13F

Investor

Oxinas Partners, LLC

CIK 0001759320 · filed 2026-04-10 · SEC filing

13F book

$218.8M

Positions

145

18 new · 5 sold

Largest name

6.0%

Spdr S&P 500 Etf Tr

Est. mark

−$9.74M

Price effect on 127 names still held. Flow $20.8M.
NameTickerSharesValueWeightEst. markChange
Spdr S&P 500 Etf Tr20.1K$13.1M6.0%−$506.1KAdded$2.13M
Wisdomtree Tr146.3K$12.9M5.9%−$226.4KAdded$118.1K
Wisdomtree Tr185.7K$9.92M4.5%−$914.5KAdded−$318.1K
Spdr Series Trust100.1K$9.8M4.5%−$858.2KAdded−$616.2K
Apple Inc.AAPL28.2K$7.16M3.3%−$510KCut−$574.4K
Invesco Qqq Tr12.4K$7.15M3.3%−$429.4KAdded$47.4K
Alphabet Inc20.7K$5.93M2.7%−$546KAdded−$430.4K
Vanguard Whitehall Fds36.7K$5.43M2.5%$138.1KAdded$1.1M
Amazon Com IncAMZN25.9K$5.39M2.5%−$533.4KAdded−$65.6K
Tesla, Inc.TSLA14.2K$5.27M2.4%−$1.05MAdded−$796.3K
Wisdomtree Tr111.2K$4.83M2.2%−$63.6KAdded$161.3K
Ishares Tr48.5K$4.82M2.2%−$20.7KAdded$1.43M
Ishares Tr7.33K$4.79M2.2%−$220KAdded$39.3K
Spdr Index Shs Fds96.2K$4.39M2.0%$119.3KCut$34.3K
J P Morgan Exchange Traded F89.7K$4.38M2.0%New
Pimco Etf Tr41.8K$4.21M1.9%$6.21KAdded$1.49M
United Airls Hldgs Inc42K$3.87M1.8%−$829.6KCut−$1.47M
Capital Group Growth Etf87.8K$3.53M1.6%−$352.4KAdded−$133K
Capital Group Dividend Value79.1K$3.37M1.5%−$81.6KAdded$126K
Schwab Strategic Tr103.6K$3.02M1.4%−$361.2KAdded−$359K
Ishares Tr57.2K$2.91M1.3%$3.37KAdded$1.01M
Microsoft CorpMSFT7.49K$2.77M1.3%−$835.5KAdded−$791.4K
J P Morgan Exchange Traded F47.9K$2.72M1.2%−$24.5KAdded$211.8K
J P Morgan Exchange Traded F47.5K$2.63M1.2%−$114.8KAdded$67.8K
Alphabet Inc8.93K$2.57M1.2%−$221.6KAdded−$160.9K
Wisdomtree Tr48.1K$2.53M1.2%$43.9KAdded$120.2K
Nvidia CorpNVDA14.4K$2.5M1.1%−$144.1KAdded$283.4K
Ishares Tr102.5K$2.35M1.1%New
Invesco Exchange Traded Fd T21.2K$2.27M1.0%$85.3KCut$43.2K
Proshares Tr21.3K$2.26M1.0%$28KAdded$753.6K
Wisdomtree Tr48.7K$2.15M1.0%−$15.9KAdded$85.8K
Broadcom Inc.AVGO6.69K$2.07M0.9%−$185.2KAdded$317.1K
Meta Platforms, Inc.META3.39K$1.94M0.9%−$295.5KAdded−$274.9K
Delta Air Lines Inc DelDAL26.8K$1.78M0.8%−$78.3KCut−$78.4K
Select Sector Spdr Tr13.3K$1.77M0.8%−$147.5KCut−$263.1K
Vanguard Whitehall Fds18.6K$1.75M0.8%$78.7KCut$29.8K
Marriott Intl Inc New5.34K$1.75M0.8%$89.9KCut−$676.4K
Vanguard Index Fds6.76K$1.74M0.8%−$77.1KAdded$749.7K
Wisdomtree Tr9.18K$1.45M0.7%$132.3KCut−$7.68K
Ishares Tr12.6K$1.43M0.7%−$110.1KAdded$92.4K
Wisdomtree Tr35.5K$1.42M0.7%$38.4KCut−$1.17K
Carnival Corp Ltd.CCL53.4K$1.38M0.6%−$249KCut−$307.2K
Ishares Tr12.8K$1.28M0.6%−$61.5KAdded−$5.39K
Invesco Exchange Traded Fd T15.7K$1.19M0.5%$62.5KAdded$70.6K
Vanguard World Fd8.14K$1.18M0.5%$27.9KAdded$140.1K
Walmart Inc.WMT9.15K$1.14M0.5%$117.5KAdded$120.9K
Pimco Etf Tr42.8K$1.12M0.5%−$17.4KAdded$154.9K
Ishares Tr11.8K$1.09M0.5%−$15.2KAdded$89K
Freeport-Mcmoran IncFCX18.3K$1.08M0.5%$146.4KCut−$23.8K
Ishares Tr24.8K$1.06M0.5%$75.4KAdded$99K
Wisdomtree Tr25.4K$1.04M0.5%−$125.1KAdded−$17.1K
Ishares Tr4.72K$996.7K0.5%−$3.47KAdded$178.8K
Celestica IncCLS3.51K$989.3K0.5%−$41.2KAdded$114.8K
Wisdomtree Tr21.4K$976.3K0.4%−$18.5KAdded$24.7K
Spdr Dow Jones Indl Average1.93K$895.9K0.4%−$33.6KCut−$57.6K
Ishares Tr14.5K$892.6K0.4%−$50.1KCut−$54.2K
Wisdomtree Tr8.04K$878.1K0.4%$59.5KCut$16.2K
Ishares Tr17.5K$810.3K0.4%−$2.41KAdded$489.4K
Columbia Etf Tr I20.7K$806.9K0.4%−$38.5KCut−$99.8K
Palantir Technologies Inc.PLTR4.81K$704.2K0.3%−$88KAdded$207.4K
Direxion Shs Etf Tr8.05K$696.7K0.3%−$61.9KAdded$461.7K
Ubiquiti Inc.UI875$691.5K0.3%$207.3KHeld
Ishares Tr6.2K$675.7K0.3%−$3.6KAdded$340.7K
Micron Technology IncMU1.99K$670.7K0.3%$47.5KAdded$411.8K
Vanguard Bd Index Fds8.53K$627.8K0.3%−$2.61KAdded$180.3K
Vanguard Index Fds1.04K$623.2K0.3%−$24.4KAdded$108.8K
Ishares Tr3.43K$622.2K0.3%−$62.5KCut−$64.1K
Applied Digital Corp.APLD25K$592.7K0.3%−$19.5KCut−$71K
Sterling Infrastructure, Inc.STRL1.39K$567.3K0.3%$113.1KAdded$224.7K
Western Midstream Partners L13.8K$566.5K0.3%$23KHeld
Bp Plc12K$562.9K0.3%$147KCut$138.3K
Ishares Tr2.9K$557.1K0.3%−$14.8KAdded$123.9K
Jpmorgan Chase & Co.1.86K$548.3K0.3%−$52.2KAdded−$51.6K
Uber Technologies, IncUBER7.59K$545.7K0.2%−$73.2KAdded−$66K
Netflix IncNFLX5.65K$543.6K0.2%$13.5KCut−$39.4K
Ishares Tr10.2K$521K0.2%New
Spdr Series Trust5.6K$512.9K0.2%$1.45KAdded$4.84K
Invesco Exchange Traded Fd T15.1K$501.6K0.2%−$6.76KCut−$40.3K
Ishares Tr2.08K$498.8K0.2%−$21.4KHeld
Ishares Tr7.36K$497K0.2%$11.3KCut$9.02K
Berkshire Hathaway Inc Del1.02K$488.8K0.2%−$23.7KAdded−$19.9K
Direxion Shs Etf Tr4.85K$477.6K0.2%−$18.3KCut−$57.3K
J P Morgan Exchange Traded F9.37K$474.3K0.2%$140Added$23K
Ttm Technologies IncTTMI4.85K$472.5K0.2%$86.6KAdded$262.2K
Philip Morris Intl Inc2.83K$467.2K0.2%$13.1KAdded$40.4K
Super Micro Computer Inc20.1K$457.8K0.2%−$130.7KCut−$328K
Vanguard Scottsdale Fds5.49K$454.6K0.2%−$5.27KAdded$15.8K
Goldman Sachs Group Inc506$428.2K0.2%−$16.5KAdded−$12.2K
Ishares U S Etf Tr8.39K$426.6K0.2%−$2.17KAdded$10.3K
Pimco Dynamic Income Fd24.1K$411.9K0.2%−$6.9KAdded$208.2K
Vanguard Index Fds1.28K$410.6K0.2%−$12.8KAdded$113.3K
Vanguard Growth Etf938$409.6K0.2%−$47.9KCut−$95.7K
Abrdn Income Credit Strategi77.7K$396K0.2%−$24.1KCut−$145.1K
Select Sector Spdr Tr6.25K$383K0.2%$99.6KAdded$113.9K
Caterpillar IncCAT533$377.7K0.2%$69.7KAdded$83.2K
Shopify Inc.SHOP3.1K$367.1K0.2%−$130.3KAdded−$128.2K
Applovin CorpAPP917$365K0.2%−$116.4KAdded$80.6K
Ishares Tr2.57K$363.5K0.2%−$17.3KAdded$20.3K
Ishares Tr2.76K$343.5K0.2%$11.4KHeld
Ssr Mining In11.5K$337.8K0.2%New
Vanguard Specialized Funds1.55K$334.3K0.2%−$5.48KAdded$76.9K
Oracle Corp2.25K$330.8K0.2%New
Bitwise Funds Trust17K$320.6K0.1%−$18.2KCut−$30.1K
Unitedhealth Group IncUNH1.19K$320.5K0.1%−$64.5KAdded−$37.5K
Bank America Corp6.51K$317.3K0.1%−$40.7KHeld
Kinross Gold Corp10.4K$316.7K0.1%New
Hyatt Hotels CorpH2.2K$316.3K0.1%−$36.4KHeld
Exxon Mobil Corp1.85K$313.6K0.1%$91.2KCut$90.3K
Eagle Point Credit Company I81.6K$306.8K0.1%−$163.2KCut−$477.6K
United Parcel Service IncUPS3.1K$305.3K0.1%New
Southwest Airls Co8.1K$304.3K0.1%−$30.5KCut−$88.3K
Ishares Tr6.27K$291.7K0.1%−$5.22KCut−$35.4K
Verizon Communications IncVZ5.79K$290.6K0.1%$54.8KCut$53.3K
Kenvue Inc.KVUE16.4K$282.8K0.1%−$164Cut−$70.3K
Shell Plc3.03K$281.7K0.1%$59.1KHeld
Wisdomtree Tr7K$281K0.1%−$9.38KCut−$28.8K
Millicom Intl Cellular S A3.7K$277.5K0.1%New
Spdr Series Trust3K$274.5K0.1%$6.99KCut$5.47K
Barclays Bank Plc7.25K$258.8K0.1%$66.9KCut−$144.8K
Home Depot, Inc.HD784$257.9K0.1%−$11.4KAdded−$2.21K
Credo Technology Group Holdi2.67K$251.1K0.1%−$94KAdded−$19.4K
Schwab Charles Corp2.67K$250.8K0.1%−$15.4KAdded−$8.07K
Cleanspark Inc29.3K$248.9K0.1%−$47.1KCut−$177.6K
Ishares Tr2.61K$247.9K0.1%New
Ford Mtr Co20.8K$239.6K0.1%−$32.8KAdded−$32.7K
Commscope Hldg Co IncVISN13.1K$238.8K0.1%$899Added$5.94K
Coinbase Global, Inc.COIN1.36K$238.3K0.1%−$64.6KAdded−$45.2K
Us Bancorp Del4.58K$238.3K0.1%−$6.16KAdded−$4.49K
Ishares Tr2.61K$236.3K0.1%$2.55KAdded$23.3K
Argan IncAGX430$234K0.1%New
United Sts Brent Oil Fd Lp4.45K$231.4K0.1%New
Costco Whsl Corp New232$230.9K0.1%New
Us Foods Hldg Corp2.47K$227.6K0.1%New
Amplify Etf Tr20.1K$221.6K0.1%−$9.64KCut−$10.4K
Southern Copper Corp/SCCO1.27K$217.8K0.1%New
Cummins IncCMI403$217.1K0.1%New
Norwegian Cruise Line Hldg L11.6K$216.9K0.1%−$42KCut−$64.3K
Ishares Silver Tr3.18K$216.9K0.1%$11.7KAdded$14.7K
Cisco Sys Inc2.73K$211.8K0.1%$1.54KAdded$5.42K
ConocophillipsCOP1.59K$210.5K0.1%New
Lowes Cos Inc870$205.5K0.1%−$4.27KAdded−$4.03K
Tidal Trust Iii4.9K$205.4K0.1%New
Synopsys IncSNPS515$204.2K0.1%−$37.7KCut−$94.1K
Vanguard Scottsdale Fds2.01K$201.3K0.1%New
Sabre CorpSABR16.3K$23.6K0.0%$1.46KCut−$106.2K

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.