13F

Investor

Lineweaver Wealth Advisors, LLC

CIK 0001797873 · filed 2026-04-08 · SEC filing

13F book

$741.5M

Positions

168

12 new · 20 sold

Largest name

8.8%

Ishares Tr

Est. mark

−$10.3M

Price effect on 156 names still held. Flow $18.5M.
NameTickerSharesValueWeightEst. markChange
Ishares Tr100.2K$65.5M8.8%−$3.13MAdded−$2.1M
Fidelity Merrimack Str Tr843.3K$38.5M5.2%−$334.4KAdded$1.81M
Alps Etf Tr1.47M$37.8M5.1%−$435.9KAdded$1.67M
Ishares Tr367.5K$36.5M4.9%−$211.8KAdded$1.8M
Ishares Tr153.7K$29.5M4.0%−$1.03MAdded−$542.4K
Ishares Tr317.2K$29.4M4.0%−$443KAdded$38.5K
J P Morgan Exchange Traded F584.8K$26.9M3.6%−$121KAdded$1.47M
Blackrock Etf Trust Ii517K$26.8M3.6%−$409.8KAdded$1.1M
Apple Inc.AAPL90.8K$23M3.1%−$1.64MCut−$2.16M
Blackrock Etf Trust322.2K$18.7M2.5%−$827.7KAdded−$391.5K
J P Morgan Exchange Traded F185.2K$15.9M2.1%$785.9KAdded$4.09M
Ishares Tr203.5K$15.1M2.0%$598.3KCut$520.4K
Ishares Inc200K$14M1.9%$497.5KAdded$732.4K
Innovator Etfs Trust300.3K$12.6M1.7%−$16KCut−$39.8K
Broadcom Inc.AVGO36.6K$11.3M1.5%−$1.34MCut−$1.61M
Nvidia CorpNVDA60K$10.5M1.4%−$725.6KCut−$1.35M
Microsoft CorpMSFT26.8K$9.93M1.3%−$2.9MAdded−$2.42M
Berkshire Hathaway Inc Del19.4K$9.29M1.3%−$453.1KAdded−$418.6K
Jpmorgan Chase & Co.28K$8.24M1.1%−$767.2KAdded−$571.9K
Ishares Tr115.7K$8.12M1.1%$87.9KCut−$617.6K
Ishares Gold Tr91.7K$8.09M1.1%$641.3KCut$381.5K
Goldman Sachs Etf Tr90K$7.62M1.0%−$40.7KAdded$85.7K
Ishares Tr30.2K$7.24M1.0%−$304KAdded−$138K
Innovator Etfs Trust206.1K$7.1M1.0%−$181KCut−$185.7K
Alphabet Inc23K$6.62M0.9%−$586.3KCut−$1.09M
Blackrock Etf Trust199.8K$6.58M0.9%−$68.5KAdded$66.5K
Exxon Mobil Corp36.4K$6.17M0.8%$1.79MCut$1.6M
Fidelity Covington Trust108.4K$5.99M0.8%−$157.2KCut−$280.6K
Tesla, Inc.TSLA15.4K$5.73M0.8%−$1.18MAdded−$1.09M
Amazon Com IncAMZN27.4K$5.7M0.8%−$617.5KCut−$869.1K
Johnson & JohnsonJNJ23.2K$5.67M0.8%$869.4KCut$672.4K
Ishares Tr25K$5.47M0.7%$101.6KCut$77.4K
First Tr Exchange Traded Fd73.9K$5.05M0.7%−$87.9KCut−$202.4K
Fidelity Comwlth Tr59.3K$5.03M0.7%−$380.9KAdded−$329.6K
Dell Technologies Inc.DELL30K$4.92M0.7%$1.15MCut$866.1K
Chevron Corp NewCVX22.3K$4.62M0.6%$1.15MAdded$1.4M
Mcdonalds CorpMCD14.6K$4.54M0.6%$73.6KAdded$170.9K
Nextera Energy Inc47.8K$4.44M0.6%$602.1KCut$334.6K
Cintas CorpCTAS25.1K$4.25M0.6%−$475.7KCut−$1.87M
Home Depot, Inc.HD12.6K$4.16M0.6%−$179.3KAdded$99.3K
BlackRock, Inc.BLK4.31K$4.14M0.6%−$451.6KAdded−$304.5K
Merck & Co., Inc.MRK33.6K$4.05M0.5%$505.8KCut$59.9K
Ishares Tr44.5K$3.86M0.5%New
AbbVie Inc.ABBV16.2K$3.53M0.5%−$169.2KAdded$15.4K
Capital Group International105.9K$3.51M0.5%New
Citigroup Inc29.4K$3.33M0.4%−$96.4KCut−$299.9K
Procter And Gamble CoPG22.7K$3.28M0.4%$24.8KAdded$142.1K
Walmart Inc.WMT26K$3.23M0.4%$327.5KAdded$391.5K
Innovator Etfs Trust74.9K$3.2M0.4%−$39.7KHeld
Goldman Sachs Group Inc3.7K$3.13M0.4%−$121.9KCut−$386.5K
Johnson Ctls Intl Plc23K$3.01M0.4%$257.5KCut$110.7K
Pepsico IncPEP19K$2.95M0.4%$223.7KCut$96.4K
Ishares Tr32.6K$2.95M0.4%$34.1KAdded$95.7K
Bank America Corp59.1K$2.88M0.4%−$362.8KAdded−$309.1K
Ishares Tr58.5K$2.83M0.4%−$14.9KAdded$324.4K
J P Morgan Exchange Traded F54.6K$2.73M0.4%−$26.6KAdded$98.5K
Ssga Active Tr57.9K$2.73M0.4%−$7.5KAdded$361.8K
Amgen IncAMGN7.75K$2.73M0.4%$187.6KAdded$225.6K
Duke Energy Corp New20.8K$2.72M0.4%$276.1KAdded$365.9K
Meta Platforms, Inc.META4.67K$2.67M0.4%−$407.8KAdded−$393.5K
Honeywell Intl Inc11.7K$2.64M0.4%$361.8KCut$350.1K
Visa Inc.V8.71K$2.63M0.4%−$422.1KCut−$456.8K
Corning Inc19.1K$2.6M0.4%$924.8KCut$852.2K
Lockheed Martin CorpLMT4.16K$2.51M0.3%$501.6KCut$213.3K
Air Prods & Chems Inc8.52K$2.48M0.3%$255.2KAdded$1.03M
Mondelez Intl Inc42.4K$2.44M0.3%$132.7KAdded$567.2K
Abbott LabsABT23.7K$2.43M0.3%−$36.9KAdded$2.23M
Southern Co24.3K$2.34M0.3%$209.4KAdded$380.9K
Innovator Etfs Trust84.6K$2.33M0.3%$5.24KAdded$757.8K
International Business Machs9.56K$2.32M0.3%−$369.9KAdded$280.4K
Ishares Tr21.2K$2.25M0.3%−$19.9KAdded$25.3K
Deere & CoDE3.98K$2.24M0.3%$389.5KCut$338.7K
Eli Lilly & CoLLY2.36K$2.17M0.3%−$366.6KCut−$424.7K
Mckesson CorpMCK2.48K$2.15M0.3%$111.9KCut$80K
Bristol-Myers Squibb Co34.4K$2.09M0.3%$217.2KAdded$341.9K
Innovator Etfs Trust79.6K$2.04M0.3%−$8.91KCut−$12.7K
Medtronic PlcMDT23.2K$2.01M0.3%−$218.4KCut−$428.7K
Costco Whsl Corp New2K$2M0.3%$269KCut$42.2K
Progressive Corp10K$1.98M0.3%−$261.4KAdded−$36.8K
Innovator Etfs Trust39.9K$1.97M0.3%−$18KHeld
Innovator Etfs Trust48.1K$1.92M0.3%$16.8KHeld
Capital Group New Geography60.2K$1.9M0.3%New
Caterpillar IncCAT2.56K$1.81M0.2%$347.1KCut$96.7K
Norfolk Southn Corp6.29K$1.81M0.2%−$10.5KAdded$53.8K
Innovator Etfs Trust67.2K$1.76M0.2%$21.5KHeld
Unilever Plc30.5K$1.74M0.2%−$237.4KAdded−$102K
Innovator Etfs Trust64.7K$1.72M0.2%−$8.05KCut−$8.19K
Taiwan Semiconductor Mfg Ltd5.05K$1.71M0.2%$167.9KAdded$205K
Fedex CorpFDX4.7K$1.67M0.2%$316.3KCut$43K
Innovator Etfs Trust65.3K$1.66M0.2%$409Added$619.5K
Ishares Tr12.9K$1.61M0.2%$53.5KCut$38.2K
Innovator Etfs Trust34.7K$1.6M0.2%−$23.8KAdded$343.2K
Innovator Etfs Trust39.5K$1.58M0.2%−$21.5KAdded$170K
Asml Holding N V1.14K$1.51M0.2%$252.6KAdded$429.6K
Thermo Fisher Scientific Inc.TMO2.92K$1.44M0.2%−$257.1KCut−$319.7K
ServiceNow, Inc.NOW13.1K$1.37M0.2%−$528.6KAdded−$299.2K
Alphabet Inc4.46K$1.28M0.2%−$120.2KCut−$161.3K
American Tower Corp New7.09K$1.22M0.2%−$16.8KAdded$241.7K
Cisco Sys Inc15.4K$1.2M0.2%$8.67KCut−$852K
Linde PlcLIN2.4K$1.19M0.2%$166.2KCut$142.7K
Palo Alto Networks IncPANW7.37K$1.18M0.2%−$153.3KAdded−$501
Innovator Etfs Trust41.1K$1.12M0.2%−$2.39KAdded$467.7K
Netflix IncNFLX11K$1.06M0.1%$26.4KCut−$110.4K
Clorox Co Del10.2K$1.06M0.1%$20.9KAdded$309K
Innovator Etfs Trust23.8K$1.06M0.1%−$5.91KAdded$235.9K
Union Pac Corp4.37K$1.06M0.1%$49.5KCut−$62.5K
Innovator Etfs Trust38.8K$1.04M0.1%$2.9KHeld
Lincoln Elec Hldgs Inc4.12K$1.03M0.1%$38.9KHeld
Boeing Co4.91K$976.8K0.1%−$70KAdded$136.4K
Qualcomm Inc7.57K$975K0.1%−$284.8KAdded−$177.2K
Innovator Etfs Trust22.9K$912.8K0.1%$15.6KHeld
Innovator Etfs Trust34.1K$907.2K0.1%−$2.99KHeld
Innovator Etfs Trust34.8K$891.6K0.1%$6.2KHeld
Innovator Etfs Trust32.6K$871K0.1%−$2.86KHeld
Salesforce, Inc.CRM4.62K$862.7K0.1%−$361.7KCut−$959.6K
Capital Grp Fixed Incm Etf T31.7K$861.4K0.1%New
Eaton Corp PlcETN2.4K$859.6K0.1%$94.1KCut$48.3K
Disney Walt Co8.85K$852.7K0.1%−$153.9KCut−$211.6K
Pimco Etf Tr18.9K$852.5K0.1%New
Amphenol Corp New6.32K$798.6K0.1%New
Innovator Etfs Trust26.7K$712.9K0.1%−$1.55KHeld
Moodys Corp1.59K$692.8K0.1%−$118.5KCut−$125.6K
Blackrock Etf Trust Ii14.2K$683.3K0.1%−$8.39KAdded$100.6K
Sprott Asset Management Lp18.6K$659.7K0.1%$45KHeld
Boston Scientific CorpBSX10.2K$639.7K0.1%New
Intuitive Surgical IncISRG1.39K$639.4K0.1%−$146.1KCut−$343.2K
J P Morgan Exchange Traded F12.6K$635.5K0.1%$227Cut−$396.9K
First Tr Exchange-Traded Fd2.68K$626.3K0.1%−$94.1KCut−$105.1K
Agilent Technologies, Inc.A5.46K$622.9K0.1%−$119.6KAdded−$114K
Innovator Etfs Trust12.7K$582.8K0.1%−$5.86KHeld
J P Morgan Exchange Traded F10.2K$579.7K0.1%−$5.75KCut−$69.7K
Innovator Etfs Trust13K$551.6K0.1%−$11.4KHeld
NIKE, Inc.NKE10.4K$549.1K0.1%−$113.2KCut−$264K
Innovator Etfs Trust18.8K$547.1K0.1%$94Held
Innovator Etfs Trust18.5K$531.9K0.1%$6.94KHeld
Rithm Capital Corp52.3K$495.7K0.1%−$74.3KCut−$85.9K
Innovator Etfs Trust12.1K$495.2K0.1%−$11.2KHeld
Innovator Etfs Trust11K$473.4K0.1%−$8.9KHeld
GE Vernova Inc.GEV536$468.1K0.1%$116.2KAdded$122.3K
RTX CorpRTX2.39K$461.1K0.1%$22.7KCut−$22.5K
Arista Networks, Inc.ANET3.49K$428.7K0.1%New
Lam Research CorpLRCX2K$426.7K0.1%$84.8KCut$81K
Spdr S&P 500 Etf Tr580$377.2K0.1%−$18.3KCut−$222.9K
Constellation Energy CorpCEG1.3K$363.5K0.0%−$96.3KCut−$97K
Micron Technology IncMU1.06K$357.6K0.0%$55.3KCut$43.6K
Vanguard Specialized Funds1.64K$352.7K0.0%−$7.63KHeld
Mastercard IncMA699$349.5K0.0%−$49.4KCut−$177.2K
Ford Mtr Co29.4K$339.3K0.0%−$45.5KAdded−$38.8K
Fidelity Covington Trust1.56K$324K0.0%−$25.8KCut−$316.7K
Parker-Hannifin CorpPH359$321.4K0.0%$5.86KCut$589
J P Morgan Exchange Traded F5.86K$298.8K0.0%$221Cut−$699.4K
Ge Aerospace1.02K$290.9K0.0%−$24.6KAdded−$20K
Uber Technologies, IncUBER3.85K$276.8K0.0%−$37.6KCut−$780.1K
Sherwin Williams CoSHW844$270.5K0.0%−$2.83KCut−$4.78K
Eqt CorpEQT3.9K$248K0.0%New
Starbucks CorpSBUX2.54K$227.2K0.0%$13.7KCut$5.35K
American Express CoAXP751$227.2K0.0%−$50.7KCut−$101.7K
At&T Inc7.73K$224K0.0%New
General Dynamics CorpGD634$217.5K0.0%$3.91KCut−$10.6K
Innovator Etfs Trust5.04K$217.2K0.0%−$3.32KHeld
Texas Pacific Land Corporati450$213.6K0.0%New
Oracle Corp1.43K$209.7K0.0%−$68.3KCut−$70.3K
Ishares Tr645$205.3K0.0%−$16KAdded−$15.6K
Janus Detroit Str Tr4.18K$204.5K0.0%−$1.18KCut−$84K
FIGS, Inc.FIGS13K$192K0.0%$44.3KHeld
Tfs Finl Corp10.4K$145.6K0.0%$6.83KAdded$9.19K
Aquestive Therapeutics, Inc.AQST10K$41.5K0.0%−$23.1KHeld
Creative Media & Cmnty Tr16.4K$10.1K0.0%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.