13F

Investor

EVEXIA WEALTH LLC

CIK 0001975710 · filed 2026-04-16 · SEC filing

13F book

$363.7M

Positions

84

4 new · 4 sold

Largest name

6.1%

Kla Corp · KLAC

Est. mark

−$253.4K

Price effect on 80 names still held. Flow $6.09M.
NameTickerSharesValueWeightEst. markChange
Kla CorpKLAC12.6K$22.2M6.1%$4.2MCut−$301.8K
Broadcom Inc.AVGO57K$21.6M6.0%$1.96MAdded$4.92M
Barrick Mng Corp404K$17.4M4.8%−$2.6MAdded−$1.36M
Eli Lilly & CoLLY17.9K$16.7M4.6%−$2.57MCut−$5.33M
Hubbell IncHUBB30.1K$16.3M4.5%$1.92MCut$429.5K
Caseys Gen Stores Inc20.1K$14.8M4.1%$2.39MCut$1.6M
BlackRock, Inc.BLK13.7K$14M3.9%−$846.3KAdded$485.5K
Microsoft CorpMSFT35.2K$13.5M3.7%−$2.16MAdded$317.7K
Parker-Hannifin CorpPH13.5K$13.4M3.7%$722.3KCut−$1.24M
Intuit Inc.INTU32.4K$12M3.3%−$4.21MAdded−$147.4K
Apple Inc.AAPL43K$11.2M3.1%−$32.5KCut−$318.7K
Republic Svcs Inc46.9K$10M2.8%$117.3KCut−$7.78K
GE Vernova Inc.GEV9.55K$9.46M2.6%New
Williams Sonoma IncWSM47.7K$9.24M2.5%−$567.3KAdded$307.5K
Chubb Limited27.8K$9.17M2.5%$805.2KCut−$244.2K
Northrop Grumman Corp13.4K$9.13M2.5%$375KAdded$428.1K
Costco Whsl Corp New9.29K$9.11M2.5%$277.6KCut−$1.57M
Jpmorgan Chase & Co.28.9K$9.07M2.5%$161.8KAdded$491.8K
Invesco Exch Trd Slf Idx Fd446.4K$8.73M2.4%−$13.5KAdded$1.19M
HCA Healthcare, Inc.HCA17.5K$8.7M2.4%$324.6KAdded$338.1K
Spdr Gold Tr17.1K$7.44M2.0%$153.1KAdded$512.7K
Constellation Energy CorpCEG23.6K$6.89M1.9%−$134.1KAdded$5.74M
FirstCash Holdings, Inc.FCFS32.2K$6.58M1.8%$829.9KAdded$2.75M
Stryker CorpSYK18.1K$6.28M1.7%−$201.7KAdded$312.5K
Lowes Cos Inc25.1K$6.21M1.7%−$699.8KCut−$802.4K
EMCOR Group, Inc.EME6.86K$5.57M1.5%$1.01MAdded$1.15M
Broadridge Finl Solutions In32.7K$5.15M1.4%−$1.41MAdded$248.2K
Invesco Exch Trd Slf Idx Fd237.7K$4.68M1.3%−$18.4KAdded$641.4K
Reliance, Inc.RS13.4K$4.35M1.2%$117.9KCut$46.5K
Spdr Series Trust46.6K$4.26M1.2%−$444Added$578.7K
Ishares Tr163.6K$3.74M1.0%−$26.7KAdded$505.1K
Fidelity Wise Origin Bitcoin56.5K$3.61M1.0%−$925KAdded−$99.3K
Eog Res Inc26.4K$3.61M1.0%$691.1KCut−$58.2K
Invesco Exch Trd Slf Idx Fd143.4K$2.94M0.8%−$16.5KAdded$412.7K
Invesco Exch Trd Slf Idx Fd152.4K$2.85M0.8%−$18.9KAdded$393.2K
Invesco Exch Trd Slf Idx Fd128.4K$2.66M0.7%−$20.9KAdded$362.5K
Ishares Tr116.9K$2.59M0.7%−$22.7KAdded$350.7K
Alps Etf Tr38.2K$1.99M0.5%$102KAdded$285.9K
Invesco Exch Trd Slf Idx Fd61.8K$1.44M0.4%−$5.77KAdded$210.7K
Quanta Svcs Inc2.38K$1.42M0.4%$378.4KCut$374K
Vanguard Specialized Funds5.95K$1.33M0.4%−$8.05KAdded$48.9K
Strategy Inc8.85K$1.17M0.3%−$393.8KAdded−$331.6K
Invesco Exch Trd Slf Idx Fd68.4K$1.15M0.3%−$8.46KAdded$161.5K
Ishares Tr10.5K$1.08M0.3%$9.65KAdded$162.6K
On Semiconductor CorpON13.3K$946.6K0.3%$137.7KAdded$147.7K
Trane Technologies PlcTT1.95K$923.7K0.3%$165.2KAdded$191.7K
Asml Holding N V580$870.1K0.2%$137.2KCut$134.6K
Ishares Tr36.6K$818.8K0.2%−$2.65KAdded$119.6K
Morgan Stanley4.39K$795.5K0.2%$1.43KAdded$24.4K
Ishares Tr35.5K$773.4K0.2%−$4.55KAdded$108.1K
Nextpower Inc.NXT6.62K$738.5K0.2%$109.1KAdded$125K
Ishares Tr34.1K$715.5K0.2%−$5.99KAdded$96.9K
Ishares Tr28.3K$647.7K0.2%−$5.32KAdded$87.3K
Calamos Etf Tr27.1K$647.1K0.2%−$6.86KAdded$84.3K
Eaton Corp PlcETN1.6K$646.6K0.2%$113.7KAdded$125.4K
Tetra Tech Inc New20.1K$624.4K0.2%−$105.1KAdded−$85.9K
Ormat Technologies, Inc.ORA5.43K$609.9K0.2%−$39.3KAdded−$22.5K
First Solar, Inc.FSLR2.94K$589.2K0.2%−$101.8KAdded−$77.8K
Owens Corning New4.9K$579.7K0.2%−$23.8KAdded−$3.65K
Ishares Tr25.4K$564.7K0.2%−$3.05KAdded$77.1K
Nextera Energy Inc6.01K$554.5K0.2%$59.7KAdded$79.9K
Xylem Inc.XYL4.22K$544.2K0.1%−$45.7KAdded−$25.9K
Synopsys IncSNPS1.21K$504.7K0.1%−$101.3KAdded−$80K
Lam Research CorpLRCX1.69K$450.5K0.1%$98.1KAdded$101K
Applied Matls Inc1.09K$432.2K0.1%$102.5KCut$99.2K
ServiceNow, Inc.NOW4.72K$420.5K0.1%−$187.4KAdded−$133.3K
Nvent Electric PlcNVT2.97K$396K0.1%$83.5KAdded$91K
Albemarle Corp2.09K$387.2K0.1%$16.1KAdded$24.8K
Global X Fds19.7K$347.1K0.1%−$4.57KAdded$44.3K
Proshares Tr3.09K$332.2K0.1%−$5.58KAdded−$3.54K
Invesco Exch Trd Slf Idx Fd14.2K$319.5K0.1%−$2.04KAdded$39.2K
Vertiv Holdings CoVRT1.05K$314.1K0.1%New
Calamos Etf Tr14.5K$283.8K0.1%−$57.7KAdded−$13.6K
Abbott LabsABT2.76K$278.3K0.1%−$66.9KAdded−$65.3K
Alphabet Inc824$264.8K0.1%−$11.4KAdded$1.48K
United Parcel Service IncUPS2.38K$242.9K0.1%−$12.8KHeld
AbbVie Inc.ABBV1.1K$226.9K0.1%−$16.8KAdded−$15.1K
Nvidia CorpNVDA1.19K$224.8K0.1%$7.32KAdded$7.7K
Calamos Etf Tr10.6K$224.2K0.1%−$28KAdded$3.56K
Intuitive Surgical IncISRG483$221.7K0.1%−$39.9KAdded−$26.6K
Lockheed Martin CorpLMT328$203K0.1%New
Amazon Com IncAMZN841$201.7K0.1%New
MARA Holdings, Inc.MARA12.9K$134K0.0%−$8.89KAdded$2.41K
Twenty One Cap Inc12.5K$87.5K0.0%−$29.2KAdded−$15.7K

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.