13F

Investor

Hudock, Inc.

CIK 0001543536 · filed 2026-05-13 · SEC filing

13F book

$679.7M

Positions

200

16 new · 10 sold

Largest name

12.2%

Ishares Tr

Est. mark

−$5.58M

Price effect on 184 names still held. Flow $6.59M.
NameTickerSharesValueWeightEst. markChange
Ishares Tr127.3K$83.2M12.2%−$3.93MAdded−$1.57M
Vanguard Scottsdale Fds483.5K$40M5.9%−$483.2KAdded−$458.4K
Ishares Tr539.4K$36.4M5.4%$804.6KAdded$1.71M
Dimensional Etf Trust663.4K$35M5.2%$1.43MAdded$10.2M
Ishares Tr276.4K$34.4M5.1%$1.12MAdded$1.81M
Vanguard Intl Equity Index F602.6K$32.6M4.8%$174.8KCut$164.2K
Invesco Exch Traded Fd Tr Ii121.5K$28.9M4.2%−$1.68MAdded$1.11M
Invesco Qqq Tr46.3K$26.7M3.9%−$1.71MAdded−$1.61M
Vanguard Tax-Managed Fds372K$23.8M3.5%$598.9KCut−$953.5K
Ishares Tr210.2K$20.9M3.1%−$127.6KAdded−$23.9K
Ishares Tr129.4K$20.1M3.0%−$1.66MCut−$3.49M
Select Sector Spdr Tr334.2K$13.6M2.0%$141.5KAdded$1.75M
Berkshire Hathaway Inc Del28.5K$13.6M2.0%−$607.9KAdded$605.5K
Ishares Tr103.3K$12.5M1.8%−$588.6KCut−$743K
Victory Portfolios Ii301.7K$11.9M1.8%$26.3KAdded$1.56M
Ishares Tr114.3K$10.9M1.6%−$81.3KAdded$52.6K
New York Life Invts Active E412.5K$9.94M1.5%−$76.6KAdded$1.66M
J P Morgan Exchange Traded F176.7K$8.95M1.3%$3.56KCut−$3.29M
Apple Inc.AAPL35K$8.88M1.3%−$632KCut−$678.8K
Vanguard Index Fds13.1K$7.84M1.2%−$388.1KCut−$1.13M
Vaneck Etf Trust20.3K$7.77M1.1%$471.9KCut−$1.58M
Ishares Tr46K$6.55M1.0%−$270.2KAdded$132.4K
Jpmorgan Chase & Co.22K$6.47M1.0%−$612.3KAdded−$560.9K
Ishares Tr152.3K$6.45M0.9%−$75.6KAdded$659K
Caterpillar IncCAT8.28K$5.87M0.9%$1.12MAdded$1.14M
Invesco Exchange Traded Fd T42.2K$5.53M0.8%−$128.3KAdded−$81.3K
Nvidia CorpNVDA26.8K$4.67M0.7%−$318.3KAdded−$231.8K
Microsoft CorpMSFT12.5K$4.64M0.7%−$1.39MAdded−$1.3M
Schwab Strategic Tr137.4K$4.21M0.6%$446.5KCut−$3.69M
Exxon Mobil Corp24.6K$4.18M0.6%$1.15MAdded$1.36M
Invesco Exchange Traded Fd T35.8K$3.85M0.6%−$223.1KCut−$1.01M
Merck & Co., Inc.MRK31.2K$3.75M0.6%$447.7KAdded$612.5K
Chevron Corp NewCVX18.1K$3.74M0.6%$985.9KCut$968.3K
Ishares Tr43.6K$3.6M0.5%−$9.17KAdded$572.9K
Wisdomtree Tr53.5K$3.55M0.5%$253.6KCut−$434K
Johnson & JohnsonJNJ13.1K$3.2M0.5%$491.2KCut$467.2K
Procter And Gamble CoPG19.4K$2.81M0.4%$19.5KAdded$340.7K
Select Sector Spdr Tr60.4K$2.77M0.4%$184.9KAdded$306.1K
Eli Lilly & CoLLY2.99K$2.75M0.4%−$463.4KCut−$476.3K
Ishares Tr33.5K$2.69M0.4%New
Blackstone Inc.BX22.3K$2.56M0.4%−$870.7KAdded−$864.8K
Spdr Dow Jones Indl Average5.47K$2.53M0.4%−$94.2KAdded−$79.4K
Citizens Finl Svcs Inc40.8K$2.49M0.4%$164.9KAdded$217.6K
M & T Bk Corp11.8K$2.44M0.4%$60.7KAdded$102.1K
Amazon Com IncAMZN10.7K$2.22M0.3%−$225.9KAdded−$92.4K
Northwest Bancshares Inc MdNWBI172K$2.18M0.3%$118.7KCut−$45.5K
Coca Cola CoKO28.1K$2.14M0.3%$163.9KAdded$272.2K
Verizon Communications IncVZ40.1K$2.01M0.3%$359.4KAdded$468.8K
International Business Machs8.3K$2.01M0.3%−$446.7KCut−$1.41M
Amgen IncAMGN5.67K$1.99M0.3%$139.3KCut$71.9K
Alphabet Inc6.78K$1.94M0.3%−$182.6KCut−$275.2K
Pacer Fds Tr30.3K$1.89M0.3%$72.4KCut−$1.17M
Ishares Tr15.4K$1.64M0.2%−$14.8KCut−$907.6K
Alphabet Inc5.49K$1.58M0.2%−$135.3KAdded−$88.2K
Vanguard Star Fds20.4K$1.57M0.2%$29.1KAdded$257K
Home Depot, Inc.HD4.73K$1.56M0.2%−$35.1KAdded$763.5K
Hecla Mng Co82.1K$1.53M0.2%−$46KAdded−$45.6K
Walmart Inc.WMT12.3K$1.52M0.2%$157.7KCut$152.4K
Ishares Tr30.3K$1.41M0.2%−$45.4KAdded$84.2K
Select Sector Spdr Tr9.6K$1.41M0.2%−$77KAdded−$45.7K
Corning Inc10.2K$1.38M0.2%$491.9KAdded$492.4K
Vanguard Index Fds4.14K$1.33M0.2%−$59KAdded−$43K
Spdr Gold Tr3K$1.29M0.2%$102.1KCut$74.8K
Vertiv Holdings CoVRT5.12K$1.28M0.2%$453.2KCut$374K
Ishares Silver Tr18.8K$1.28M0.2%$69.9KCut$66.7K
Cisco Sys Inc16.3K$1.26M0.2%$9.16KCut−$754.5K
Goldman Sachs Group Inc1.41K$1.2M0.2%−$46.3KCut−$53.3K
Pepsico IncPEP7.43K$1.15M0.2%$83.3KAdded$137.6K
Vanguard Index Fds5.87K$1.15M0.2%$28.1KAdded$120.1K
Lockheed Martin CorpLMT1.82K$1.1M0.2%$217.6KAdded$227.3K
SoFi Technologies, Inc.SOFI68.9K$1.09M0.2%−$604.1KAdded−$441.5K
RTX CorpRTX5.32K$1.03M0.2%$49.5KAdded$72.3K
Meta Platforms, Inc.META1.78K$1.02M0.1%−$145KAdded−$68.3K
Nextera Energy Inc10.9K$1.02M0.1%$129.6KAdded$191.6K
Vanguard World Fd6.98K$1.01M0.1%$25.9KAdded$46.2K
Applied Matls Inc2.84K$971.2K0.1%$240.9KCut$234.2K
Citizens & Northn Corp43.2K$964K0.1%$93.6KCut$81.8K
Pfizer IncPFE33.5K$940.4K0.1%$106.5KCut$64.9K
Broadcom Inc.AVGO3.03K$939.1K0.1%−$102.6KAdded−$31.8K
Oracle Corp6.27K$921.9K0.1%−$219.5KAdded$26.5K
Vanguard Mun Bd Fds17.8K$889.3K0.1%−$7.13KAdded−$3.59K
Ppl Corp22.8K$872.3K0.1%$71.4KAdded$86.5K
Entergy Corp New7.65K$859.6K0.1%$152.4KAdded$152.9K
At&T Inc28.2K$818.7K0.1%$117.2KCut$111.5K
Ge Aerospace2.88K$818.2K0.1%−$70.1KAdded−$69.9K
Schwab Strategic Tr32.2K$807.6K0.1%−$36.3KAdded−$35.8K
Mcdonalds CorpMCD2.49K$773.5K0.1%$13.1KCut−$699.3K
Spdr S&P 500 Etf Tr1.18K$764.9K0.1%−$31.3KAdded$90.9K
Unitedhealth Group IncUNH2.82K$762.1K0.1%New
Ishares Tr3.45K$753.9K0.1%$14KCut−$21.8K
NIKE, Inc.NKE14.2K$752.5K0.1%New
Morgan Stanley4.5K$739.8K0.1%−$56.8KAdded−$37.7K
Vanguard Index Fds8.07K$716.2K0.1%$1.66KCut−$63.3K
Wells Fargo Co New8.63K$687K0.1%−$117.3KAdded−$117.2K
Vanguard World Fd963$672.1K0.1%−$53.8KCut−$59.8K
Duke Energy Corp New4.98K$652.4K0.1%$65.4KAdded$94.2K
Bank America Corp12.8K$624.5K0.1%−$77.6KAdded−$58.5K
Hershey CoHSY2.93K$609.4K0.1%$75.8KAdded$76.4K
Select Sector Spdr Tr3.75K$605.9K0.1%$17.8KAdded$188.9K
Lam Research CorpLRCX2.8K$598.6K0.1%$119KCut−$13.1K
Vanguard Intl Equity Index F4.27K$590.7K0.1%−$11.7KCut−$14.8K
Tesla, Inc.TSLA1.59K$590.3K0.1%−$122.9KAdded−$118.4K
Datadog, Inc.DDOG4.97K$586.7K0.1%−$77.2KAdded$1.14K
Ishares U S Etf Tr11.4K$578.1K0.1%−$2.7KAdded$52.9K
Marvell Technology, Inc.MRVL5.81K$575.1K0.1%$81.7KCut$14.6K
Visa Inc.V1.88K$568.4K0.1%−$91KAdded−$90.4K
Credo Technology Group Holdi5.86K$550.5K0.1%−$251.5KAdded−$172.9K
Aon plcAON1.69K$546.1K0.1%−$50.9KHeld
Waste Mgmt Inc Del2.35K$540.8K0.1%$23.8KAdded$24K
CoreWeave, Inc.CRWV6.97K$540.4K0.1%$32.6KAdded$141.6K
Wec Energy Group, Inc.WEC4.51K$522.5K0.1%$46.5KHeld
Intel CorpINTC11.7K$516.8K0.1%$84.7KCut$80.6K
Vaneck Etf Trust4.82K$500.5K0.1%$3.49KCut−$607.4K
AbbVie Inc.ABBV2.3K$499.4K0.1%−$24.6KAdded−$11.1K
Welltower Inc.WELL2.5K$494.3K0.1%$30.1KAdded$30.9K
Cloudflare, Inc.NET2.39K$493.8K0.1%New
Honeywell Intl Inc2.16K$487.4K0.1%$66.8KCut$50K
Pnc Finl Svcs Group Inc2.32K$483.3K0.1%−$1.37KAdded$40.3K
Cummins IncCMI896$482.2K0.1%$24.7KCut−$14.1K
Salesforce, Inc.CRM2.58K$480.9K0.1%−$112.4KAdded$100.5K
Ishares Tr4.41K$480.5K0.1%−$5.27KAdded−$2.77K
Philip Morris Intl Inc2.88K$476.7K0.1%$14KAdded$22.9K
Netflix IncNFLX4.96K$476.6K0.1%$9.62KAdded$98.9K
Air Prods & Chems Inc1.64K$476.2K0.1%$70.1KAdded$77.7K
Ishares Tr4.78K$463.8K0.1%New
Mastercard IncMA908$454.1K0.1%−$64.7KAdded−$64.2K
Schwab Strategic Tr17.4K$446K0.1%−$21.5KAdded−$9.82K
Union Pac Corp1.83K$444K0.1%$20.4KAdded$27.4K
Ea Series Trust10.8K$438.7K0.1%$22.8KAdded$28.3K
Fidelity Covington Trust11.9K$430.2K0.1%−$22.5KHeld
Texas Instrs Inc2.19K$424.5K0.1%$44.3KAdded$53.2K
Bank New York Mellon Corp3.52K$418.1K0.1%$8.95KHeld
Enterprise Prods Partners L10.6K$402.1K0.1%$61.4KCut$21.7K
Dominion Energy, IncD6.41K$396.3K0.1%$20.1KAdded$32.4K
Pimco Etf Tr3.94K$395.8K0.1%$937Cut−$468
Palo Alto Networks IncPANW2.42K$387.9K0.1%−$57.7KCut−$144.1K
United Rentals, Inc.URI515$375.5K0.1%−$41.7KAdded−$41K
Public Svc Enterprise Grp In4.62K$374K0.1%$3.01KCut−$69K
Schwab Strategic Tr12.5K$364.6K0.1%−$43.7KAdded−$43.6K
Prudential Finl Inc3.55K$347.1K0.1%−$53.9KCut−$87.6K
Etfs Gold Tr7.71K$343.8K0.1%$27.3KHeld
Vanguard Intl Equity Index F4.15K$342.3K0.1%−$4.66KAdded$10.4K
American Express CoAXP1.13K$342.1K0.1%−$76.3KHeld
Illinois Tool Wks Inc1.31K$340.1K0.1%$18.3KHeld
Spdr Index Shs Fds4.45K$332.1K0.0%$55.7KHeld
Rockwell Automation, IncROK916$329K0.0%−$27.6KAdded−$27.2K
Disney Walt Co3.38K$325.3K0.0%−$58.7KCut−$69.5K
Ishares Inc4.04K$318.1K0.0%$24.2KHeld
Arm Holdings Plc2.08K$314.8K0.0%$87.3KHeld
Progressive Corp1.58K$313.4K0.0%−$46.6KHeld
Vanguard Whitehall Fds2.08K$308.2K0.0%$9.51KAdded$10.1K
Bristol-Myers Squibb Co4.98K$302.3K0.0%$33.5KCut$19.9K
Royal Caribbean Group1.07K$295.4K0.0%−$3.91KHeld
GE Vernova Inc.GEV336$293.5K0.0%$73.8KHeld
Ciena CorpCIEN750$291.2K0.0%New
Valero Energy Corp1.17K$290.1K0.0%New
Select Sector Spdr Tr5.77K$288.6K0.0%$26.6KAdded$27.1K
ConocophillipsCOP2.17K$286.1K0.0%$83.2KCut$73.9K
Boeing Co1.43K$284.3K0.0%−$25.8KCut−$26.1K
First Ctzns Bancshares Inc D149$281K0.0%New
Ishares Tr3.22K$279.2K0.0%$5.65KAdded$21.8K
J P Morgan Exchange Traded F4.92K$279.1K0.0%−$2.77KCut−$12.8K
Alps Etf Tr4.29K$278.7K0.0%$19.6KHeld
Invesco Exch Traded Fd Tr Ii2.34K$278.1K0.0%−$19.4KAdded−$18.6K
Williams Cos Inc3.75K$273.2K0.0%$47.6KHeld
3M COMMM1.88K$272.6K0.0%−$27.8KCut−$32.1K
Oneok Inc /New/OKE2.99K$270.7K0.0%$50.6KCut$41.2K
Wheaton Precious Metals Corp.WPM2K$262K0.0%$27KHeld
Micron Technology IncMU755$255.2K0.0%New
Abbott LabsABT2.47K$254.1K0.0%−$55.8KAdded−$55.4K
Rio Tinto Plc2.7K$252.2K0.0%$33.2KAdded$52.1K
Trane Technologies PlcTT601$250.5K0.0%$16.6KHeld
Gilead Sciences, Inc.GILD1.77K$246.4K0.0%$29.4KAdded$29.7K
Marathon Pete Corp1.01K$245.8K0.0%$82.2KCut$17.1K
Ea Series Trust3.56K$243.4K0.0%$10.7KHeld
Allstate Corp1.17K$243K0.0%−$816Added−$609
D R Horton Inc1.77K$242.5K0.0%−$9.67KAdded$38.8K
Thermo Fisher Scientific Inc.TMO491$241.6K0.0%−$43.2KHeld
Palantir Technologies Inc.PLTR1.65K$241.5K0.0%−$52KCut−$53.9K
Constellation Energy CorpCEG864$241.4K0.0%−$63.9KCut−$136.7K
Dnp Select Income Fd Inc23.2K$239.4K0.0%$7.2KHeld
Eqt CorpEQT3.73K$237.3K0.0%New
Altria Group, Inc.MO3.48K$229.4K0.0%$29KHeld
Kratos Defense & Sec Solutio3.23K$227.4K0.0%−$14.5KAdded$23.6K
Crowdstrike Hldgs Inc581$226.8K0.0%−$43KAdded−$30.5K
Colgate Palmolive CoCL2.65K$225.6K0.0%$16.4KCut$451
Bloom Energy CorpBE1.67K$225.6K0.0%New
Vanguard Index Fds783$224.9K0.0%−$2.46KAdded−$1.89K
Talen Energy CorpTLN685$218.7K0.0%New
Yum Brands IncYUM1.41K$218.5K0.0%$5.9KHeld
Direxion Shs Etf Tr2.21K$217.5K0.0%−$8.33KAdded−$8.13K
Arista Networks, Inc.ANET1.75K$214.3K0.0%−$14.4KCut−$62.6K
Shell Plc2.29K$213K0.0%New
Smith A O CorpAOS3.21K$211.7K0.0%−$3.04KAdded−$2.05K
Albemarle Corp1.16K$208.8K0.0%New
Ishares Tr2.4K$208.4K0.0%−$1.11KCut−$40.4K
Ishares Tr3.89K$207.6K0.0%−$34.2KHeld
Dow Inc.DOW4.88K$203.4K0.0%New
Newmont Corp1.87K$203K0.0%New
Pimco Mun Income Fd Ii15.3K$116K0.0%$460Held

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.