13F

Investor

Ifrah Financial Services, Inc.

CIK 0001382646 · filed 2026-04-22 · SEC filing

13F book

$378.3M

Positions

200

5 new · 14 sold

Largest name

6.9%

Ishares Tr

Est. mark

$1.72M

Price effect on 195 names still held. Flow −$12.8M.
NameTickerSharesValueWeightEst. markChange
Ishares Tr515.8K$26.1M6.9%$87.7KCut−$145.9K
Ishares Tr169K$19.1M5.1%−$1.71MCut−$2.04M
Apple Inc.AAPL69.6K$17.7M4.7%−$1.26MCut−$2.87M
Ishares Tr172.6K$14.3M3.8%−$38.1KAdded$1.65M
Ishares Tr140.7K$14.2M3.7%$526.1KCut$365.7K
Vanguard Intl Equity Index F159.8K$12M3.2%$246.1KCut−$224.9K
Janus Detroit Str Tr198.2K$9.98M2.6%−$41.6KCut−$150.6K
Ishares Tr184K$9.37M2.5%$16.6KCut−$1.86M
Ishares U S Etf Tr179.1K$9.11M2.4%−$47.5KCut−$1.07M
Ishares Tr114.2K$8.95M2.4%$100.5KCut−$112.4K
Vanguard Index Fds39.2K$8.51M2.2%$213.7KCut$4.03K
First Tr Exchange-Traded Fd130.4K$7.79M2.1%−$19.5KCut−$158.9K
Ishares Tr65.5K$7.76M2.1%$309.9KCut$207.8K
Ishares Tr52.8K$7.64M2.0%$187.4KCut$168.8K
Vanguard Index Fds23.5K$7.1M1.9%$3.18KCut−$218.6K
Ishares Tr133.1K$6.72M1.8%−$28KCut−$1.72M
Schwab Strategic Tr214.4K$6.54M1.7%$190.8KCut$127.8K
Pgim Etf Tr132.1K$6.54M1.7%−$11.9KCut−$79.4K
Schwab Strategic Tr133.1K$6.51M1.7%$495.3KCut$265.8K
Ishares Tr145.5K$6.18M1.6%$165.1KCut$64.1K
Vanguard Index Fds18.7K$5.58M1.5%−$298.1KCut−$467.2K
Ishares Tr89.8K$5.56M1.5%$198.8KAdded$213K
Ishares Tr39.3K$5.2M1.4%$35.8KCut$22.5K
Vanguard World Fd12.2K$4.48M1.2%−$552.9KCut−$758K
Direxion Shs Etf Tr118.9K$3.99M1.1%$474.3KCut$408K
Vanguard Index Fds20.7K$3.82M1.0%$143.2KCut$47.2K
Vanguard Index Fds14.6K$3.77M1.0%−$319KCut−$462.7K
Ishares Inc57.6K$3.73M1.0%$39.8KCut$4.47K
Vanguard World Fd21.8K$3.16M0.8%$82.7KCut$12.7K
Ishares Tr42.5K$3.16M0.8%$124.9KCut$59.7K
Ishares Tr57K$3M0.8%−$13.7KAdded$742.7K
Walmart Inc.WMT23.8K$2.96M0.8%$306.8KCut$305.9K
Schwab Strategic Tr87.4K$2.88M0.8%$17.5KCut−$18.6K
Microsoft CorpMSFT7.71K$2.85M0.8%−$874.4KCut−$1.07M
Kla CorpKLAC1.84K$2.71M0.7%$473.4KCut$377.4K
Ishares Tr24.3K$2.71M0.7%−$62KCut−$78K
Eli Lilly & CoLLY2.73K$2.51M0.7%−$422KCut−$528.3K
Primoris Svcs Corp16.9K$2.41M0.6%$318.9KCut$250.1K
First Tr Exchange-Traded Fd49.5K$2.22M0.6%−$53.5KCut−$139K
Vanguard Malvern Fds43.9K$2.19M0.6%$21.5KCut−$54.8K
Abrdn Etfs59.8K$2.14M0.6%$288KCut$287.6K
Nvidia CorpNVDA11.7K$2.05M0.5%−$142.1KCut−$578.5K
Ishares Tr40.3K$2.04M0.5%$1.59KAdded$7.76K
Ishares Gold Tr22.1K$1.94M0.5%$154.2KCut$85.2K
First Tr Exchange-Traded Fd37.1K$1.85M0.5%−$6.68KCut−$86.5K
Comfort Sys Usa Inc1.23K$1.69M0.4%$546.6KCut$510.2K
Select Sector Spdr Tr12.4K$1.65M0.4%−$128.5KAdded−$18.9K
Teradyne, IncTER5.39K$1.6M0.4%$554.1KCut$519.4K
Vanguard Index Fds18K$1.59M0.4%$3.76KCut−$184.3K
AbbVie Inc.ABBV7.33K$1.59M0.4%−$80.5KCut−$133.1K
Vertex Pharmaceuticals Inc3.28K$1.46M0.4%−$22.3KCut−$76.7K
Schwab Strategic Tr57K$1.46M0.4%−$72.4KCut−$92.4K
Lam Research CorpLRCX6.61K$1.41M0.4%$280.7KCut$252.3K
Vanguard Scottsdale Fds23.1K$1.38M0.4%New
Schwab Strategic Tr44K$1.36M0.4%$39.1KCut$13.2K
Ishares Tr11.9K$1.31M0.3%$2.37KAdded$193.6K
Eaton Corp PlcETN3.47K$1.24M0.3%$136.1KCut$98.8K
Micron Technology IncMU3.66K$1.24M0.3%$192.1KCut$153.3K
Synopsys IncSNPS3.11K$1.23M0.3%−$227.8KCut−$278K
Applied Indl Technologies In4.49K$1.19M0.3%$38.4KCut$2.44K
Stryker CorpSYK3.52K$1.16M0.3%−$80.5KCut−$112.5K
Jabil IncJBL4.35K$1.15M0.3%$163.5KCut$126.2K
General Dynamics CorpGD3.3K$1.13M0.3%$21.5KCut−$9.12K
Cadence Design System Inc4.05K$1.13M0.3%−$140.6KCut−$185.6K
Oracle Corp7.64K$1.12M0.3%−$365.5KCut−$410.2K
Schwab Strategic Tr37.4K$1.09M0.3%$22.4KCut−$8.08K
Linde PlcLIN2.11K$1.04M0.3%$146KCut$113.1K
Vanguard Intl Equity Index F19.2K$1.04M0.3%$5.57KCut−$34.5K
Vanguard Whitehall Fds10.4K$977.2K0.3%$43.9KCut$19.7K
Innovator Etfs Trust27.4K$972K0.3%−$31.1KAdded$182.7K
Ishares Tr1.45K$943.8K0.3%−$45.7KCut−$114.2K
American Centy Etf Tr11.1K$940.6K0.2%$27.9KCut$21.3K
RTX CorpRTX4.58K$884.3K0.2%$43.6KCut$22.1K
American Centy Etf Tr10.9K$874.9K0.2%$38.7KCut$16.1K
First Tr Exchng Traded Fd Vi31.5K$861.3K0.2%$10.5KCut−$15.3K
Ishares Tr6.12K$846.6K0.2%−$19KCut−$49.9K
Johnson & JohnsonJNJ3.42K$835.1K0.2%$128.2KCut$116.2K
Vanguard Index Fds2.55K$818.4K0.2%−$36.9KHeld
Innovator Etfs Trust24.1K$814K0.2%$5.84KCut−$20.2K
Select Sector Spdr Tr7.29K$808K0.2%−$50KCut−$70K
Kulicke & Soffa Inds Inc12.1K$792.5K0.2%$243.1KCut$194.8K
American Centy Etf Tr7.92K$791K0.2%$46.6KCut$28.5K
Select Sector Spdr Tr4.88K$789.7K0.2%$21.7KAdded$280.7K
Texas Instrs Inc3.88K$752.9K0.2%$80.1KCut$64.3K
Ishares Tr12.7K$730.9K0.2%$198.9KCut$185.6K
Ishares Tr5.92K$716.3K0.2%−$33.7KCut−$56.7K
Exxon Mobil Corp4.17K$707.3K0.2%$205.6KHeld
American Finl Group Inc Ohio5.54K$706.8K0.2%−$49.6KCut−$66.6K
Keysight Technologies, Inc.KEYS2.5K$706.2K0.2%$198KCut$156.2K
Ametek Inc/AME3.29K$705.6K0.2%$29.7KCut$11.9K
Merck & Co., Inc.MRK5.69K$685K0.2%$85.6KCut$73.5K
Timken CoTKR6.81K$684.9K0.2%$111.9KCut$96.4K
Coca Cola CoKO8.23K$626.1K0.2%$50.6KCut$41.5K
Advanced Energy Inds1.89K$608.3K0.2%$213.6KCut$185.6K
Cbre Group, Inc.CBRE4.42K$598.2K0.2%−$111.8KCut−$132.3K
Schwab Strategic Tr24.1K$596.9K0.2%$17.1KCut$6.41K
Innovator Etfs Trust19.6K$585.9K0.2%$4.65KCut−$13.4K
Illinois Tool Wks Inc2.22K$577.5K0.2%$31KCut$17.5K
Dimensional Etf Trust17.5K$565K0.1%$7.32KAdded$148.2K
Vanguard Intl Equity Index F6.78K$558.6K0.1%−$7.97KCut−$23.8K
Alphabet Inc1.92K$549.7K0.1%−$51.5KCut−$399.2K
Cisco Sys Inc6.95K$538.9K0.1%$3.89KCut−$4.66K
Unitedhealth Group IncUNH1.94K$524.6K0.1%−$115.4KCut−$135.9K
Broadcom Inc.AVGO1.68K$519.1K0.1%−$61.5KCut−$79.1K
Honeywell Intl Inc2.27K$512.9K0.1%$70.2KCut$61.8K
Pfizer IncPFE18.1K$508.1K0.1%$57.5KCut$44.5K
Howmet Aerospace Inc.HWM2.18K$503K0.1%$55.5KCut$40.2K
Block H & R Inc15.8K$501.5K0.1%−$187.1KCut−$201.5K
Fti Consulting, IncFCN2.81K$496.8K0.1%$16.7KCut−$179
Innovator Etfs Trust14.9K$495K0.1%−$14.6KCut−$27.6K
At&T Inc17.1K$494.7K0.1%$70.8KCut$62.2K
Schwab Strategic Tr10.4K$487.4K0.1%$12.6KCut−$1.43K
Invesco Exch Traded Fd Tr Ii11.2K$485K0.1%−$8.15KCut−$23.9K
Tractor Supply Co10.2K$460.1K0.1%−$47.8KCut−$61K
Vanguard World Fd1.68K$458.3K0.1%−$16.5KAdded$150.7K
Amgen IncAMGN1.3K$457.6K0.1%$31.8KCut$21.7K
Ishares Tr2.08K$455.2K0.1%$6.97KAdded$85.3K
Halozyme Therapeutics, Inc.HALO7.03K$454.3K0.1%New
Lincoln Elec Hldgs Inc1.79K$446.6K0.1%$16.9KCut$6.16K
First Tr Exchng Traded Fd Vi8.31K$444K0.1%−$11.9KCut−$24.2K
Corning Inc3.2K$435.1K0.1%$154.9KCut$144.8K
Amazon Com IncAMZN2.09K$434.9K0.1%−$47.1KCut−$328K
First Tr Exchng Traded Fd Vi10.6K$434.1K0.1%−$4.67KCut−$16.8K
Waste Mgmt Inc Del1.85K$424.8K0.1%$18.5KCut$7.26K
Vanguard Admiral Fds Inc4.14K$422.1K0.1%$3.95KCut−$2.51K
Vanguard World Fd3.49K$421.9K0.1%−$44.2KCut−$181.2K
Amphenol Corp New3.22K$407K0.1%−$28.3KCut−$41K
Caterpillar IncCAT565$400K0.1%$76.6KCut$66.3K
Teledyne Technologies IncTDY637$385.5K0.1%$60.2KCut$49K
Hubbell IncHUBB771$378.4K0.1%$36KCut$24.8K
Cf Inds Hldgs Inc2.89K$375.2K0.1%$151.7KCut$136.8K
Tjx Cos Inc New2.34K$373.2K0.1%$14.2KCut$8.72K
Fiserv IncFISV6.6K$368.1K0.1%−$75.1KCut−$157.3K
Bristol-Myers Squibb Co5.98K$362.7K0.1%$40.1KCut$29.9K
Encompass Health CorpEHC3.72K$360.2K0.1%−$35.1KCut−$45.2K
Assurant Inc1.65K$358.7K0.1%−$37.9KCut−$47.3K
Vanguard World Fd502$350.3K0.1%−$28.1KHeld
Gen Digital Inc17.7K$333K0.1%−$147.9KCut−$161.1K
Philip Morris Intl Inc2K$330.7K0.1%$9.88KHeld
Ishares Inc4.65K$329.8K0.1%$34.4KCut$31.1K
Lattice Semiconductor CorpLSCC3.53K$327.3K0.1%$67.7KCut$59.1K
Ishares Tr1.86K$326.8K0.1%$30.6KAdded$112.2K
Home Depot, Inc.HD982$323K0.1%−$14.9KCut−$26.6K
Dbx Etf Tr6.49K$316.3K0.1%$4.65KCut−$2.17K
Republic Svcs Inc1.44K$316.1K0.1%$10.3KCut$5.63K
Grand Canyon Ed Inc1.85K$314K0.1%$6.9KCut$580
Regal Rexnord CorpRRX1.67K$312.7K0.1%$78.4KCut$65.9K
Ishares Inc5.64K$309K0.1%$4.84KCut−$4.01K
Ishares Tr3.25K$308.9K0.1%−$878Cut−$6.31K
Wisdomtree Tr6.37K$306.5K0.1%−$3.23KCut−$11.7K
Otter Tail CorpOTTR3.47K$304.9K0.1%$24.2KCut$15.6K
Amdocs LtdDOX4.66K$304.1K0.1%−$71KCut−$80.8K
Packaging Corp Amer1.42K$301.6K0.1%$8.67KCut$1.45K
American Elec Pwr Co Inc2.29K$299.8K0.1%$36.1KCut$30.2K
Flex Ltd.FLEX4.58K$299.5K0.1%$23.1KCut$13.5K
Gallagher Arthur J & Co1.38K$297.8K0.1%−$58KCut−$77.2K
Curtiss Wright CorpCW432$294.6K0.1%$56.2KCut$49.6K
EnersysENS1.69K$293.6K0.1%$45.6KCut$39.4K
Analog Devices IncADI896$285.1K0.1%$42.1KCut$34.7K
Intel CorpINTC6.34K$280K0.1%$45.9KCut$34.6K
Builders FirstSource, Inc.BLDR3.35K$275.9K0.1%−$68.9KCut−$80.7K
Broadridge Finl Solutions In1.69K$274.8K0.1%−$102.6KCut−$112.4K
Schwab Strategic Tr10.8K$271.9K0.1%−$11.6KAdded$3.73K
Ishares Tr2.17K$269.3K0.1%$8.96KCut−$26.3K
Trane Technologies PlcTT641$267K0.1%$17.6KCut$13.3K
Federal Signal Corp2.46K$265.6K0.1%−$1.11KCut−$11K
Booz Allen Hamilton Hldg Cor3.4K$265.2K0.1%−$21.5KCut−$169.6K
Brady CorpBRC3.22K$261.8K0.1%$9.25KCut$2.12K
Fair Isaac CorpFICO244$260.5K0.1%−$152KCut−$162.2K
Benchmark Electrs Inc4.56K$255.8K0.1%$60.7KCut$53.9K
Northwestern Energy Group In3.88K$255.7K0.1%$5.43KCut−$6.96K
Kenvue Inc.KVUE14.8K$255.2K0.1%−$143Cut−$4.16K
United Parcel Service IncUPS2.59K$254.9K0.1%−$2.1KCut−$30.7K
Primerica, Inc.PRI1.01K$254.2K0.1%−$8.15KCut−$11.8K
S&P Global Inc.SPGI580$246.6K0.1%−$56.4KCut−$62.7K
HCA Healthcare, Inc.HCA511$242K0.1%$3.29KCut−$443
Dominion Energy, IncD3.9K$241K0.1%$12.6KCut$7.76K
Evergy, Inc.EVRG2.92K$239.2K0.1%$27.5KCut$21.2K
Zoetis Inc.ZTS2.02K$238.4K0.1%−$15.4KCut−$22.4K
Palantir Technologies Inc.PLTR1.63K$238.2K0.1%−$51.3KCut−$60K
Advanced Micro Devices IncAMD1.17K$238K0.1%−$12.5KCut−$20.7K
Vanguard World Fd753$235.2K0.1%$10.4KCut$5.61K
Select Sector Spdr Tr5.07K$232.9K0.1%$16.2KCut−$216.9K
Td Synnex CorpSNX1.36K$228.8K0.1%$25.1KCut$20.1K
Leidos Holdings, Inc.LDOS1.46K$227.6K0.1%−$36.4KCut−$45.6K
Korn FerryKFY3.55K$223.5K0.1%−$10.9KCut−$17.6K
Ishares Tr3.29K$222.5K0.1%$5.04KCut−$38.1K
Lockheed Martin CorpLMT367$221.8K0.1%New
Allstate Corp1.06K$220K0.1%−$828Cut−$3.95K
First Tr Exchng Traded Fd Vi4.22K$218.6K0.1%−$4.94KCut−$9.92K
Vanguard World Fd608$218.4K0.1%−$21.2KCut−$171.7K
Automatic Data Processing In1.07K$217.8K0.1%−$57.9KCut−$61.3K
Lear CorpLEA1.79K$216.9K0.1%$11.5KCut$4.89K
Home Bancshares IncHOMB8.05K$216.8K0.1%−$6.84KCut−$9.68K
Darden Restaurants IncDRI1.07K$209.2K0.1%$12.9KCut$7.89K
Chubb Limited640$208.6K0.1%$8.84KCut$2.28K
Ishares Inc2.77K$208.5K0.1%New
Brinker Intl Inc1.44K$206K0.1%−$1.08KCut−$9.41K
Ishares Tr2.23K$203.5K0.1%New
Western Un Co11.9K$104.1K0.0%−$6.91KCut−$13.6K

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.