13F

Investor

Midwest Financial Group LLC

CIK 0001967193 · filed 2026-04-22 · SEC filing

13F book

$234.5M

Positions

126

6 new · 3 sold

Largest name

5.7%

Ishares Tr

Est. mark

$1.43M

Price effect on 120 names still held. Flow $6.71M.
NameTickerSharesValueWeightEst. markChange
Ishares Tr117.6K$13.3M5.7%−$1.15MAdded−$720.7K
American Centy Etf Tr117.5K$13M5.5%$957.5KAdded$1.48M
Schwab Strategic Tr381K$11.7M5.0%$1.24MCut$1M
Invesco Qqq Tr19.2K$11.1M4.7%−$690.6KAdded−$347.2K
Advanced Micro Devices IncAMD42.1K$8.57M3.7%−$452KCut−$487.4K
Apple Inc.AAPL31.1K$7.89M3.4%−$561.4KCut−$598.1K
Schwab Us Aggregate Bond311.2K$7.23M3.1%−$45.4KAdded$161.8K
Putnam Etf Trust154.6K$7.17M3.1%$124.8KAdded$325.4K
Micron Technology IncMU20.8K$7.02M3.0%$1.09MCut$416.6K
American Centy Etf Tr69.8K$5.62M2.4%$326.8KAdded$507K
Vaneck Etf Trust57.7K$5.58M2.4%−$390.4KAdded−$315.8K
Vanguard Index Fds28.8K$5.32M2.3%$198.4KAdded$219.6K
Ishares Tr48.1K$5.24M2.2%−$57.8KCut−$93K
Ishares Tr15.8K$5.18M2.2%$427.2KAdded$498.5K
Spdr Series Trust51K$4.92M2.1%$118.9KAdded$314K
Spdr S&P Midcap 400 Etf Tr7.28K$4.49M1.9%$97.8KCut$65.2K
Schwab Strategic Tr137.1K$3.99M1.7%−$410.4KAdded$158.7K
Ishares Tr30.2K$3.75M1.6%$124.6KCut$75K
Microsoft CorpMSFT10K$3.71M1.6%−$1.04MAdded−$731.2K
Berkshire Hathaway Inc Del7.05K$3.38M1.4%−$162.4KAdded−$105.4K
Franklin Templeton Etf Tr84K$3.34M1.4%$61KAdded$769.1K
Oneok Inc /New/OKE35.6K$3.22M1.4%$597.9KAdded$615.7K
Select Sector Spdr Tr63.8K$2.93M1.2%$196.8KAdded$302.5K
Ishares Tr33.1K$2.87M1.2%−$15.2KAdded$52.4K
First Tr Exchange-Traded Fd125.9K$2.72M1.2%−$31.6KAdded$62.5K
Spdr S&P 500 Etf Tr3.99K$2.59M1.1%−$100.8KAdded$414.3K
First Tr Exchng Traded Fd Vi72.9K$2.58M1.1%−$37.7KAdded−$24.7K
First Tr Exchange Traded Fd64.4K$2.51M1.1%−$69.3KCut−$84.6K
Select Sector Spdr Tr40.3K$2.47M1.1%$666.8KCut$604.9K
Litman Gregory Fds Tr80.9K$2.44M1.0%$168.4KAdded$178.8K
Exxon Mobil Corp14.2K$2.41M1.0%$700.5KCut$698.3K
Vanguard Index Fds11.1K$2.4M1.0%$60.3KCut$55.8K
Amazon Com IncAMZN11.3K$2.35M1.0%−$210.8KAdded$188.4K
First Tr Exch Trd Alphdx Fd67K$2.01M0.9%$174.4KCut$134.5K
Costco Whsl Corp New2K$2M0.9%$267.1KAdded$282K
Ishares Tr18.2K$1.93M0.8%−$16.9KAdded$55.7K
First Tr Exchange-Traded Fd36.9K$1.84M0.8%−$6.64KAdded−$3.65K
Us Bancorp Del33.7K$1.75M0.7%−$45.5KCut−$57.3K
Boeing Co8.78K$1.75M0.7%−$157.3KAdded−$140K
Nvidia CorpNVDA9.34K$1.63M0.7%−$104.4KAdded$20.2K
Select Sector Spdr Tr9.36K$1.37M0.6%−$75.6KAdded−$58K
Qualcomm Inc10.6K$1.37M0.6%New
Invesco Exch Traded Fd Tr Ii18.4K$1.34M0.6%$31.4KAdded$41.3K
Vanguard Index Fds6.82K$1.34M0.6%$35.6KCut$2.97K
RTX CorpRTX6.88K$1.33M0.6%$65.2KAdded$68.7K
First Tr Exchange Traded Fd19.9K$1.25M0.5%−$162.4KAdded−$76.2K
Rbb Fund Trust25.8K$1.21M0.5%$15KAdded$500.8K
Select Sector Spdr Tr14.6K$1.19M0.5%$62.6KCut$62K
Schwab Strategic Tr47K$1.18M0.5%−$53KAdded−$49.6K
Vanguard Scottsdale Fds24.6K$1.16M0.5%−$3.05KAdded$57.2K
Vaneck Etf Trust2.92K$1.12M0.5%$68.1KHeld
Vanguard Index Fds3.34K$1.07M0.5%−$48.3KCut−$61.7K
Alphabet Inc3.57K$1.03M0.4%−$90.9KCut−$1.5M
Pimco Etf Tr18K$939.1K0.4%−$3.97KAdded−$2.62K
Broadcom Inc.AVGO3.02K$935.4K0.4%−$103.1KAdded−$41.5K
Fifth Third Bancorp19.6K$910.6K0.4%−$6.34KAdded$63.4K
Ishares Tr8.77K$852.2K0.4%$7.23KAdded$122.7K
Visa Inc.V2.78K$841K0.4%−$125.5KAdded−$65.7K
American Express CoAXP2.73K$826.7K0.4%−$184.4KHeld
T Rowe Price Etf Inc23.1K$823.3K0.4%−$54KAdded$39.1K
Capital Group Dividend Value19.1K$812.6K0.3%New
Ishares Tr8.7K$807.1K0.3%−$12.3KAdded−$9.17K
Sprott Asset Management Lp16.8K$799.7K0.3%$29.3KAdded$100.9K
Vanguard Index Fds1.32K$788.1K0.3%−$38.7KAdded−$30.4K
Applied Matls Inc2.28K$778.7K0.3%$193.2KHeld
Csx CorpCSX18.7K$767.6K0.3%$89.8KHeld
Lattice Semiconductor CorpLSCC7.72K$716.6K0.3%$148.2KHeld
Chevron Corp NewCVX3.34K$690.5K0.3%$175.5KAdded$199.1K
Mastercard IncMA1.34K$671.1K0.3%−$94.8KAdded−$88.8K
Ishares Gold Tr7K$616.9K0.3%$39.8KAdded$155.1K
T Rowe Price Etf Inc12.2K$606.9K0.3%−$657Added$289.7K
Nuveen Amt-Free Mun Value Fd42.2K$604.7K0.3%$844Cut−$9.89K
Schwab Strategic Tr24.1K$596.7K0.3%$16KAdded$55K
Lam Research CorpLRCX2.78K$593.2K0.3%$118KCut−$549.6K
Procter And Gamble CoPG3.81K$549.9K0.2%$4.13KAdded$25.7K
ONE Gas, Inc.OGS6.21K$535.2K0.2%$55.2KCut$49.4K
Global X Fds10.3K$497.4K0.2%$38.2KAdded$211.1K
Canadian Pacific Kansas City6.28K$493.6K0.2%$31.1KAdded$38.9K
Royal Caribbean Group1.77K$488.4K0.2%−$6.64KCut−$20.6K
Select Sector Spdr Tr2.97K$480.8K0.2%$16.1KAdded$101.7K
Johnson & JohnsonJNJ1.96K$478.6K0.2%$73.4KAdded$73.7K
American Centy Etf Tr4.38K$460.3K0.2%−$23.7KAdded$174.3K
Spdr Series Trust3.08K$449.5K0.2%$20.7KAdded$23.4K
Walmart Inc.WMT3.61K$448.2K0.2%$37.7KAdded$121.7K
Devon Energy Corp New8.88K$446.9K0.2%$121.6KCut−$109K
Dollar Gen Corp New3.73K$443.3K0.2%−$52.4KHeld
Union Pac Corp1.82K$442.8K0.2%$20.5KAdded$22.5K
Pepsico IncPEP2.82K$437.9K0.2%$32.9KAdded$35.3K
Oracle Corp2.9K$427K0.2%−$129.8KAdded−$101.7K
Mcdonalds CorpMCD1.29K$401.3K0.2%$6.72KHeld
Ishares Tr1.6K$395.8K0.2%$2.98KCut−$9.82K
Vanguard Scottsdale Fds4.68K$371.2K0.2%−$2.15KCut−$12.5K
Invesco Exchange Traded Fd T1.84K$353.9K0.2%New
Select Sector Spdr Tr3.15K$349.3K0.1%−$21.6KAdded−$21.1K
Ishares Bitcoin Trust EtfIBIT8.72K$335.1K0.1%−$97.9KCut−$138.6K
ConocophillipsCOP2.52K$332.2K0.1%$94.1KAdded$102.8K
J P Morgan Exchange Traded F5.83K$330.4K0.1%−$2.76KAdded$48.4K
Global X Fds12.9K$323.4K0.1%−$56.8KAdded$236
Vanguard Whitehall Fds2.08K$307.4K0.1%$9.47KAdded$10.5K
Bank America Corp6.11K$297.9K0.1%−$35KAdded−$10.7K
Jpmorgan Chase & Co.1.01K$297.2K0.1%−$25.8KAdded$76
Vanguard Index Fds1.01K$290.4K0.1%−$3.07KHeld
Tesla, Inc.TSLA764$284K0.1%−$50.8KAdded−$9.2K
Select Sector Spdr Tr2.13K$283.2K0.1%−$21.6KAdded$1.75K
Select Sector Spdr Tr2.54K$277.2K0.1%−$26.4KAdded−$24.8K
Unitedhealth Group IncUNH981$265.5K0.1%−$57.3KAdded−$52.2K
Ishares Tr403$263.5K0.1%−$12.8KHeld
Ishares Tr2.61K$253.8K0.1%$2.56KAdded$30.7K
Alphabet Inc882$252.9K0.1%−$24KAdded−$23.7K
Invesco Exchange Traded Fd T5.26K$249.8K0.1%$3.21KHeld
Select Sector Spdr Tr4.97K$245.4K0.1%−$23.6KAdded$6.08K
Herc Hldgs Inc2.46K$245.4K0.1%−$105.1KAdded−$74.1K
Aflac IncAFL2.18K$239.3K0.1%−$1.21KAdded−$881
AbbVie Inc.ABBV1.07K$233.1K0.1%−$11.9KAdded−$11.4K
Neos Etf Trust4.6K$228.6K0.1%−$18.3KAdded−$8.41K
Ishares Tr7.46K$226.3K0.1%−$4.78KCut−$10.2K
Draftkings Inc New10.3K$222.7K0.1%−$132.3KCut−$146K
NIKE, Inc.NKE4.16K$219.6K0.1%New
Taiwan Semiconductor Mfg Ltd649$219.3K0.1%New
Vanguard World Fd314$218.8K0.1%−$18.1KAdded−$17.4K
Zoom Communications, Inc.ZM2.59K$208.2K0.1%−$15.3KCut−$23.9K
Evergy, Inc.EVRG2.54K$207.8K0.1%New
Southwest Airls Co5.43K$203.9K0.1%−$20.4KHeld
Capitol Fed Finl Inc14.4K$102.9K0.0%$4.62KCut−$4.08K
Purple Innovation, Inc.PRPL115K$76K0.0%−$3.37KHeld
Recursion Pharmaceuticals In10.1K$31.1K0.0%−$10.3KHeld

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.