13F

Investor

GSG Advisors LLC

CIK 0001995773 · filed 2026-05-13 · SEC filing

13F book

$385M

Positions

137

11 new · 8 sold

Largest name

22.8%

Vanguard Index Fds

Est. mark

−$15.2M

Price effect on 126 names still held. Flow $12.8M.
NameTickerSharesValueWeightEst. markChange
Vanguard Index Fds273.2K$87.6M22.8%−$3.85MAdded−$1.72M
Vanguard Whitehall Fds212.8K$31.5M8.2%$969.5KAdded$1.13M
Schwab Strategic Tr1.09M$27.5M7.1%−$1.22MAdded−$832.4K
Apple Inc.AAPL96K$24.4M6.3%−$1.74MCut−$3.31M
Schwab Strategic Tr491.5K$15.1M3.9%$1.55MAdded$2M
First Tr Exchange Traded Fd189.1K$12.9M3.4%−$210.9KAdded$598.5K
Ishares Tr60.5K$11.6M3.0%−$394KAdded$113.9K
Vanguard Growth Etf19.1K$8.33M2.2%−$864.4KAdded$75.2K
Microsoft CorpMSFT22.3K$8.26M2.1%−$2.4MAdded−$1.97M
Nvidia CorpNVDA47.2K$8.23M2.1%−$553.1KAdded−$298.2K
Vanguard Index Fds13.4K$8.03M2.1%−$377.1KAdded$35.8K
Vanguard Star Fds98.3K$7.58M2.0%$158.8KAdded$408.5K
First Tr Exchng Traded Fd Vi251.1K$6.22M1.6%−$100.2KAdded−$86.3K
Spdr S&P 500 Etf Tr9.42K$6.13M1.6%−$290.6KAdded−$154.7K
Ishares Tr8.93K$5.83M1.5%−$273.6KAdded−$77.6K
Amazon Com IncAMZN25.7K$5.35M1.4%−$569.9KAdded−$480.7K
Invesco Qqq Tr8.07K$4.66M1.2%−$296.5KAdded−$249.7K
Berkshire Hathaway Inc Del9.41K$4.51M1.2%−$206.7KAdded$80.4K
Ishares Tr31.3K$4.46M1.2%−$196KCut−$330.4K
Applovin CorpAPP10.3K$4.1M1.1%−$2.84MAdded−$2.84M
Vanguard Specialized Funds18.9K$4.06M1.1%−$89.1KCut−$105.4K
Ishares Inc33.4K$4M1.0%$25KAdded$93.2K
Ishares Tr23.3K$3.17M0.8%$322.6KAdded$385.6K
Pimco Etf Tr120.1K$3.15M0.8%−$30.6KAdded$1.44M
Ishares Tr40.3K$2.83M0.7%$30.1KAdded$77.2K
Johnson & JohnsonJNJ9.5K$2.32M0.6%$351KAdded$383.5K
Alphabet Inc8.01K$2.3M0.6%−$190.8KAdded−$46.4K
Vanguard Malvern Fds39.8K$2.03M0.5%−$4.02KAdded$1.67M
Palo Alto Networks IncPANW12.5K$2.01M0.5%−$298.1KAdded−$290K
Invesco Exchange Traded Fd T39.9K$1.83M0.5%−$783Added$1.01K
Broadcom Inc.AVGO5.86K$1.81M0.5%−$208.8KAdded−$159K
Vanguard Mun Bd Fds35.9K$1.79M0.5%−$14.3KAdded−$7.28K
Ishares Tr20.3K$1.76M0.5%$35.1KAdded$270.7K
Wisdomtree Tr19.3K$1.72M0.4%New
Ishares Tr26.1K$1.72M0.4%−$89.4KAdded−$88K
Ishares Tr10.4K$1.61M0.4%−$133KCut−$143.3K
Invesco Exchange Traded Fd T8.14K$1.56M0.4%$1.81KAdded$601.7K
Vanguard Index Fds7.37K$1.52M0.4%−$24.4KAdded−$20.1K
Vanguard Index Fds4.95K$1.48M0.4%−$79KAdded−$77.8K
Ishares Inc14.4K$1.46M0.4%−$22.9KAdded−$19.6K
Meta Platforms, Inc.META2.45K$1.4M0.4%−$204.7KAdded−$133.2K
Jpmorgan Chase & Co.4.57K$1.34M0.3%−$119.4KAdded−$28.2K
First Tr Exch Traded Fd Iii27.6K$1.31M0.3%−$10.7KAdded$9.5K
First Tr Exch Traded Fd Iii25.7K$1.3M0.3%−$12.1KAdded−$3.35K
Tesla, Inc.TSLA3.35K$1.24M0.3%−$244.8KAdded−$167.1K
Agnico Eagle Mines LtdAEM6K$1.22M0.3%$200.7KHeld
Vanguard Whitehall Fds12.7K$1.19M0.3%$53.6KAdded$56.8K
Schwab Strategic Tr42.9K$1.17M0.3%$26.9KAdded$30.3K
Alphabet Inc3.97K$1.14M0.3%−$107.1KAdded−$106.8K
Eaton Corp PlcETN3.02K$1.08M0.3%$117.8KAdded$122K
Vanguard Intl Equity Index F14K$1.05M0.3%$16KAdded$290K
S&P Global Inc.SPGI2.39K$1.02M0.3%−$226.7KAdded−$201.6K
Ishares Tr3K$985.9K0.3%$82.4KAdded$83.1K
Exxon Mobil Corp5.64K$956.3K0.2%$262.4KAdded$316K
Vulcan Matls Co3.33K$908.1K0.2%−$43KAdded−$40.8K
First Tr Exchange-Traded Fd9.67K$897.2K0.2%$2.38KAdded$3.86K
Ishares Tr3.7K$888.1K0.2%−$38.3KAdded−$37.4K
Astera Labs, Inc.ALAB7.54K$826.5K0.2%−$428KCut−$559.6K
Home Depot, Inc.HD2.33K$767.3K0.2%−$35.5KCut−$43.1K
Vanguard Malvern Fds9.54K$740.3K0.2%−$3.97KAdded$154.8K
First Tr Exchng Traded Fd Vi17K$739.1K0.2%−$12.3KCut−$28.1K
Berkshire Hathaway Inc Del1$718.1K0.2%New
Invesco Exchange Traded Fd T15K$711K0.2%$9.13KAdded$11.2K
Walmart Inc.WMT5.44K$675.8K0.2%$66.7KAdded$98.6K
Blackrock Etf Trust Ii13.4K$641.9K0.2%−$9.36KCut−$1.27M
Vanguard Wellington Fd4.3K$641K0.2%−$17.9KAdded−$16K
Vanguard Index Fds3.26K$639.7K0.2%$16.9KAdded$20.4K
Spdr Series Trust7.7K$608.4K0.2%−$26.4KAdded−$24.6K
Pacer Fds Tr9.12K$570.7K0.1%$21.5KAdded$29.1K
SkyWater Technology, LLCSKYT20K$548.2K0.1%$185KHeld
Procter And Gamble CoPG3.68K$531.9K0.1%$3.28KAdded$117.4K
Vanguard World Fd757$528.5K0.1%−$42.2KAdded−$39.4K
Ishares Bitcoin Trust EtfIBIT13.4K$514K0.1%−$105.3KAdded$48.2K
Costco Whsl Corp New509$506.8K0.1%$64.6KAdded$91.5K
Wisdomtree Tr4.44K$485.4K0.1%$32.9KCut−$10.8K
Oracle Corp3.25K$478.6K0.1%−$139.5KAdded−$90.2K
Eli Lilly & CoLLY516$474.6K0.1%−$74.2KAdded−$40.2K
AbbVie Inc.ABBV2.16K$469.9K0.1%−$22.9KAdded−$1.36K
Philip Morris Intl Inc2.69K$445.7K0.1%$12.3KAdded$46.7K
Capital Group Growth Etf10.8K$435.3K0.1%−$43.1KAdded−$12.1K
Ishares Tr4.6K$416.2K0.1%$4.92KHeld
Cisco Sys Inc5.16K$400.3K0.1%$2.66KAdded$27.3K
Global X Fds7.81K$396.8K0.1%$23.5KAdded$26K
Nextera Energy Inc3.96K$367.4K0.1%$47.8KAdded$62.8K
Ge Aerospace1.28K$362.7K0.1%−$16.5KAdded$153.5K
Vanguard World Fd981$360.4K0.1%−$44.5KHeld
Mastercard IncMA718$358.8K0.1%−$51.1KCut−$52.3K
Vanguard Wellington Fd1.8K$355K0.1%$10.5KHeld
Visa Inc.V1.16K$350K0.1%−$54.8KAdded−$46.3K
Vaneck Etf Trust908$348.1K0.1%$18.3KAdded$65.1K
Coca Cola CoKO4.55K$345.7K0.1%$26.7KAdded$41.2K
Pepsico IncPEP2.18K$338.8K0.1%$25.7KCut$11.6K
Blackstone Inc.BX2.91K$334.7K0.1%−$114KCut−$153.6K
First Tr Exch Traded Fd Iii16.5K$330.5K0.1%−$150Added$2.1K
Vanguard World Fd1.19K$325.3K0.1%−$18.5KHeld
Caterpillar IncCAT448$317.4K0.1%$56.3KAdded$79.6K
Boeing Co1.58K$315.3K0.1%−$28.3KAdded−$23.9K
Essential Utils Inc7.81K$314.4K0.1%$14.9KAdded$15.4K
Netflix IncNFLX3.24K$311.9K0.1%$7.24KAdded$28K
Chevron Corp NewCVX1.5K$311.2K0.1%$73.4KAdded$105.9K
Mcdonalds CorpMCD962$298.9K0.1%$4.85KAdded$11.7K
Lam Research CorpLRCX1.39K$296.3K0.1%$57.1KAdded$66.1K
Disney Walt Co3.04K$292.7K0.1%−$50.6KAdded−$38K
Palantir Technologies Inc.PLTR2K$292.6K0.1%−$61.5KAdded−$54.8K
Seagate Technology Hldngs Pl742$290.7K0.1%$84.9KAdded$89.7K
GE Vernova Inc.GEV328$286.3K0.1%New
Ishares Tr4.23K$285.5K0.1%$6.39KAdded$7K
Pacer Fds Tr8.45K$285.2K0.1%−$12.4KAdded−$11.8K
Verizon Communications IncVZ5.66K$284K0.1%$50.4KAdded$67.2K
Vanguard Index Fds959$275.5K0.1%−$2.92KAdded−$2.06K
First Tr Exchng Traded Fd Vi8.15K$275.1K0.1%−$3.99KHeld
United Parcel Service IncUPS2.77K$272.5K0.1%−$2.24KHeld
Goldman Sachs Group Inc317$267.8K0.1%−$9.42KAdded$26.1K
Bank America Corp5.25K$255.9K0.1%−$32.3KAdded−$28K
Linde PlcLIN498$246.9K0.1%New
Circle Internet Group, Inc.CRCL2.59K$246.8K0.1%$41.7KCut$15.7K
Ishares Tr1.75K$241.5K0.1%−$5.44KHeld
Micron Technology IncMU697$235.5K0.1%New
Yum Brands IncYUM1.51K$235K0.1%$6.02KAdded$18K
Advanced Micro Devices IncAMD1.15K$233.1K0.1%−$11.6KAdded$1.84K
Vanguard Bd Index Fds4.66K$232.1K0.1%−$231Added$615
Wells Fargo Co New2.91K$231.8K0.1%−$39.6KCut−$49.1K
Merck & Co., Inc.MRK1.91K$229.6K0.1%New
Booking Holdings Inc.BKNG54$227.4K0.1%−$56.1KAdded−$35.1K
Unitedhealth Group IncUNH822$222.4K0.1%−$49KCut−$60.2K
Ishares Tr5.19K$221K0.1%$16KAdded$17.1K
International Business Machs907$219.8K0.1%−$48.7KAdded−$48.2K
First Tr Exchange-Traded Fd4.5K$219.3K0.1%−$2.01KCut−$6.53K
Spdr Series Trust2.83K$216.5K0.1%New
Spdr Series Trust4.45K$214.9K0.1%$6.49KHeld
Salesforce, Inc.CRM1.14K$213.1K0.1%−$86.3KAdded−$78.7K
At&T Inc7.32K$212.3K0.1%New
Welltower Inc.WELL1.05K$206.9K0.1%New
Altria Group, Inc.MO3.1K$204.8K0.1%New
Nucor CorpNUE1.2K$203.3K0.1%New
CorMedix Inc.CRMD16K$108.6K0.0%−$77.4KHeld
Compugen LtdCGEN10.2K$21.8K0.0%$6.15KHeld

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.