.18K$634.5K0.6%$4.57KAdded$4.65K
Ishares Silver Tr9.16K$624.2K0.5%$22.3KAdded$237.6K
Tc Energy Corp9.14K$572.2K0.5%$69.4KHeld
Intel CorpINTC11.8K$521.1K0.5%New
Rbb Fd Inc7.77K$512.5K0.4%−$42.6KAdded−$14.8K
Hf Sinclair CorpDINO7.88K$491.5K0.4%$128.5KHeld
J P Morgan Exchange Traded F8.65K$490.2K0.4%−$4.84KCut−$9.54K
Johnson & JohnsonJNJ1.97K$481.1K0.4%$73.8KCut$70.7K
American Tower Corp New2.69K$463.7K0.4%−$8.03KCut−$60.7K
Oracle Corp3.06K$449.6K0.4%−$84.4KAdded$105.4K
Lauder Estee Cos Inc6.18K$443.6K0.4%−$128KAdded$36.7K
Chubb Limited1.22K$397.6K0.3%$16.8KHeld
Imperial Oil LtdIMO2.9K$379.4K0.3%New
Kinder Morgan Inc Del11.3K$378.8K0.3%New
Sunoco Lp/Sunoco Fin Corp5.72K$372K0.3%New
Mckesson CorpMCK420$363.5K0.3%$18.9KHeld
Freeport-Mcmoran IncFCX6.16K$361.9K0.3%$49.2KHeld
Disney Walt Co3.67K$353.9K0.3%−$63.8KCut−$84.3K
Eog Res Inc2.43K$351.6K0.3%New
Targa Res Corp1.39K$348.8K0.3%New
Mplx Lp6.1K$348.4K0.3%New
Western Midstream Partners L8.32K$342.4K0.3%New
Robinhood Mkts Inc4.88K$338.5K0.3%−$122.4KAdded$22.4K
Taiwan Semiconductor Mfg Ltd922$311.6K0.3%$31.4KCut$30.2K
Nextera Energy Inc3.32K$308.8K0.3%New
Shell Plc3.32K$308.4K0.3%New
Williams Cos Inc4.12K$299.9K0.3%New
Viking Holdings LtdVIK4.06K$298.3K0.3%$8.4KHeld
Bhp Group Ltd4K$291K0.3%$49.5KHeld
Advanced Micro Devices IncAMD1.25K$254.3K0.2%−$13.4KHeld
Nrg Energy, Inc.NRG1.56K$228.4K0.2%New
Dtf Tax-Free Income 2028 Ter19K$217.6K0.2%$570Held
Canadian Nat Res Ltd4.4K$214.4K0.2%New
Eli Lilly & CoLLY233$214.3K0.2%−$36.1KHeld
Nuveen Mun Value Fd Inc23.5K$211.3K0.2%−$1.65KHeld
BETA Technologies, Inc.BETA13.8K$203.4K0.2%−$118.9KAdded−$44.8K
Vertiv Holdings CoVRT800$200.5K0.2%New
Brand Engagement Network Inc731.9K$190.3K0.2%New
Blackrock Muniyild Qult Fd I17.1K$187.8K0.2%−$5.47KHeld
Starwood Ppty Tr Inc10.5K$180.9K0.2%−$8.3KHeld
Rocket Cos Inc12.5K$178.1K0.2%−$63.9KHeld
Ford Mtr Co14.3K$164.6K0.1%−$22.5KHeld
Icahn Enterprises Lp16.5K$124.2K0.1%$0Held
Western Asset High Income Op25K$90.8K0.1%−$2KHeld
Southland Hldgs Inc123.9K$4.34K0.0%−$2.04KAdded$897

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.