13F

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.
NameTickerSharesValueWeightEst. markChange
American Centy Etf Tr741.5K$82.4M14.4%−$2.31MAdded$4.84M
American Centy Etf Tr544.2K$46.2M8.1%−$243.7KAdded$3.74M
Dimensional Etf Trust642.6K$45.6M8.0%−$2.83MCut−$3.48M
American Centy Etf Tr491.8K$39.6M6.9%−$218.7KAdded$1.92M
Dimensional Etf Trust614.5K$29.8M5.2%$73.7KCut−$563.3K
Apple Inc.AAPL97.9K$24.9M4.3%−$603KAdded−$547.4K
Dimensional Etf Trust358.3K$18.9M3.3%$440.7KCut$315.4K
Dimensional Etf Trust257.6K$18.3M3.2%−$723.7KCut−$1.14M
Vanguard Scottsdale Fds281.7K$16.5M2.9%−$57.2KAdded$1.87M
Dimensional Etf Trust231K$14.4M2.5%−$106.3KCut−$301K
Vanguard Charlotte Fds270.1K$13M2.3%−$106.8KAdded$3.71M
Spdr S&P 500 Etf Tr19K$12.4M2.2%−$761.4KCut−$764.8K
Dimensional Etf Trust306.4K$11.9M2.1%−$530KCut−$742K
Ishares Tr46.6K$11.6M2.0%−$708.4KCut−$778.2K
American Centy Etf Tr142.5K$11.5M2.0%$183.4KAdded$2.92M
Ishares Tr139.8K$10.4M1.8%$130KCut−$28.2K
Nvidia CorpNVDA49.9K$8.71M1.5%−$436.3KCut−$486.1K
Dimensional Etf Trust236.7K$8.29M1.5%$54.4KAdded$1.29M
Vanguard Index Fds25.4K$8.14M1.4%−$512.1KHeld
Dimensional Etf Trust267.3K$7.11M1.2%−$57.6KAdded$3.12M
Vanguard Index Fds29.4K$5.76M1.0%−$43.5KAdded−$37K
Ishares Tr29.7K$5.63M1.0%−$122.3KCut−$132.2K
Microsoft CorpMSFT13K$4.83M0.8%−$1.16MCut−$1.44M
American Centy Etf Tr61.5K$4.6M0.8%$55.4KAdded$1.09M
American Centy Etf Tr36.7K$4.05M0.7%$106.1KCut−$74.1K
Dimensional Etf Trust98.5K$3.89M0.7%$8.26KAdded$626.4K
Ishares Tr36.6K$3.63M0.6%−$20.1KAdded$1.77M
Ishares Tr33.6K$3.26M0.6%−$72.9KCut−$249.6K
Schwab Strategic Tr123.5K$3M0.5%−$13.5KAdded$1.92K
American Centy Etf Tr30K$3M0.5%$44.1KCut−$27.1K
Vanguard Scottsdale Fds26.8K$2.68M0.5%−$165.7KCut−$429.5K
Alphabet Inc8.87K$2.55M0.4%−$428.2KCut−$492.7K
Schwab Us Tips Etf92.7K$2.47M0.4%$909Added$88.4K
Amazon Com IncAMZN11.6K$2.43M0.4%−$330.5KCut−$336K
Gallagher Arthur J & Co10.4K$2.25M0.4%New
Jpmorgan Chase & Co.6.81K$2M0.4%−$93.5KCut−$353.7K
Berkshire Hathaway Inc Del4.17K$2M0.4%−$58.2KCut−$59.2K
Vanguard Bd Index Fds24.2K$1.78M0.3%−$10KAdded$835.5K
Alphabet Inc6.09K$1.75M0.3%−$299.4KAdded−$288.2K
Wisdomtree Tr19.2K$1.56M0.3%−$32.8KCut−$82.7K
Maplebear Inc.CART41.5K$1.55M0.3%−$140.9KCut−$193.7K
First Solar, Inc.FSLR7.42K$1.46M0.3%−$290.9KCut−$482K
Vanguard World Fd12.6K$1.41M0.2%−$106.8KAdded$49.1K
Eli Lilly & CoLLY1.44K$1.33M0.2%−$220KAdded−$212.6K
Ishares Tr17.2K$1.2M0.2%−$18.1KAdded$7.2K
Bank America Corp24.5K$1.19M0.2%−$91.4KCut−$134.3K
Kla CorpKLAC805$1.18M0.2%$30.4KAdded$34.8K
Ishares Tr1.8K$1.18M0.2%−$72.6KHeld
Vanguard Intl Equity Index F8.04K$1.17M0.2%−$22.1KAdded−$20.1K
Broadcom Inc.AVGO3.73K$1.16M0.2%−$110.9KAdded−$85.5K
Lam Research CorpLRCX5.33K$1.14M0.2%$24.9KAdded$75.4K
Meta Platforms, Inc.META1.97K$1.13M0.2%−$85.9KCut−$106.8K
Walmart Inc.WMT8.85K$1.1M0.2%$37.3KAdded$42.7K
Visa Inc.V3.62K$1.09M0.2%−$97.4KCut−$125.4K
Vanguard Tax-Managed Fds15K$962.9K0.2%−$7.41KAdded$353.7K
Exxon Mobil Corp5.63K$954.4K0.2%$219.2KAdded$231.6K
Costco Whsl Corp New938$934.6K0.2%$41.8KAdded$60.8K
Invesco Exch Traded Fd Tr Ii18.8K$933.7K0.2%$3.76KHeld
Ishares Inc9.1K$925.6K0.2%−$45.7KHeld
Vanguard Scottsdale Fds5.47K$914.2K0.2%−$19.2KCut−$25.5K
Vanguard Growth Etf2.08K$907.7K0.2%−$98.7KAdded−$82.5K
Vanguard Admiral Fds Inc7.76K$891.7K0.2%−$19.3KCut−$22.2K
Home Depot, Inc.HD2.67K$879.1K0.2%−$124.3KAdded−$112.8K
Mastercard IncMA1.75K$872.8K0.2%−$82.3KCut−$117.9K
Vanguard Intl Equity Index F15.4K$835K0.1%−$31.3KAdded−$30.3K
Ishares Tr10.4K$817.8K0.1%−$19.3KCut−$212.8K
Johnson & JohnsonJNJ3.3K$806.5K0.1%$81.3KAdded$121.1K
Invesco Qqq Tr1.35K$779.5K0.1%−$57.1KHeld
Asml Holding N V581$766.9K0.1%$31KAdded$83.8K
Vanguard Index Fds2.91K$761.8K0.1%−$32.2KAdded−$31.5K
Southern Co7.78K$750.8K0.1%$62.8KAdded$65.2K
American Express CoAXP2.46K$743.1K0.1%−$137KCut−$145.9K
Oracle Corp5.02K$738.8K0.1%−$233.4KCut−$266.5K
Schwab Strategic Tr15.7K$733K0.1%−$8.62KCut−$66.9K
Berkshire Hathaway Inc Del1$718.1K0.1%−$25.3KHeld
Goldman Sachs Group Inc836$707.6K0.1%−$72KAdded−$66.9K
AbbVie Inc.ABBV3.2K$696.9K0.1%−$13.6KAdded$8.17K
Vanguard Index Fds7.71K$683.4K0.1%−$16.6KAdded−$11.8K
Astrazeneca Plc OrdAZN3.42K$674.1K0.1%New
Vanguard Specialized Funds3.13K$672.2K0.1%−$29.7KAdded−$24.5K
Ishares Tr1.75K$649.5K0.1%−$39.3KHeld
Ishares Tr8.64K$640.7K0.1%−$5.92KCut−$10.3K
Tesla, Inc.TSLA1.61K$597.1K0.1%−$108.3KCut−$159.7K
Ishares Tr8.75K$590.9K0.1%−$16.6KHeld
Capital One Finl Corp3.23K$589.7K0.1%−$168.2KCut−$180K
Caterpillar IncCAT823$582.7K0.1%$56.3KAdded$61.9K
Vanguard Index Fds936$559.3K0.1%−$35.3KCut−$82.9K
Ameriprise Finl Inc1.2K$534.8K0.1%−$75.8KCut−$86.5K
Ishares Tr4.67K$528.6K0.1%−$48.1KAdded−$47.6K
Unitedhealth Group IncUNH1.95K$528K0.1%−$125.4KCut−$141.8K
EMCOR Group, Inc.EME702$518.3K0.1%$54.3KAdded$55.8K
Csx CorpCSX12.3K$504.6K0.1%$59.8KAdded$60.5K
Cisco Sys Inc6.5K$504.5K0.1%$19.1KAdded$57.7K
Morgan Stanley3.06K$503.9K0.1%−$49.5KAdded−$48.9K
Oreilly Automotive Inc5.36K$495K0.1%−$14.4KAdded−$10.7K
Chevron Corp NewCVX2.39K$494K0.1%$87.5KAdded$124.7K
RTX CorpRTX2.48K$479.2K0.1%−$14.6KAdded−$11.9K
Mcdonalds CorpMCD1.53K$476.4K0.1%$4.06KAdded$6.54K
Merck & Co., Inc.MRK3.96K$476.2K0.1%$35.6KAdded$49.8K
Union Pac Corp1.95K$472.8K0.1%$30.1KCut$3.51K
Jabil IncJBL1.75K$464.3K0.1%$42.4KAdded$42.9K
Netflix IncNFLX4.7K$452.3K0.1%$34.1KAdded$55.3K
Northrop Grumman Corp652$444.9K0.1%$18.9KAdded$21.6K
Tjx Cos Inc New2.72K$434K0.1%$12.3KCut$11.4K
Vanguard Intl Equity Index F5.73K$430.3K0.1%−$8.48KHeld
Mckesson CorpMCK492$425.6K0.1%$15.3KAdded$16.2K
Cencora, Inc.COR1.35K$423K0.1%−$48KAdded−$46.4K
Vanguard Star Fds5.34K$412K0.1%−$7.25KHeld
Texas Instrs Inc2.1K$408.2K0.1%$1.31KAdded$32.6K
Verizon Communications IncVZ7.97K$400.2K0.1%$82.6KCut$55.6K
Bristol-Myers Squibb Co6.54K$396.7K0.1%$23.5KAdded$28.1K
Amgen IncAMGN1.09K$384.5K0.1%$24.6KAdded$31.7K
Taiwan Semiconductor Mfg Ltd1.13K$383.2K0.1%$12.3KCut$9.68K
Coca Cola CoKO4.92K$374K0.1%$22.6KAdded$23.5K
Applied Matls Inc1.07K$366.7K0.1%$42KAdded$49.8K
Honeywell Intl Inc1.61K$364.2K0.1%$20.7KAdded$25.2K
Caseys Gen Stores Inc494$359.8K0.1%$55KAdded$55.8K
Chubb Limited1.08K$353.3K0.1%$24.7KAdded$52.4K
Philip Morris Intl Inc2.07K$342.4K0.1%−$11.7KAdded−$5.21K
Analog Devices IncADI1.07K$339.6K0.1%$21.4KAdded$23.6K
Norfolk Southn Corp1.17K$334.3K0.1%$520Added$807
Advanced Micro Devices IncAMD1.64K$332.7K0.1%−$32.4KAdded−$26.3K
Moodys Corp736$321K0.1%−$73.4KCut−$84.1K
Teradyne, IncTER1.08K$319K0.1%$71KAdded$72.2K
Citigroup Inc2.77K$314.4K0.1%$2.75KAdded$5.58K
Manhattan Associates IncMANH2.35K$312.2K0.1%−$94.6KCut−$95K
Ishares Tr12.4K$311.9K0.1%−$4.71KCut−$4.87K
Vanguard Index Fds1.08K$310.8K0.1%−$13.5KAdded−$4.33K
Spdr Series Trust3.25K$310.6K0.1%−$6.55KHeld
Procter And Gamble CoPG2.07K$298.7K0.1%−$3.44KAdded$35.7K
Motorola Solutions, Inc.MSI686$297.7K0.1%$29.4KAdded$41.6K
Autozone IncAZO87$293.1K0.1%−$8.23KHeld
Nextera Energy Inc3.1K$287.6K0.1%$29KAdded$69.5K
Lockheed Martin CorpLMT475$287.3K0.1%$14.8KAdded$19.6K
Deere & CoDE498$280.5K0.0%$25.5KCut$24K
Eaton Corp PlcETN784$280.5K0.0%$20.4KAdded$25.8K
Travelers Companies, Inc.TRV957$279.2K0.0%$18.1KCut$6.41K
Thermo Fisher Scientific Inc.TMO567$278.8K0.0%−$73.9KCut−$111.2K
Disney Walt Co2.88K$277.9K0.0%−$49.4KCut−$67.7K
Ishares Tr12K$275.4K0.0%$120Held
BlackRock, Inc.BLK286$274.7K0.0%−$35.3KAdded−$16.1K
Marriott Intl Inc New805$263.4K0.0%$5.86KAdded$9.79K
Allstate Corp1.27K$263.3K0.0%$14.3KAdded$15.9K
Ross Stores, Inc.ROST1.17K$254K0.0%$28.9KAdded$30K
Duke Energy Corp New1.94K$253.4K0.0%$23.5KAdded$25.9K
Gilead Sciences, Inc.GILD1.81K$252.5K0.0%$27.5KAdded$29.6K
Shopify Inc.SHOP2.13K$252.3K0.0%−$82.7KHeld
Pfizer IncPFE8.91K$250.3K0.0%$19.7KAdded$49.1K
General Dynamics CorpGD707$242.7K0.0%−$14.9KAdded$4.68K
Lowes Cos Inc1.02K$241.6K0.0%−$38.9KAdded−$36.6K
Hartford Insurance Group Inc1.78K$240.8K0.0%$5.85KAdded$6.93K
Autonation, Inc.AN1.23K$240K0.0%−$20.5KCut−$22.7K
Wells Fargo Co New2.99K$238.1K0.0%−$27.1KCut−$35.2K
Booking Holdings Inc.BKNG54$227.4K0.0%−$50.8KAdded−$42.4K
Roper Technologies IncROP641$226.9K0.0%−$45.1KCut−$53.2K
Te Connectivity PlcTEL1.07K$224K0.0%−$30.3KCut−$31.5K
Marathon Pete Corp913$222.9K0.0%New
Ishares Tr2.61K$218.6K0.0%−$3.37KHeld
Fair Isaac CorpFICO204$218.1K0.0%−$112.1KCut−$123.4K
Abbott LabsABT2.11K$217K0.0%−$47.1KCut−$51.5K
Ww Grainger Inc193$210.7K0.0%$7.18KAdded$9.36K
Regeneron Pharmaceuticals, Inc.REGN272$210.2K0.0%New
Vanguard Index Fds958$208K0.0%−$5.65KHeld
Aon plcAON638$205.9K0.0%−$14.8KCut−$39.7K
Dycom Inds Inc604$204.6K0.0%−$9.15KAdded−$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.