13F

Investor

MKT Advisors LLC

CIK 0001906802 · filed 2026-04-10 · SEC filing

13F book

$298.3M

Positions

157

2 new · 8 sold

Largest name

10.8%

Spdr S&P 500 Etf Tr

Est. mark

−$6.02M

Price effect on 155 names still held. Flow $11.2M.
NameTickerSharesValueWeightEst. markChange
Spdr S&P 500 Etf Tr48.9K$32.3M10.8%−$1.39MCut−$2.12M
Vanguard Index Fds37.9K$23M7.7%−$1MCut−$1.25M
Ishares Tr425.2K$21.5M7.2%$8.74KAdded$10.4M
Ishares Tr804.1K$18M6.0%−$89.8KAdded$426K
Ishares Tr802.8K$17.8M6.0%−$128.3KAdded$283K
Ishares Tr777.7K$17.8M6.0%−$34KAdded$476.4K
Spdr Series Trust189.6K$14.7M4.9%−$548.3KAdded$1.38M
Spdr Dow Jones Indl Average31K$14.4M4.8%−$740.9KCut−$1.01M
Ishares Tr612.5K$13.3M4.5%−$113.6KAdded$206K
Ishares Tr672.3K$13.2M4.4%−$124KAdded$262.9K
Select Sector Spdr Tr33.7K$4.64M1.6%−$236.9KAdded−$128.1K
Spdr Series Trust147K$4.28M1.4%−$22.9KAdded$918.1K
Apple Inc.AAPL13.6K$3.44M1.2%−$186.7KCut−$190.7K
Microsoft CorpMSFT8.26K$3.08M1.0%−$830.9KCut−$991.2K
Ishares Tr54.9K$2.65M0.9%−$20.9KAdded$441.4K
Blackrock Etf Trust38.9K$2.3M0.8%−$64.9KAdded$474.8K
Spdr Series Trust22K$2.2M0.7%−$141.3KAdded$37.3K
Alphabet Inc7.12K$2.18M0.7%−$78.8KCut−$137K
Vanguard Specialized Funds9.87K$2.14M0.7%−$51.7KAdded−$47.8K
Broadcom Inc.AVGO6.31K$2.11M0.7%−$59.5KCut−$104.1K
Sempra20.8K$2.05M0.7%$227.1KCut$215.1K
Spdr Series Trust35.7K$2.03M0.7%−$24.1KAdded$174.8K
Invesco Qqq Tr3.29K$1.93M0.6%−$96.7KCut−$98K
Amgen IncAMGN5.65K$1.92M0.6%$108.9KCut$103.1K
Ishares Tr2.89K$1.92M0.6%−$82.2KCut−$116.7K
Costco Whsl Corp New1.77K$1.8M0.6%$243.9KCut−$102.9K
Amazon Com IncAMZN8.13K$1.74M0.6%−$156.8KCut−$331.6K
Ishares Tr8.04K$1.55M0.5%−$60.7KAdded−$9.65K
Select Sector Spdr Tr13.5K$1.45M0.5%−$168.9KAdded−$167.3K
Berkshire Hathaway Inc Del2.96K$1.42M0.5%−$60.6KCut−$256.5K
Ishares Tr12.1K$1.4M0.5%−$97.2KHeld
Nvidia CorpNVDA7.8K$1.39M0.5%−$78.1KAdded−$77.4K
Select Sector Spdr Tr25.7K$1.28M0.4%−$159KAdded−$145.6K
Ishares Inc18.2K$1.28M0.4%$11.5KCut−$45.5K
Wisdomtree Tr25K$1.26M0.4%$541Added$319.8K
Ishares Tr6.12K$1.15M0.4%−$72.4KAdded$37.8K
Alphabet Inc3.71K$1.13M0.4%−$49.5KAdded−$45.3K
Mcdonalds CorpMCD3.66K$1.12M0.4%$18.3KCut−$47.1K
Sprott Asset Management Lp30.7K$1.09M0.4%$51.6KHeld
Ishares Tr7.18K$1.09M0.4%$57.9KCut$18.8K
Vanguard World Fd4.44K$1.06M0.4%−$57.4KCut−$99.4K
Vanguard Growth Etf2.38K$1.06M0.4%−$99KAdded−$45.6K
Aflac IncAFL9.52K$1.05M0.4%−$15.7KAdded−$11K
Blackrock Etf Trust27.5K$1.02M0.3%−$40.8KAdded$223.2K
Select Sector Spdr Tr6.06K$995.4K0.3%$26.9KAdded$27K
Select Sector Spdr Tr6.77K$992K0.3%−$57.2KAdded−$53.9K
Ishares Tr6.64K$952.6K0.3%−$44.5KHeld
Ishares Tr4.45K$943.7K0.3%−$12.1KHeld
Select Sector Spdr Tr8.16K$912.2K0.3%−$48.2KAdded−$44K
Qualcomm Inc7.34K$910.1K0.3%−$383.3KCut−$394.4K
Blackrock Etf Trust Ii17.2K$893.7K0.3%−$14.3KAdded$79.5K
Walmart Inc.WMT7.1K$869.2K0.3%$69.4KHeld
Blackrock Etf Trust24.3K$844.5K0.3%$15.5KAdded$102.6K
Invesco Exch Traded Fd Tr Ii7.18K$838K0.3%−$24.9KAdded$41.9K
Autozone IncAZO246$833.2K0.3%$29.2KHeld
Spdr Gold Tr1.8K$776.8K0.3%$41.5KCut−$2.27K
Spdr Series Trust5.29K$771.2K0.3%$25.7KCut$18.8K
Fedex CorpFDX2.12K$755.1K0.3%$125.9KHeld
Jpmorgan Chase & Co.2.49K$740.1K0.2%−$91.4KCut−$91.7K
American Elec Pwr Co Inc5.15K$684.2K0.2%$97KCut−$29.9K
World Gold Tr7.26K$675.3K0.2%$36.6KCut−$11K
Select Sector Spdr Tr8.09K$657.6K0.2%$31.6KCut$30.9K
Exxon Mobil Corp3.95K$647.2K0.2%$152.2KCut$102.1K
Starbucks CorpSBUX6.58K$626.2K0.2%$56.9KCut−$7.25K
Ishares Tr22.7K$595.4K0.2%$3.85KCut$3.66K
Nextera Energy Inc6.29K$589.3K0.2%$77.7KCut$29.9K
Chevron Corp NewCVX2.92K$589K0.2%$110.2KCut$85.4K
Merck & Co., Inc.MRK4.92K$586.7K0.2%$58.2KCut−$31.5K
Invesco Exchange Traded Fd T2.96K$572.5K0.2%−$3.43KHeld
Ishares Tr5.81K$567.1K0.2%−$41.7KAdded−$41.6K
Ppl Corp14.4K$559.6K0.2%$58.8KCut−$45.2K
AbbVie Inc.ABBV2.71K$559.5K0.2%−$37.4KCut−$39.2K
Philip Morris Intl Inc3.3K$519.1K0.2%−$7.8KCut−$8.76K
Bank America Corp9.9K$497.9K0.2%−$65.5KCut−$66.7K
Vanguard Index Fds2.49K$492.6K0.2%$7.3KCut$5.94K
Vanguard Index Fds1.51K$492.2K0.2%−$20.3KCut−$279.9K
Global X Fds6.63K$489.9K0.2%$23.6KAdded$75.9K
Caterpillar IncCAT672$487K0.2%$72.7KAdded$75.6K
RTX CorpRTX2.45K$484.6K0.2%$23.6KCut−$61.4K
Verizon Communications IncVZ9.78K$475.3K0.2%$82KCut$56.7K
Ishares Tr18.3K$474.9K0.2%$5.97KCut$5.23K
Ishares Tr7.24K$474.1K0.2%−$26.9KHeld
Mckesson CorpMCK539$461.7K0.2%$17.1KCut−$165.2K
Ishares Tr17.5K$459.3K0.2%$3.83KCut$3.08K
Ishares Tr17.4K$455.2K0.2%$4.69KCut$3.99K
Ishares Tr4.58K$450.2K0.2%$915Held
Southern Co4.62K$446.8K0.1%$45.9KCut$42.7K
Ishares Tr17K$445.4K0.1%$3.3KCut$2.52K
Wp Carey Inc6.26K$444.3K0.1%$42.8KCut$17.2K
Johnson & JohnsonJNJ1.84K$439K0.1%$62.4KAdded$65.5K
Pfizer IncPFE16K$434K0.1%$30.9KAdded$31.2K
Sierra BancorpBSRR12.3K$426.4K0.1%$14.8KHeld
Select Sector Spdr Tr7.01K$421.9K0.1%$93.1KCut$91.1K
Procter And Gamble CoPG2.95K$417.2K0.1%$2.74KCut−$79.9K
Ishares Tr4.46K$415.8K0.1%−$3.52KHeld
Meta Platforms, Inc.META713$409.9K0.1%−$59.6KCut−$68.8K
Oneok Inc /New/OKE4.46K$404.6K0.1%$75.8KCut−$332.6K
Vanguard World Fd562$403.5K0.1%−$22.4KAdded−$21.7K
Cvs Health CorpCVS5.16K$403.3K0.1%−$11.3KCut−$11.7K
Ishares Tr3.87K$396.4K0.1%$10.4KHeld
Ishares Tr914$395K0.1%−$38KHeld
Sysco CorpSYY5.15K$377.1K0.1%$2.31KAdded$2.68K
Vanguard Index Fds1.73K$360.9K0.1%−$9.55KHeld
Ishares Tr3.13K$359.8K0.1%−$22.3KHeld
Calamos Conv & High Income F31K$353.9K0.1%−$1.24KCut−$63.3K
Nuveen California Amt Qlt Mu28.9K$344K0.1%−$17.3KCut−$43K
Bristol-Myers Squibb Co5.94K$342.4K0.1%$27.4KCut−$9.53K
Travelers Companies, Inc.TRV1.16K$342K0.1%$8.45KCut−$77.9K
Proshares Tr6.4K$340.8K0.1%−$36KHeld
Ishares Tr2.51K$336.5K0.1%−$1.7KHeld
Vanguard Index Fds1.11K$324.5K0.1%−$5.71KCut−$6.01K
Vanguard Tax-Managed Fds4.94K$321.6K0.1%$5.63KHeld
Tesla, Inc.TSLA888$307.8K0.1%−$93.3KCut−$93.7K
Ishares Tr3.34K$306.6K0.1%$1.03KAdded$20.5K
Netflix IncNFLX3.04K$300.3K0.1%$22.4KCut$22.2K
Oreilly Automotive Inc3.27K$299.1K0.1%$1.86KAdded$83.1K
Vanguard Bd Index Fds4.05K$298.4K0.1%−$2.43KHeld
United Parcel Service IncUPS3.01K$294K0.1%−$13.3KCut−$14.8K
Duke Energy Corp New2.22K$292.7K0.1%$33.3KCut−$55.1K
Henry Schein IncHSIC3.94K$291.1K0.1%−$18.5KHeld
Visa Inc.V960$290.5K0.1%−$48.9KAdded−$48K
Ea Series Trust2.49K$289.8K0.1%$2.87KHeld
Vanguard World Fd1.45K$289.6K0.1%$20.9KAdded$21.9K
Target CorpTGT2.42K$288.6K0.1%$42.1KCut$40.9K
Intel CorpINTC5.29K$280.2K0.1%$71.7KCut$70.4K
Echostar CorpECHO2.21K$275.4K0.1%$31.1KHeld
Blackstone Inc.BX2.44K$274.5K0.1%−$120.8KCut−$178.8K
Select Sector Spdr Tr5.45K$272.7K0.1%$18.9KAdded$20.9K
Ishares Tr3.6K$271.7K0.1%$10KHeld
Nuveen Ca Qualty Mun Income22.9K$265.9K0.1%−$5.04KHeld
At&T Inc9.46K$265.3K0.1%$31.5KCut$1.86K
Cisco Sys Inc3.28K$264.6K0.1%$16.7KCut$11.3K
Wells Fargo Co New3.21K$262K0.1%−$46.9KCut−$146.6K
International Business Machs1.05K$256.2K0.1%−$52.4KCut−$98.5K
Eaton Vance Tax-Managed Glob29K$256.2K0.1%−$21.5KCut−$60.7K
Alps Etf Tr3.92K$255.2K0.1%$14.2KHeld
Us Bancorp Del4.68K$251.5K0.1%−$8.38KHeld
Enterprise Prods Partners L6.53K$250.6K0.1%$40.8KCut−$68.6K
Boeing Co1.16K$243.8K0.1%−$21KCut−$55.5K
Rio Tinto Plc2.56K$242.8K0.1%$29.3KCut−$159.9K
Blackrock Etf Trust3.39K$240.8K0.1%−$12.5KHeld
Coca Cola CoKO3.16K$239.7K0.1%$25.2KCut$23.5K
Flexshares Tr3K$239.4K0.1%−$5.22KHeld
Select Sector Spdr Tr5.14K$237.8K0.1%$18.4KCut−$9.76K
Ishares Tr7.65K$233.1K0.1%−$6.58KCut−$39.5K
Cme Group Inc.CME750$232.9K0.1%$26.6KCut−$209.4K
Ishares Tr1.47K$232.5K0.1%−$15KHeld
Schwab Strategic Tr8.69K$226K0.1%−$10.2KHeld
Vanguard World Fd1.3K$221.9K0.1%New
Jefferies Finl Group Inc5.28K$221.8K0.1%−$118.4KHeld
Vanguard Index Fds2.39K$216.6K0.1%$4.24KHeld
Itt Inc.ITT1.1K$215.9K0.1%$18.5KCut−$17.3K
Vanguard World Fd774$211.1K0.1%−$12KHeld
Firstenergy CorpFE4.09K$208.5K0.1%$25.4KCut−$5.91K
Flexshares Tr839$205.2K0.1%−$5.88KHeld
Blackrock Muniholdings Fd In10.6K$121.9K0.0%New
Nuveen Pfd & Income Opportun10.7K$81.6K0.0%−$5.14KCut−$26.9K

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.