13F

Investor

ELEVATUS WELATH MANAGEMENT

CIK 0001982776 · filed 2026-04-15 · SEC filing

13F book

$190.8M

Positions

141

13 new · 28 sold

Largest name

5.2%

Nvidia Corp · NVDA

Est. mark

−$1.54M

Price effect on 128 names still held. Flow −$173.4M.
NameTickerSharesValueWeightEst. markChange
Nvidia CorpNVDA56.4K$9.84M5.2%−$683KCut−$7.15M
Vaneck Etf Trust351.8K$8.96M4.7%$23Cut−$1.12M
Microsoft CorpMSFT23.8K$8.8M4.6%−$2.7MCut−$10.9M
Blackrock Etf Trust Ii157.5K$8.18M4.3%−$132.4KCut−$2.37M
Ishares Tr68.3K$6.78M3.6%−$16.8KAdded$4.04M
Alphabet Inc21.3K$6.12M3.2%−$574.6KCut−$7.95M
Curtiss Wright CorpCW8.22K$5.6M2.9%$1.07MHeld
Vanguard Index Fds28.5K$5.59M2.9%$148.5KCut−$4.69M
Apple Inc.AAPL21.9K$5.55M2.9%−$394.9KCut−$5.84M
Spdr Gold Tr10.7K$4.62M2.4%$364.9KCut−$3.4M
Amazon Com IncAMZN21.7K$4.51M2.4%−$488.4KCut−$5.43M
Chevron Corp NewCVX20K$4.14M2.2%$1.09MCut$364.4K
Invesco Actively Managed Exc157K$4M2.1%−$6.28KCut−$427K
Janus Detroit Str Tr78K$3.93M2.1%−$16.4KCut−$734.3K
Walmart Inc.WMT29.6K$3.68M1.9%$380.9KCut−$1.96M
Vanguard Index Fds6.09K$3.64M1.9%−$179.7KCut−$13.9M
J P Morgan Exchange Traded F71.2K$3.6M1.9%$1.38KCut−$418.2K
Janus Detroit Str Tr63.4K$3.1M1.6%−$17.7KCut−$4.81M
Vanguard Growth Etf7.01K$3.06M1.6%−$358KCut−$1.16M
Exxon Mobil Corp17.4K$2.96M1.6%$860.5KCut$713.6K
Ishares Tr29.8K$2.9M1.5%$32.8KCut−$10.9M
Ventas, Inc.VTR34.7K$2.84M1.5%$152.8KCut−$4.51M
Direxion Shs Etf Tr58.1K$2.78M1.5%$341.4KCut−$1.54M
Broadcom Inc.AVGO8.91K$2.76M1.4%−$326KCut−$1.21M
Alphabet Inc8.89K$2.56M1.3%−$226.2KCut−$826.2K
Meta Platforms, Inc.META4.31K$2.47M1.3%−$379.2KCut−$2.33M
Advanced Micro Devices IncAMD10.6K$2.15M1.1%−$113.2KCut−$1.15M
Keysight Technologies, Inc.KEYS7.49K$2.11M1.1%$592.9KCut−$1.03M
Spdr S&P 500 Etf Tr3.01K$1.96M1.0%−$95KCut−$504.1K
APA CorpAPA42.8K$1.82M1.0%$769.3KCut$755.5K
Dbx Etf Tr16.1K$1.63M0.9%$90.4KAdded$286.9K
Dbx Etf Tr28.1K$1.55M0.8%−$2.11KAdded$305.9K
Dbx Etf Tr31.1K$1.54M0.8%$32.7KAdded$315.5K
Vanguard World Fd2.19K$1.53M0.8%−$122.8KCut−$204.2K
Paychex IncPAYX16.1K$1.49M0.8%−$323.4KCut−$712.1K
Vanguard Tax-Managed Fds23K$1.47M0.8%$37KHeld
Jpmorgan Chase & Co.4.81K$1.41M0.7%−$134.9KCut−$3.5M
Vanguard Index Fds6.42K$1.39M0.7%$35KCut−$5.21M
Applied Matls Inc4.02K$1.37M0.7%$341.1KCut−$1.41M
Ishares Tr14.2K$1.35M0.7%New
Ishares Tr23.7K$1.34M0.7%$49.2KCut−$6.91M
Lattice Semiconductor CorpLSCC13.4K$1.25M0.7%$257.7KCut−$1.55M
Pan Amern Silver Corp21.9K$1.2M0.6%$61.8KCut−$2.17M
Invesco Qqq Tr1.99K$1.15M0.6%−$71.7KAdded−$39.4K
Berkshire Hathaway Inc Del2.24K$1.07M0.6%−$52.5KCut−$5.9M
Vanguard Whitehall Fds6.88K$1.02M0.5%$29.7KAdded$89.1K
Ishares Tr2.25K$961.7K0.5%−$105.7KAdded−$104.8K
Taiwan Semiconductor Mfg Ltd2.77K$935.4K0.5%$89.2KAdded$139.3K
Ishares Tr10.3K$933.1K0.5%$11.1KCut−$57.7K
Vanguard Scottsdale Fds9.5K$890.4K0.5%$13.6KAdded$16.7K
Palantir Technologies Inc.PLTR5.97K$872.7K0.5%−$187.8KCut−$199.3K
Vanguard Index Fds3.12K$817.7K0.4%$12.3KCut−$172.7K
Oracle Corp5.51K$810.9K0.4%−$263.6KCut−$415.8K
J P Morgan Exchange Traded F14.3K$809.2K0.4%−$7.95KCut−$15.2K
Tesla, Inc.TSLA2.17K$808.2K0.4%−$169.5KCut−$182.5K
Pepsico IncPEP4.36K$677.7K0.4%$49.9KAdded$69.3K
Vanguard Bd Index Fds8.5K$666.3K0.3%−$3.4KCut−$22.5K
Vanguard Specialized Funds2.9K$623.9K0.3%−$11.2KAdded$101.5K
Danaher Corporation3.24K$614.1K0.3%−$127.2KAdded−$126.3K
Lam Research CorpLRCX2.85K$609.3K0.3%$114.4KAdded$148.1K
Costco Whsl Corp New579$576.6K0.3%$76.7KAdded$79.7K
Select Sector Spdr Tr3.87K$567.9K0.3%−$31.6KAdded−$29.3K
Vanguard Index Fds1.96K$563.8K0.3%−$5.92KCut−$560.9K
Select Sector Spdr Tr11.3K$558.6K0.3%−$60.8KAdded−$58K
RTX CorpRTX2.86K$551.9K0.3%$27.2KCut−$38.9K
Select Sector Spdr Tr4.84K$536.9K0.3%−$33.2KCut−$64.1K
Deere & CoDE938$528.5K0.3%$85.3KAdded$123K
Tidal Trust Iii29.3K$527.6K0.3%−$21.1KCut−$82.3K
Howmet Aerospace Inc.HWM2.22K$511.9K0.3%$56.5KCut−$2.31M
Coca Cola CoKO6.72K$511.1K0.3%$41.3KCut$23.7K
Texas Instrs Inc2.6K$503.8K0.3%$52.4KAdded$62.9K
Thermo Fisher Scientific Inc.TMO1K$491.8K0.3%−$86.9KAdded−$78K
AbbVie Inc.ABBV2.2K$478K0.3%−$24.2KCut−$293.3K
Lockheed Martin CorpLMT785$474.6K0.2%$95.1KCut$93.2K
Tidal Trust Iii27.1K$471.9K0.2%−$50KAdded$32.6K
Ishares Tr3.04K$471.4K0.2%−$38.3KAdded−$29.9K
Merck & Co., Inc.MRK3.91K$469.8K0.2%$52KAdded$106.2K
Ishares Tr686$448.4K0.2%−$21.7KAdded−$21K
Phillips 66PSX2.44K$443.8K0.2%$129.4KCut$115.4K
Philip Morris Intl Inc2.67K$440.6K0.2%$10.6KAdded$96.1K
Netflix IncNFLX4.55K$437.5K0.2%$8.88KAdded$89K
Eli Lilly & CoLLY463$425.4K0.2%−$72.2KCut−$127.1K
Applovin CorpAPP1.05K$417.9K0.2%−$289.6KCut−$1.91M
Nebius Group N.V.NBIS3.82K$396.2K0.2%New
Vanguard Bd Index Fds5.13K$395.7K0.2%−$3.58KCut−$29.8K
Select Sector Spdr Tr3.59K$391K0.2%−$37.4KCut−$57.7K
Verizon Communications IncVZ7.71K$387K0.2%$73KCut$52.8K
Capital One Finl Corp2.07K$378K0.2%−$104.1KAdded−$42.8K
Vanguard Whitehall Fds5.66K$372.1K0.2%−$9.9KAdded−$9.83K
Mastercard IncMA737$368.2K0.2%−$51.7KAdded−$47.2K
Johnson & JohnsonJNJ1.48K$361.5K0.2%$55.5KCut$47.4K
Global X Fds20.9K$358.4K0.2%−$10.9KCut−$27.1K
Emerson Elec Co2.67K$350.3K0.2%−$3.94KAdded$47.5K
Brookfield Corp8.5K$343.9K0.2%−$45.4KAdded−$40.1K
Hunt J B Trans Svcs Inc1.61K$340.4K0.2%$23.5KAdded$82K
Carpenter Technology CorpCRS858$338K0.2%$67.8KAdded$68.2K
Vontier CorpVNT9.46K$335.7K0.2%−$12.3KAdded$66.9K
Procter And Gamble CoPG2.29K$331.1K0.2%$2.56KAdded$6.89K
American Tower Corp New1.88K$324.6K0.2%−$5.47KAdded$4.19K
Wells Fargo Co New4K$318.8K0.2%−$50.9KAdded−$30.6K
Visa Inc.V1.05K$318.5K0.2%−$51.2KCut−$137.5K
Invesco Exchange Traded Fd T1.66K$318.3K0.2%$554Added$1.71K
Vanguard World Fd993$309.9K0.2%$13.5KAdded$14.5K
Cummins IncCMI551$296.4K0.2%$15KCut$1.71K
Select Sector Spdr Tr4.74K$290.6K0.2%$77.7KAdded$80.5K
Ishares Tr2.81K$287K0.1%−$796Cut−$3.26K
Vertiv Holdings CoVRT1.12K$281K0.1%$99.4KCut$27.1K
Ishares Tr2.01K$277.6K0.1%−$6.26KHeld
Ishares Tr1.12K$277.3K0.1%$1.9KAdded$29.2K
Starbucks CorpSBUX3.05K$273.6K0.1%$16.1KAdded$21.7K
Qxo Inc14K$272.5K0.1%New
Mcdonalds CorpMCD861$267.5K0.1%$4.1KAdded$15.9K
HCA Healthcare, Inc.HCA564$266.8K0.1%$3.63KAdded$6.47K
Ishares Tr2.12K$264.1K0.1%$8.79KCut−$111.4K
Ssga Active Tr9.14K$263.7K0.1%$12.4KHeld
Honeywell Intl Inc1.16K$261.8K0.1%$35.1KAdded$40.7K
Intuitive Surgical IncISRG563$259.5K0.1%−$58.6KAdded−$55.4K
Ishares Tr5.39K$252.4K0.1%−$38.9KCut−$7.55M
Vanguard Bd Index Fds3.39K$249.3K0.1%−$1.49KCut−$27.9K
Ishares Silver Tr3.63K$247.4K0.1%New
Fortinet, Inc.FTNT2.96K$241.6K0.1%$6.32KAdded$24.2K
ConocophillipsCOP1.8K$237.3K0.1%New
Corning Inc1.74K$236.6K0.1%New
American Elec Pwr Co Inc1.74K$228K0.1%New
Mckesson CorpMCK252$218.4K0.1%$11.4KCut−$4.19K
Waste Mgmt Inc Del948$217.8K0.1%$9.52KCut−$7.4K
Marathon Pete Corp888$216.9K0.1%New
Accenture Plc Ireland1.07K$212.8K0.1%−$72.2KAdded−$63.9K
Boeing Co1.06K$211.2K0.1%−$19.2KCut−$33.3K
Norfolk Southn Corp733$210.4K0.1%−$1.26KHeld
GE Vernova Inc.GEV237$206.9K0.1%New
Global X Fds5.27K$206.3K0.1%−$7.91KCut−$27.4K
Vaneck Etf Trust537$205.7K0.1%$12.4KCut−$10.6K
Spdr Index Shs Fds4.46K$203.4K0.1%New
Eastman Chem Co2.64K$201.1K0.1%New
Salesforce, Inc.CRM1.07K$200.4K0.1%New
Aes CorpAES12.7K$179K0.1%−$3.18KCut−$2.3M
Trinity Cap Inc11.5K$169K0.1%$663Added$4.38K
Eos Energy Enterprises Inc17.1K$84.8K0.0%−$111.1KCut−$626.8K
Coty Inc.COTY24.1K$48.5K0.0%New
T1 Energy Inc.TE10K$43.9K0.0%−$22.9KHeld

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.