Investor
McLean Asset Management Corp
CIK 0001833140 · filed 2026-04-22 · SEC filing
13F book
$571.6M
Positions
165
4 new · 10 sold
Largest name
14.4%
American Centy Etf Tr
Est. mark
−$14.3M
Price effect on 161 names still held. Flow $27.6M.
| Name | Ticker | Shares | Value | Weight | Est. mark | Change |
|---|---|---|---|---|---|---|
| American Centy Etf Tr | — | 741.5K | $82.4M | 14.4% | −$2.31M | Added$4.84M |
| American Centy Etf Tr | — | 544.2K | $46.2M | 8.1% | −$243.7K | Added$3.74M |
| Dimensional Etf Trust | — | 642.6K | $45.6M | 8.0% | −$2.83M | Cut−$3.48M |
| American Centy Etf Tr | — | 491.8K | $39.6M | 6.9% | −$218.7K | Added$1.92M |
| Dimensional Etf Trust | — | 614.5K | $29.8M | 5.2% | $73.7K | Cut−$563.3K |
| Apple Inc. | AAPL | 97.9K | $24.9M | 4.3% | −$603K | Added−$547.4K |
| Dimensional Etf Trust | — | 358.3K | $18.9M | 3.3% | $440.7K | Cut$315.4K |
| Dimensional Etf Trust | — | 257.6K | $18.3M | 3.2% | −$723.7K | Cut−$1.14M |
| Vanguard Scottsdale Fds | — | 281.7K | $16.5M | 2.9% | −$57.2K | Added$1.87M |
| Dimensional Etf Trust | — | 231K | $14.4M | 2.5% | −$106.3K | Cut−$301K |
| Vanguard Charlotte Fds | — | 270.1K | $13M | 2.3% | −$106.8K | Added$3.71M |
| Spdr S&P 500 Etf Tr | — | 19K | $12.4M | 2.2% | −$761.4K | Cut−$764.8K |
| Dimensional Etf Trust | — | 306.4K | $11.9M | 2.1% | −$530K | Cut−$742K |
| Ishares Tr | — | 46.6K | $11.6M | 2.0% | −$708.4K | Cut−$778.2K |
| American Centy Etf Tr | — | 142.5K | $11.5M | 2.0% | $183.4K | Added$2.92M |
| Ishares Tr | — | 139.8K | $10.4M | 1.8% | $130K | Cut−$28.2K |
| Nvidia Corp | NVDA | 49.9K | $8.71M | 1.5% | −$436.3K | Cut−$486.1K |
| Dimensional Etf Trust | — | 236.7K | $8.29M | 1.5% | $54.4K | Added$1.29M |
| Vanguard Index Fds | — | 25.4K | $8.14M | 1.4% | −$512.1K | Held |
| Dimensional Etf Trust | — | 267.3K | $7.11M | 1.2% | −$57.6K | Added$3.12M |
| Vanguard Index Fds | — | 29.4K | $5.76M | 1.0% | −$43.5K | Added−$37K |
| Ishares Tr | — | 29.7K | $5.63M | 1.0% | −$122.3K | Cut−$132.2K |
| Microsoft Corp | MSFT | 13K | $4.83M | 0.8% | −$1.16M | Cut−$1.44M |
| American Centy Etf Tr | — | 61.5K | $4.6M | 0.8% | $55.4K | Added$1.09M |
| American Centy Etf Tr | — | 36.7K | $4.05M | 0.7% | $106.1K | Cut−$74.1K |
| Dimensional Etf Trust | — | 98.5K | $3.89M | 0.7% | $8.26K | Added$626.4K |
| Ishares Tr | — | 36.6K | $3.63M | 0.6% | −$20.1K | Added$1.77M |
| Ishares Tr | — | 33.6K | $3.26M | 0.6% | −$72.9K | Cut−$249.6K |
| Schwab Strategic Tr | — | 123.5K | $3M | 0.5% | −$13.5K | Added$1.92K |
| American Centy Etf Tr | — | 30K | $3M | 0.5% | $44.1K | Cut−$27.1K |
| Vanguard Scottsdale Fds | — | 26.8K | $2.68M | 0.5% | −$165.7K | Cut−$429.5K |
| Alphabet Inc | — | 8.87K | $2.55M | 0.4% | −$428.2K | Cut−$492.7K |
| Schwab Us Tips Etf | — | 92.7K | $2.47M | 0.4% | $909 | Added$88.4K |
| Amazon Com Inc | AMZN | 11.6K | $2.43M | 0.4% | −$330.5K | Cut−$336K |
| Gallagher Arthur J & Co | — | 10.4K | $2.25M | 0.4% | — | New |
| Jpmorgan Chase & Co. | — | 6.81K | $2M | 0.4% | −$93.5K | Cut−$353.7K |
| Berkshire Hathaway Inc Del | — | 4.17K | $2M | 0.4% | −$58.2K | Cut−$59.2K |
| Vanguard Bd Index Fds | — | 24.2K | $1.78M | 0.3% | −$10K | Added$835.5K |
| Alphabet Inc | — | 6.09K | $1.75M | 0.3% | −$299.4K | Added−$288.2K |
| Wisdomtree Tr | — | 19.2K | $1.56M | 0.3% | −$32.8K | Cut−$82.7K |
| Maplebear Inc. | CART | 41.5K | $1.55M | 0.3% | −$140.9K | Cut−$193.7K |
| First Solar, Inc. | FSLR | 7.42K | $1.46M | 0.3% | −$290.9K | Cut−$482K |
| Vanguard World Fd | — | 12.6K | $1.41M | 0.2% | −$106.8K | Added$49.1K |
| Eli Lilly & Co | LLY | 1.44K | $1.33M | 0.2% | −$220K | Added−$212.6K |
| Ishares Tr | — | 17.2K | $1.2M | 0.2% | −$18.1K | Added$7.2K |
| Bank America Corp | — | 24.5K | $1.19M | 0.2% | −$91.4K | Cut−$134.3K |
| Kla Corp | KLAC | 805 | $1.18M | 0.2% | $30.4K | Added$34.8K |
| Ishares Tr | — | 1.8K | $1.18M | 0.2% | −$72.6K | Held |
| Vanguard Intl Equity Index F | — | 8.04K | $1.17M | 0.2% | −$22.1K | Added−$20.1K |
| Broadcom Inc. | AVGO | 3.73K | $1.16M | 0.2% | −$110.9K | Added−$85.5K |
| Lam Research Corp | LRCX | 5.33K | $1.14M | 0.2% | $24.9K | Added$75.4K |
| Meta Platforms, Inc. | META | 1.97K | $1.13M | 0.2% | −$85.9K | Cut−$106.8K |
| Walmart Inc. | WMT | 8.85K | $1.1M | 0.2% | $37.3K | Added$42.7K |
| Visa Inc. | V | 3.62K | $1.09M | 0.2% | −$97.4K | Cut−$125.4K |
| Vanguard Tax-Managed Fds | — | 15K | $962.9K | 0.2% | −$7.41K | Added$353.7K |
| Exxon Mobil Corp | — | 5.63K | $954.4K | 0.2% | $219.2K | Added$231.6K |
| Costco Whsl Corp New | — | 938 | $934.6K | 0.2% | $41.8K | Added$60.8K |
| Invesco Exch Traded Fd Tr Ii | — | 18.8K | $933.7K | 0.2% | $3.76K | Held |
| Ishares Inc | — | 9.1K | $925.6K | 0.2% | −$45.7K | Held |
| Vanguard Scottsdale Fds | — | 5.47K | $914.2K | 0.2% | −$19.2K | Cut−$25.5K |
| Vanguard Growth Etf | — | 2.08K | $907.7K | 0.2% | −$98.7K | Added−$82.5K |
| Vanguard Admiral Fds Inc | — | 7.76K | $891.7K | 0.2% | −$19.3K | Cut−$22.2K |
| Home Depot, Inc. | HD | 2.67K | $879.1K | 0.2% | −$124.3K | Added−$112.8K |
| Mastercard Inc | MA | 1.75K | $872.8K | 0.2% | −$82.3K | Cut−$117.9K |
| Vanguard Intl Equity Index F | — | 15.4K | $835K | 0.1% | −$31.3K | Added−$30.3K |
| Ishares Tr | — | 10.4K | $817.8K | 0.1% | −$19.3K | Cut−$212.8K |
| Johnson & Johnson | JNJ | 3.3K | $806.5K | 0.1% | $81.3K | Added$121.1K |
| Invesco Qqq Tr | — | 1.35K | $779.5K | 0.1% | −$57.1K | Held |
| Asml Holding N V | — | 581 | $766.9K | 0.1% | $31K | Added$83.8K |
| Vanguard Index Fds | — | 2.91K | $761.8K | 0.1% | −$32.2K | Added−$31.5K |
| Southern Co | — | 7.78K | $750.8K | 0.1% | $62.8K | Added$65.2K |
| American Express Co | AXP | 2.46K | $743.1K | 0.1% | −$137K | Cut−$145.9K |
| Oracle Corp | — | 5.02K | $738.8K | 0.1% | −$233.4K | Cut−$266.5K |
| Schwab Strategic Tr | — | 15.7K | $733K | 0.1% | −$8.62K | Cut−$66.9K |
| Berkshire Hathaway Inc Del | — | 1 | $718.1K | 0.1% | −$25.3K | Held |
| Goldman Sachs Group Inc | — | 836 | $707.6K | 0.1% | −$72K | Added−$66.9K |
| AbbVie Inc. | ABBV | 3.2K | $696.9K | 0.1% | −$13.6K | Added$8.17K |
| Vanguard Index Fds | — | 7.71K | $683.4K | 0.1% | −$16.6K | Added−$11.8K |
| Astrazeneca Plc Ord | AZN | 3.42K | $674.1K | 0.1% | — | New |
| Vanguard Specialized Funds | — | 3.13K | $672.2K | 0.1% | −$29.7K | Added−$24.5K |
| Ishares Tr | — | 1.75K | $649.5K | 0.1% | −$39.3K | Held |
| Ishares Tr | — | 8.64K | $640.7K | 0.1% | −$5.92K | Cut−$10.3K |
| Tesla, Inc. | TSLA | 1.61K | $597.1K | 0.1% | −$108.3K | Cut−$159.7K |
| Ishares Tr | — | 8.75K | $590.9K | 0.1% | −$16.6K | Held |
| Capital One Finl Corp | — | 3.23K | $589.7K | 0.1% | −$168.2K | Cut−$180K |
| Caterpillar Inc | CAT | 823 | $582.7K | 0.1% | $56.3K | Added$61.9K |
| Vanguard Index Fds | — | 936 | $559.3K | 0.1% | −$35.3K | Cut−$82.9K |
| Ameriprise Finl Inc | — | 1.2K | $534.8K | 0.1% | −$75.8K | Cut−$86.5K |
| Ishares Tr | — | 4.67K | $528.6K | 0.1% | −$48.1K | Added−$47.6K |
| Unitedhealth Group Inc | UNH | 1.95K | $528K | 0.1% | −$125.4K | Cut−$141.8K |
| EMCOR Group, Inc. | EME | 702 | $518.3K | 0.1% | $54.3K | Added$55.8K |
| Csx Corp | CSX | 12.3K | $504.6K | 0.1% | $59.8K | Added$60.5K |
| Cisco Sys Inc | — | 6.5K | $504.5K | 0.1% | $19.1K | Added$57.7K |
| Morgan Stanley | — | 3.06K | $503.9K | 0.1% | −$49.5K | Added−$48.9K |
| Oreilly Automotive Inc | — | 5.36K | $495K | 0.1% | −$14.4K | Added−$10.7K |
| Chevron Corp New | CVX | 2.39K | $494K | 0.1% | $87.5K | Added$124.7K |
| RTX Corp | RTX | 2.48K | $479.2K | 0.1% | −$14.6K | Added−$11.9K |
| Mcdonalds Corp | MCD | 1.53K | $476.4K | 0.1% | $4.06K | Added$6.54K |
| Merck & Co., Inc. | MRK | 3.96K | $476.2K | 0.1% | $35.6K | Added$49.8K |
| Union Pac Corp | — | 1.95K | $472.8K | 0.1% | $30.1K | Cut$3.51K |
| Jabil Inc | JBL | 1.75K | $464.3K | 0.1% | $42.4K | Added$42.9K |
| Netflix Inc | NFLX | 4.7K | $452.3K | 0.1% | $34.1K | Added$55.3K |
| Northrop Grumman Corp | — | 652 | $444.9K | 0.1% | $18.9K | Added$21.6K |
| Tjx Cos Inc New | — | 2.72K | $434K | 0.1% | $12.3K | Cut$11.4K |
| Vanguard Intl Equity Index F | — | 5.73K | $430.3K | 0.1% | −$8.48K | Held |
| Mckesson Corp | MCK | 492 | $425.6K | 0.1% | $15.3K | Added$16.2K |
| Cencora, Inc. | COR | 1.35K | $423K | 0.1% | −$48K | Added−$46.4K |
| Vanguard Star Fds | — | 5.34K | $412K | 0.1% | −$7.25K | Held |
| Texas Instrs Inc | — | 2.1K | $408.2K | 0.1% | $1.31K | Added$32.6K |
| Verizon Communications Inc | VZ | 7.97K | $400.2K | 0.1% | $82.6K | Cut$55.6K |
| Bristol-Myers Squibb Co | — | 6.54K | $396.7K | 0.1% | $23.5K | Added$28.1K |
| Amgen Inc | AMGN | 1.09K | $384.5K | 0.1% | $24.6K | Added$31.7K |
| Taiwan Semiconductor Mfg Ltd | — | 1.13K | $383.2K | 0.1% | $12.3K | Cut$9.68K |
| Coca Cola Co | KO | 4.92K | $374K | 0.1% | $22.6K | Added$23.5K |
| Applied Matls Inc | — | 1.07K | $366.7K | 0.1% | $42K | Added$49.8K |
| Honeywell Intl Inc | — | 1.61K | $364.2K | 0.1% | $20.7K | Added$25.2K |
| Caseys Gen Stores Inc | — | 494 | $359.8K | 0.1% | $55K | Added$55.8K |
| Chubb Limited | — | 1.08K | $353.3K | 0.1% | $24.7K | Added$52.4K |
| Philip Morris Intl Inc | — | 2.07K | $342.4K | 0.1% | −$11.7K | Added−$5.21K |
| Analog Devices Inc | ADI | 1.07K | $339.6K | 0.1% | $21.4K | Added$23.6K |
| Norfolk Southn Corp | — | 1.17K | $334.3K | 0.1% | $520 | Added$807 |
| Advanced Micro Devices Inc | AMD | 1.64K | $332.7K | 0.1% | −$32.4K | Added−$26.3K |
| Moodys Corp | — | 736 | $321K | 0.1% | −$73.4K | Cut−$84.1K |
| Teradyne, Inc | TER | 1.08K | $319K | 0.1% | $71K | Added$72.2K |
| Citigroup Inc | — | 2.77K | $314.4K | 0.1% | $2.75K | Added$5.58K |
| Manhattan Associates Inc | MANH | 2.35K | $312.2K | 0.1% | −$94.6K | Cut−$95K |
| Ishares Tr | — | 12.4K | $311.9K | 0.1% | −$4.71K | Cut−$4.87K |
| Vanguard Index Fds | — | 1.08K | $310.8K | 0.1% | −$13.5K | Added−$4.33K |
| Spdr Series Trust | — | 3.25K | $310.6K | 0.1% | −$6.55K | Held |
| Procter And Gamble Co | PG | 2.07K | $298.7K | 0.1% | −$3.44K | Added$35.7K |
| Motorola Solutions, Inc. | MSI | 686 | $297.7K | 0.1% | $29.4K | Added$41.6K |
| Autozone Inc | AZO | 87 | $293.1K | 0.1% | −$8.23K | Held |
| Nextera Energy Inc | — | 3.1K | $287.6K | 0.1% | $29K | Added$69.5K |
| Lockheed Martin Corp | LMT | 475 | $287.3K | 0.1% | $14.8K | Added$19.6K |
| Deere & Co | DE | 498 | $280.5K | 0.0% | $25.5K | Cut$24K |
| Eaton Corp Plc | ETN | 784 | $280.5K | 0.0% | $20.4K | Added$25.8K |
| Travelers Companies, Inc. | TRV | 957 | $279.2K | 0.0% | $18.1K | Cut$6.41K |
| Thermo Fisher Scientific Inc. | TMO | 567 | $278.8K | 0.0% | −$73.9K | Cut−$111.2K |
| Disney Walt Co | — | 2.88K | $277.9K | 0.0% | −$49.4K | Cut−$67.7K |
| Ishares Tr | — | 12K | $275.4K | 0.0% | $120 | Held |
| BlackRock, Inc. | BLK | 286 | $274.7K | 0.0% | −$35.3K | Added−$16.1K |
| Marriott Intl Inc New | — | 805 | $263.4K | 0.0% | $5.86K | Added$9.79K |
| Allstate Corp | — | 1.27K | $263.3K | 0.0% | $14.3K | Added$15.9K |
| Ross Stores, Inc. | ROST | 1.17K | $254K | 0.0% | $28.9K | Added$30K |
| Duke Energy Corp New | — | 1.94K | $253.4K | 0.0% | $23.5K | Added$25.9K |
| Gilead Sciences, Inc. | GILD | 1.81K | $252.5K | 0.0% | $27.5K | Added$29.6K |
| Shopify Inc. | SHOP | 2.13K | $252.3K | 0.0% | −$82.7K | Held |
| Pfizer Inc | PFE | 8.91K | $250.3K | 0.0% | $19.7K | Added$49.1K |
| General Dynamics Corp | GD | 707 | $242.7K | 0.0% | −$14.9K | Added$4.68K |
| Lowes Cos Inc | — | 1.02K | $241.6K | 0.0% | −$38.9K | Added−$36.6K |
| Hartford Insurance Group Inc | — | 1.78K | $240.8K | 0.0% | $5.85K | Added$6.93K |
| Autonation, Inc. | AN | 1.23K | $240K | 0.0% | −$20.5K | Cut−$22.7K |
| Wells Fargo Co New | — | 2.99K | $238.1K | 0.0% | −$27.1K | Cut−$35.2K |
| Booking Holdings Inc. | BKNG | 54 | $227.4K | 0.0% | −$50.8K | Added−$42.4K |
| Roper Technologies Inc | ROP | 641 | $226.9K | 0.0% | −$45.1K | Cut−$53.2K |
| Te Connectivity Plc | TEL | 1.07K | $224K | 0.0% | −$30.3K | Cut−$31.5K |
| Marathon Pete Corp | — | 913 | $222.9K | 0.0% | — | New |
| Ishares Tr | — | 2.61K | $218.6K | 0.0% | −$3.37K | Held |
| Fair Isaac Corp | FICO | 204 | $218.1K | 0.0% | −$112.1K | Cut−$123.4K |
| Abbott Labs | ABT | 2.11K | $217K | 0.0% | −$47.1K | Cut−$51.5K |
| Ww Grainger Inc | — | 193 | $210.7K | 0.0% | $7.18K | Added$9.36K |
| Regeneron Pharmaceuticals, Inc. | REGN | 272 | $210.2K | 0.0% | — | New |
| Vanguard Index Fds | — | 958 | $208K | 0.0% | −$5.65K | Held |
| Aon plc | AON | 638 | $205.9K | 0.0% | −$14.8K | Cut−$39.7K |
| Dycom Inds Inc | — | 604 | $204.6K | 0.0% | −$9.15K | Added−$8.81K |
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.