13F

Investor

HFG Advisors, Inc.

CIK 0001911087 · filed 2026-05-08 · SEC filing

13F book

$142.1M

Positions

117

15 new · 8 sold

Largest name

8.0%

Invesco Qqq Tr

Est. mark

−$1.95M

Price effect on 102 names still held. Flow $6.03M.
NameTickerSharesValueWeightEst. markChange
Invesco Qqq Tr—19.6K$11.3M8.0%−$729.2KCut−$1.13M
First Tr Exchange Traded Fd—143.7K$8.68M6.1%−$356.2KAdded−$343.7K
First Tr Exchange Traded Fd—126.4K$8.63M6.1%−$123.1KAdded$1.44M
First Tr Exchange-Traded Fd—122.3K$6.21M4.4%$776KAdded$884.1K
Vanguard Index Fds—33.6K$6.19M4.4%$224KAdded$436.3K
Vanguard Index Fds—22.3K$5.74M4.0%−$467.5KAdded−$251.8K
Ishares Tr—11.9K$4.25M3.0%−$199KAdded−$148.3K
Ishares Tr—55.8K$3.17M2.2%$114KAdded$168.6K
First Tr Exchange-Traded Alp—20.2K$3.12M2.2%−$114.4KAdded−$72K
Ishares Tr—35.3K$2.81M2.0%−$36.3KAdded$75K
T Rowe Price Etf Inc—78.8K$2.81M2.0%−$202.5KAdded−$137.3K
Ishares Tr—28.8K$2.79M2.0%$30.8KAdded$106.1K
Procter And Gamble CoPG19.3K$2.79M2.0%$21.8KCut−$91.1K
Vanguard Admiral Fds Inc—13.2K$2.69M1.9%−$13.7KAdded$49.5K
Vanguard Bd Index Fds—35.6K$2.62M1.8%−$14.5KAdded$116.9K
Ishares Tr—17.9K$2.43M1.7%$249.5KAdded$275.9K
Vanguard Index Fds—7.05K$2.26M1.6%−$102KCut−$172.8K
First Tr Exchange-Traded Alp—23.1K$2.24M1.6%$19.7KAdded$48.5K
Ishares Tr—18.4K$2.03M1.4%$4.3KAdded$62.5K
Spdr Series Trust—21.3K$1.96M1.4%$3.38KAdded$769K
Vanguard Index Fds—3.21K$1.92M1.4%−$93.1KAdded−$54.2K
Alphabet Inc—6.36K$1.83M1.3%−$139.4KAdded$112.8K
Dimensional Etf Trust—48.3K$1.69M1.2%$100.6KAdded$154K
Ishares Tr—55.4K$1.68M1.2%−$35.5KCut−$96.8K
Ishares Tr—2.26K$1.48M1.0%−$71.7KHeld
Vanguard Admiral Fds Inc—3.59K$1.46M1.0%−$132.4KHeld
Microsoft CorpMSFT3.91K$1.45M1.0%−$293.7KAdded$195.6K
Apple Inc.AAPL5.43K$1.38M1.0%−$78KAdded$203.9K
Ishares Tr—3.22K$1.37M1.0%−$150.8KHeld
Ge Aerospace—4.72K$1.34M0.9%−$104.3KAdded$14.9K
First Tr Exchange-Traded Fd—5.52K$1.29M0.9%−$186.7KAdded−$137.1K
First Tr Exchange Traded Fd—22.6K$1.27M0.9%−$89.3KAdded−$26.2K
Spdr Series Trust—14.7K$1.25M0.9%$6.64KAdded$135.8K
Pgim Etf Tr—24.3K$1.24M0.9%—New
First Tr Exchange Traded Fd—23.2K$1.15M0.8%$96.4KAdded$206.2K
Enterprise Prods Partners L—30.3K$1.15M0.8%$175.3KCut$79.2K
Energy Transfer L P—52.3K$1.01M0.7%$147.1KCut−$135.2K
Ishares Tr—14.9K$1.01M0.7%$22.8KHeld
GE Vernova Inc.GEV1.12K$977.6K0.7%$232.3KAdded$285.5K
Vanguard Index Fds—4.48K$973.5K0.7%$24.2KAdded$36.1K
Ishares Tr—3.67K$909.6K0.6%$6.63KCut−$77.3K
First Tr Exchange-Traded Fd—9.57K$887.4K0.6%$2.39KCut−$982K
Lincoln Natl Corp Ind—23.3K$826.6K0.6%−$204.1KAdded−$180.1K
Ishares Tr—6.98K$821.4K0.6%−$78.7KHeld
Fifth Third Bancorp—15.7K$730.3K0.5%−$5.42KAdded$4.84K
Broadcom Inc.AVGO2.31K$713.7K0.5%−$34.6KAdded$386.3K
Vanguard Specialized Funds—3.26K$701.1K0.5%−$15.4KHeld
Ishares Tr—5.5K$683.1K0.5%$22.7KCut$18.5K
First Tr Exchange-Traded Fd—14.3K$638.8K0.4%—New
First Tr Exchange-Traded Fd—3.13K$628.2K0.4%—New
First Tr Exch Trd Alphdx Fd—11.5K$626.8K0.4%$9.82KHeld
Nvidia CorpNVDA3.54K$617.4K0.4%−$18.6KAdded$330.9K
Berkshire Hathaway Inc Del—1.21K$580.8K0.4%−$23.8KAdded$71.1K
Capital Group Growth Etf—14.4K$579.9K0.4%−$61.8KHeld
First Tr Exchng Traded Fd Vi—16.2K$572.6K0.4%−$8.28KAdded$1.78K
AbbVie Inc.ABBV2.49K$542.2K0.4%−$10.1KAdded$332K
First Tr Exchange-Traded Alp—4.32K$527.1K0.4%$14.3KCut−$14K
Old Rep Intl Corp—13.1K$522.1K0.4%−$69.4KAdded−$29.5K
Amazon Com IncAMZN2.5K$520.7K0.4%−$33.5KAdded$177.4K
RTX CorpRTX2.69K$518.9K0.4%$19.8KAdded$136.9K
First Tr Exchange Traded Fd—6.3K$514K0.4%$11.1KCut−$659.6K
First Tr Exchange-Traded Fd—5.11K$498.8K0.4%−$8.89KCut−$299.4K
Johnson & JohnsonJNJ2.02K$492.5K0.3%$62.3KAdded$148.6K
Venture Global, Inc.VG31K$489.2K0.3%—New
Invesco Exchange Traded Fd T—3.85K$484.8K0.3%−$4.54KHeld
Ishares Tr—2.58K$453.2K0.3%$56.6KHeld
Cincinnati Finl Corp—2.85K$448K0.3%−$17KCut−$401.3K
Alphabet Inc—1.5K$431.4K0.3%—New
Ishares Tr—3.55K$401.8K0.3%−$36.1KCut−$111.7K
First Tr Exchange-Traded Alp—4.09K$387.2K0.3%$22.1KHeld
Eli Lilly & CoLLY418$384.5K0.3%−$46.2KAdded$64.2K
Capital Group Core Equity Et—9.93K$381.3K0.3%−$18KHeld
First Horizon Corporation—15.9K$362.8K0.3%−$18KAdded−$13.8K
Vanguard Scottsdale Fds—3.3K$361.8K0.3%−$39.8KHeld
First Tr Exchange Traded Fd—9.27K$357.9K0.3%$99KHeld
Global X Fds—4.65K$354.8K0.3%$19.4KAdded$48.8K
Capital Group Dividend Value—8.34K$354.8K0.3%−$9.17KHeld
Rio Tinto Plc—3.75K$349.7K0.2%$49.7KHeld
Tcw Etf Trust—8.84K$347.3K0.2%−$2.92KCut−$104.3K
Ishares Tr—4.77K$334.5K0.2%$3.62KHeld
Taiwan Semiconductor Mfg Ltd—978$330.5K0.2%$33.3KCut−$92.5K
Totalenergies SeTTE3.57K$324.8K0.2%—New
First Tr Exchange Traded Fd—2.04K$323.5K0.2%−$19.2KHeld
First Tr Exchange-Traded Fd—1.43K$309.5K0.2%−$20.4KHeld
Jpmorgan Chase & Co.—1.04K$305K0.2%−$29KAdded−$28.1K
Ishares Tr—3.04K$302.2K0.2%−$1.86KHeld
Wells Fargo Co New—3.7K$294.2K0.2%−$50.2KCut−$146.5K
Ishares Tr—2.25K$287.6K0.2%−$19.8KCut−$46.4K
Vanguard World Fd—902$281.6K0.2%$12.5KCut−$10.8K
Vanguard Scottsdale Fds—2.71K$271.5K0.2%$1.76KCut−$428
Aflac IncAFL2.44K$267.5K0.2%−$1.37KHeld
Invesco Exch Traded Fd Tr Ii—3.5K$256K0.2%$6.02KHeld
Cvs Health CorpCVS3.47K$248.9K0.2%−$20.9KAdded$28.9K
United Parcel Service IncUPS2.52K$248.3K0.2%−$1.7KAdded$40.9K
First Tr Exchange Traded Fd—11K$246.9K0.2%$65.8KCut$20.5K
Ishares Tr—784$246K0.2%−$7.21KHeld
Mastercard IncMA492$245.8K0.2%−$27.4KAdded$26K
Merck & Co., Inc.MRK1.95K$235K0.2%$28.7KAdded$34.1K
Meta Platforms, Inc.META406$232.3K0.2%—New
Mplx Lp—4.05K$231.1K0.2%$15KHeld
Philip Morris Intl Inc—1.39K$229.3K0.2%—New
Amgen IncAMGN647$227.6K0.2%—New
Union Pac Corp—912$221.3K0.2%—New
Spdr S&P 500 Etf Tr—340$221.1K0.2%−$9.57KAdded$14.5K
Exxon Mobil Corp—1.3K$220.2K0.2%—New
Manulife Finl Corp—6.37K$219.3K0.2%−$11.7KHeld
Wisdomtree Tr—4.24K$213.4K0.1%$50Added$1.61K
Vanguard World Fd—304$212.1K0.1%−$17KHeld
Select Sector Spdr Tr—1.56K$207.7K0.1%−$17.3KHeld
First Tr Exch Traded Fd Iii—11.7K$207.2K0.1%−$5.49KHeld
Lockheed Martin CorpLMT341$206.1K0.1%—New
Vanguard Index Fds—708$203.3K0.1%−$2.15KHeld
Ishares Tr—1.41K$203.3K0.1%—New
Ishares Tr—2.24K$202.8K0.1%$2.4KHeld
Chubb Limited—617$201.1K0.1%—New
Ishares Tr—1.36K$200.4K0.1%−$856Held
Ishares 0-3 Month—1.99K$200K0.1%—New

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.