13F

Investor

Eddie Patel Inc

CIK 0002078760 · filed 2026-05-11 · SEC filing

13F book

$130.2M

Positions

95

29 new · 38 sold

Largest name

7.2%

Select Sector Spdr Tr

Est. mark

−$2.32M

Price effect on 66 names still held. Flow −$1.7M.
NameTickerSharesValueWeightEst. markChange
Select Sector Spdr Tr152.3K$9.33M7.2%New
Select Sector Spdr Tr140.3K$6.44M4.9%New
Invesco Exch Traded Fd Tr Ii24.8K$5.88M4.5%−$378.9KCut−$2.21M
Invesco Qqq Tr9.67K$5.58M4.3%−$359KCut−$1.11M
Vaneck Etf Trust183.1K$5.26M4.0%New
Spdr Gold Tr11.7K$5.03M3.9%$397.4KCut−$7.27M
Ishares 0-3 Month41.9K$4.22M3.2%$8.02KAdded$1.35M
Neos Etf Trust84.5K$4.2M3.2%−$352.2KCut−$1.56M
Vanguard Bd Index Fds56.8K$3.9M3.0%New
Micron Technology IncMU8.63K$2.92M2.2%$439.1KAdded$524.6K
Amazon Com IncAMZN13.6K$2.84M2.2%−$249.6KAdded$281.7K
Nvidia CorpNVDA16K$2.79M2.1%−$193.8KCut−$597.1K
Argan IncAGX5.04K$2.74M2.1%$997.9KAdded$1.39M
Celestica IncCLS7.71K$2.17M1.7%−$105.3KAdded−$65.6K
Applovin CorpAPP5.43K$2.16M1.7%−$1.41MAdded−$1.29M
Sterling Infrastructure, Inc.STRL5.17K$2.1M1.6%$522.1KCut$451.6K
Nebius Group N.V.NBIS17.8K$1.85M1.4%$287.6KAdded$651.7K
Hims & Hers Health, Inc.HIMS85.1K$1.77M1.4%−$997KCut−$1.34M
Invesco Exchange Traded Fd T9.13K$1.75M1.3%New
Spdr Series Trust18.2K$1.74M1.3%−$8.07KAdded$1.21M
Alphabet Inc6.04K$1.73M1.3%−$162.9KCut−$367.2K
Kinross Gold Corp51.6K$1.58M1.2%$121.9KCut$109.7K
Coeur Mng Inc82.4K$1.55M1.2%$74.5KAdded$132.8K
Ssr Mining In51.1K$1.5M1.2%$380.8KCut$231.4K
Spdr S&P 500 Etf Tr2.17K$1.41M1.1%−$41.1KAdded$529.2K
Par Pac Holdings Inc22.2K$1.39M1.1%$610.6KCut$450.5K
Vanguard Index Fds2.28K$1.36M1.0%New
Rocket Lab CorpRKLB19.2K$1.24M0.9%−$106.6KCut−$395.2K
Lumentum Hldgs Inc1.76K$1.23M0.9%New
Spdr Series Trust13.2K$1.21M0.9%$3.43KCut−$401K
Spdr Series Trust48.5K$1.2M0.9%New
Newmont Corp10.9K$1.18M0.9%New
Ishares Tr23.2K$1.17M0.9%New
Meta Platforms, Inc.META2.01K$1.15M0.9%−$41.4KAdded$840.1K
Dycom Inds Inc3.4K$1.15M0.9%New
Powell Inds Inc2.05K$1.11M0.9%$455.9KCut$210.4K
Barrick Mng Corp27K$1.1M0.8%New
FabrinetFN2.07K$1.08M0.8%New
Ezcorp IncEZPW41.8K$1.06M0.8%$249.2KCut$48.7K
United Nat Foods Inc21.9K$988K0.8%$249.7KCut−$176K
Incyte CorpINCY10.1K$947.7K0.7%−$46.8KCut−$224.5K
Sandisk CorpSNDK1.47K$931.1K0.7%New
Millicom Intl Cellular S A12.4K$930.1K0.7%$242KCut$94.3K
Mercadolibre IncMELI529$914.2K0.7%−$94.1KAdded$253.2K
Adtalem Global Ed IncCVSA7.73K$890.9K0.7%$91KCut−$95.5K
Lemonade, Inc.LMND13.8K$865.2K0.7%−$117.3KCut−$408.7K
Advanced Micro Devices IncAMD4.24K$863.4K0.7%−$45.6KCut−$341.3K
Berkshire Hathaway Inc Del1.79K$858.7K0.7%−$42.1KCut−$178.3K
Uber Technologies, IncUBER11.9K$857K0.7%−$116.5KCut−$275.2K
Spotify Technology S.A.SPOT1.61K$781.6K0.6%−$131.7KAdded−$17.3K
Reddit, Inc.RDDT5.8K$781K0.6%−$299.6KAdded$57.7K
Circle Internet Group, Inc.CRCL7.93K$756.9K0.6%$127.6KAdded$128.7K
Apple Inc.AAPL2.97K$754K0.6%−$53.7KCut−$69.5K
Credo Technology Group Holdi7.99K$750.4K0.6%−$346.8KAdded−$247.1K
Ishares Tr7.86K$750K0.6%−$3.63KAdded$267.1K
Astera Labs, Inc.ALAB6.66K$729.8K0.6%−$367.9KAdded−$348.7K
Schwab Strategic Tr22.2K$680.6K0.5%$72.1KCut$52.3K
Dlocal LtdDLO52.1K$675.8K0.5%−$61KCut−$444.7K
Carnival Corp Ltd.CCL25.6K$662.8K0.5%−$119.4KCut−$365.6K
Microsoft CorpMSFT1.65K$610.5K0.5%−$187KCut−$456.9K
Harrow, Inc.HROW16.3K$574.4K0.4%−$223.8KCut−$645.7K
First Tr Exchange-Traded Fd2.63K$567.2K0.4%−$37.4KCut−$46.6K
Brinker Intl Inc3.92K$559.7K0.4%−$2.97KCut−$85.5K
AST SpaceMobile, Inc.ASTS6.68K$554K0.4%$68.5KCut$7.32K
Coinbase Global, Inc.COIN3.11K$542.6K0.4%New
Manulife Finl Corp15.7K$542.1K0.4%−$29KCut−$194.6K
Tempus AI, Inc.TEM11.5K$521.4K0.4%−$133.7KAdded−$49.4K
UiPath, Inc.PATH47K$521.2K0.4%−$248.4KCut−$439.8K
Oscar Health, Inc.OSCR45.3K$519.7K0.4%−$131.4KCut−$183.3K
Skywest IncSKYW5.6K$514.3K0.4%−$48.1KCut−$190.5K
One Stop Sys Inc67.1K$507.6K0.4%New
Ondas Hldgs IncONDS55.7K$503.8K0.4%New
Iren Limited14.5K$498.3K0.4%−$50.7KCut−$69.5K
SoFi Technologies, Inc.SOFI31.1K$494.3K0.4%−$320.6KCut−$324.6K
Applied Optoelectronics, Inc.AAOI5.79K$490K0.4%New
Ishares Tr5.32K$460.9K0.4%−$2.48KCut−$12M
Ishares Tr10.9K$460.4K0.4%New
Synchrony Financial5.84K$397.2K0.3%−$90KCut−$150.4K
eToro Group Ltd.ETOR13K$391K0.3%New
Omada Health, Inc.OMDA30.7K$385.5K0.3%New
Cloudflare, Inc.NET1.82K$376K0.3%$16.8KCut−$145K
Caterpillar IncCAT494$350.2K0.3%$66.8KAdded$67.5K
Cigna GroupCI1.24K$329.7K0.3%New
T1 Energy Inc.TE72.1K$316.5K0.2%New
Vanguard Scottsdale Fds3.96K$313.6K0.2%New
Fluence Energy, Inc.FLNC21.2K$291.4K0.2%−$127.5KCut−$240.7K
Strattec Sec Corp3.68K$288.1K0.2%$8.09KCut−$42.9K
Ttm Technologies IncTTMI2.65K$258.6K0.2%$75.5KCut−$696.7K
Ishares Tr4.95K$252.3K0.2%New
Ishares Tr2.37K$245.1K0.2%New
Schwab Strategic Tr7.12K$217.2K0.2%New
Crowdstrike Hldgs Inc549$214.5K0.2%−$42.8KCut−$565.4K
Vanguard Scottsdale Fds3.64K$213.1K0.2%New
Vanguard Whitehall Fds1.44K$212.5K0.2%New
Asml Holding N V157$207.2K0.2%$39.2KCut−$150.2K

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.