13F

Investor

Ranch Capital Advisors Inc.

CIK 0001793269 · filed 2026-05-06 · SEC filing

13F book

$276.7M

Positions

153

10 new · 10 sold

Largest name

5.5%

Spdr Series Trust

Est. mark

−$2.93M

Price effect on 143 names still held. Flow $4.76M.
NameTickerSharesValueWeightEst. markChange
Spdr Series Trust166.1K$15.2M5.5%$43.2KCut−$763.6K
Apple Inc.AAPL42.1K$10.7M3.9%−$760KAdded−$744K
Nvidia CorpNVDA52.5K$9.16M3.3%−$634.9KCut−$670.9K
Vanguard Whitehall Fds57K$8.44M3.0%$253.5KAdded$497.4K
Vanguard Specialized Funds38.3K$8.24M3.0%−$180.1KAdded−$133.4K
Broadcom Inc.AVGO25.5K$7.89M2.9%−$920KAdded−$813.2K
Vanguard Scottsdale Fds113.2K$6.74M2.4%−$42KAdded$113.3K
Microsoft CorpMSFT17.6K$6.52M2.4%−$1.98MAdded−$1.93M
At&T Inc179K$5.19M1.9%$680.6KAdded$1.12M
Jpmorgan Chase & Co.17.4K$5.12M1.9%−$474.7KAdded−$328.8K
Ishares Tr49.5K$4.99M1.8%−$46.5KAdded$8.78K
Verizon Communications IncVZ90.2K$4.53M1.6%$723.7KAdded$1.42M
Cardinal Health IncCAH21K$4.44M1.6%$119.5KAdded$211.3K
Amplify Etf Tr95K$4.26M1.5%$32.1KAdded$180.3K
Spdr S&P 500 Etf Tr6.41K$4.18M1.5%−$203.5KCut−$204.2K
Cisco Sys Inc53K$4.11M1.5%$29KAdded$120.8K
First Tr Exchange Traded Fd43.3K$4.06M1.5%−$136.5KAdded−$99.8K
Iron Mtn Inc Del39.2K$4.03M1.5%$721.4KAdded$885.2K
Alphabet Inc13.8K$3.98M1.4%−$351.6KAdded−$351.1K
Johnson & JohnsonJNJ15.9K$3.9M1.4%$576.3KAdded$715.7K
Amgen IncAMGN10.9K$3.85M1.4%$255.6KAdded$439K
Citigroup Inc33K$3.74M1.4%−$106.9KAdded−$64.9K
Select Sector Spdr Tr80.3K$3.68M1.3%$252.8KAdded$309.5K
Gilead Sciences, Inc.GILD26.4K$3.68M1.3%$414.6KAdded$615.7K
Procter And Gamble CoPG25.4K$3.67M1.3%$28.7KCut$5.66K
Entergy Corp New31K$3.49M1.3%$617.1KAdded$626.2K
Tesla, Inc.TSLA9.13K$3.39M1.2%−$710KAdded−$700.7K
Cummins IncCMI6.03K$3.24M1.2%$166.2KCut$139.1K
AbbVie Inc.ABBV14.9K$3.24M1.2%−$119.7KAdded$754K
Chevron Corp NewCVX15.3K$3.17M1.1%$827.4KAdded$856.5K
International Business Machs12.4K$3.02M1.1%−$669.8KCut−$1.68M
Duke Energy Corp New22.5K$2.95M1.1%$287.1KAdded$498.3K
Southern Co30.1K$2.91M1.1%$263.4KAdded$445.2K
Select Sector Spdr Tr21.2K$2.82M1.0%−$234.5KCut−$351.6K
Blackstone Inc.BX24.3K$2.79M1.0%−$950.1KAdded−$947.7K
Evergy, Inc.EVRG32.6K$2.67M1.0%$294KAdded$409.6K
Amazon Com IncAMZN12.5K$2.61M0.9%−$280.2KAdded−$257.7K
Aflac IncAFL22.2K$2.43M0.9%−$12.4KCut−$117.7K
General Dynamics CorpGD6.99K$2.4M0.9%$42.6KAdded$207.3K
Select Sector Spdr Tr29.1K$2.38M0.9%$108.8KAdded$418.4K
Target CorpTGT18.5K$2.25M0.8%$401.5KAdded$572.4K
Invesco Exch Traded Fd Tr Ii91.8K$2.2M0.8%−$30.6KAdded$73.8K
Pfizer IncPFE78K$2.19M0.8%$235.4KAdded$346.8K
Ishares Tr27.3K$2.17M0.8%−$28.5KAdded$21.6K
Pepsico IncPEP13.7K$2.12M0.8%$137.7KAdded$272.7K
United Parcel Service IncUPS20.5K$2.02M0.7%−$14.8KAdded$200K
Vanguard Scottsdale Fds26.9K$2.01M0.7%−$29.1KAdded$52.4K
Prologis Inc.13.6K$1.8M0.7%$58.7KAdded$144.4K
Nextera Energy Inc19.3K$1.79M0.6%$238.8KAdded$267.7K
Getty Rlty Corp New55.3K$1.78M0.6%New
Medtronic PlcMDT20.4K$1.78M0.6%−$186.3KAdded−$134.1K
Spdr Series Trust23.1K$1.77M0.6%−$81.8KAdded−$15.1K
Alphabet Inc6K$1.72M0.6%−$155.2KAdded−$86.1K
Invesco Exch Traded Fd Tr Ii7.07K$1.68M0.6%−$101KAdded$9.46K
International Paper Co45.8K$1.63M0.6%−$167.6KAdded−$154.6K
Ishares Tr22.3K$1.56M0.6%$16.3KAdded$67.2K
Paychex IncPAYX16.8K$1.55M0.6%−$330.2KAdded−$297.7K
Advanced Micro Devices IncAMD7.19K$1.46M0.5%−$76.4KAdded−$63.2K
Philip Morris Intl Inc8.05K$1.34M0.5%$39.8KAdded$40.5K
Select Sector Spdr Tr31.8K$1.3M0.5%$14.7KAdded$63.9K
Vanguard Scottsdale Fds22K$1.29M0.5%−$4.13KAdded$3.31K
Enterprise Prods Partners L32.5K$1.23M0.4%$186.8KAdded$194.9K
Select Sector Spdr Tr23.8K$1.18M0.4%−$128.6KCut−$137.4K
Vanguard Index Fds4.49K$1.18M0.4%$17.3KAdded$54K
Morgan Stanley7.12K$1.17M0.4%−$91.8KAdded−$85.9K
Caterpillar IncCAT1.61K$1.14M0.4%$218.4KCut$189.2K
Home Depot, Inc.HD3.42K$1.13M0.4%−$44.2KAdded$125.5K
Goldman Sachs Group Inc1.2K$1.01M0.4%−$39.1KAdded−$16.3K
Select Sector Spdr Tr6.86K$1.01M0.4%−$44.4KAdded$165.4K
Spdr Series Trust15.9K$941.5K0.3%$20.1KAdded$53.5K
Spdr Series Trust19.2K$928.6K0.3%$27.5KAdded$46.7K
United Rentals, Inc.URI1.26K$918.3K0.3%−$98.8KAdded−$76.9K
Costco Whsl Corp New897$893.4K0.3%$117.3KAdded$137.2K
Vanguard World Fd3.25K$883.9K0.3%−$50.5KAdded−$50K
Vanguard Index Fds1.48K$883K0.3%−$43.7KAdded−$43.1K
Netflix IncNFLX8.92K$857.5K0.3%$20.7KAdded$45.1K
Chubb Limited2.56K$836K0.3%$34.7KAdded$51.7K
Vaneck Etf Trust63.8K$816.5K0.3%−$86.7KAdded−$74K
Vanguard Scottsdale Fds14.5K$803.3K0.3%−$6.14KAdded$31.7K
Ishares Tr32.9K$797.2K0.3%$316Added$49.2K
Schwab Strategic Tr31.8K$786.9K0.3%$22.2KAdded$35.2K
Meta Platforms, Inc.META1.35K$774.6K0.3%−$119.2KCut−$187.2K
Alibaba Group Hldg Ltd6.14K$770.7K0.3%−$129.2KAdded−$125.9K
Invesco Qqq Tr1.3K$752.9K0.3%−$48.1KCut−$57.9K
Vanguard World Fd3.32K$746.1K0.3%$44.3KHeld
Cameco CorpCCJ6.76K$734.1K0.3%$111.9KAdded$136.2K
Union Pac Corp3K$727K0.3%$33.8KAdded$34.5K
Bank America Corp14.1K$687.2K0.2%−$87.1KAdded−$79K
Vanguard Index Fds3.48K$681.8K0.2%$18KCut−$893
Walmart Inc.WMT5.05K$627.7K0.2%$65KAdded$65.3K
Berkshire Hathaway Inc Del1.31K$626.7K0.2%−$30.7KCut−$50.8K
American Express CoAXP2.06K$622.3K0.2%−$138.7KHeld
Vaneck Etf Trust1.62K$619.4K0.2%$37.6KCut−$65.8K
Coca Cola CoKO7.83K$599.3K0.2%$52KHeld
Toronto Dominion Bk Ont6.42K$598.5K0.2%−$5.75KAdded−$5.56K
Pacer Fds Tr9.26K$579.3K0.2%$17.1KAdded$26.8K
Qualcomm Inc4.41K$567.4K0.2%−$186KAdded−$185.6K
Vanguard Index Fds1.94K$557.5K0.2%−$5.61KAdded$5.59K
Mastercard IncMA1.06K$529.3K0.2%−$75KAdded−$71K
Abbott LabsABT5.14K$527.4K0.2%−$116.1KAdded−$115.9K
Nuveen Amt Free Mun Cr Inc F42.7K$526.1K0.2%−$13.8KAdded−$11K
Texas Instrs Inc2.57K$498.3K0.2%$53KCut$32K
American Elec Pwr Co Inc3.78K$495.4K0.2%$59.6KHeld
Altria Group, Inc.MO7.06K$468.3K0.2%$58.8KAdded$59.2K
Unitedhealth Group IncUNH1.72K$466.3K0.2%−$102KAdded−$99.8K
Kratos Defense & Sec Solutio6.55K$462.1K0.2%−$33.7KAdded−$11.2K
Mcdonalds CorpMCD1.44K$447.1K0.2%$7.03KAdded$23.2K
Ishares Tr2.4K$435.4K0.2%−$43.8KHeld
Ishares Tr13.4K$407.4K0.1%−$8.1KAdded$15.7K
Select Sector Spdr Tr3.72K$405.4K0.1%−$38.8KCut−$150.6K
Capital One Finl Corp2.17K$396.6K0.1%−$130.3KHeld
Cincinnati Finl Corp2.5K$396.5K0.1%−$14.8KHeld
Waste Mgmt Inc Del1.72K$394.3K0.1%$17.3KCut$15.5K
Nutrien Ltd.NTR4.94K$374.7K0.1%New
Prudential Finl Inc3.8K$371.5K0.1%−$57.6KAdded−$56.7K
Vanguard Star Fds4.76K$367K0.1%New
Generac Hldgs Inc1.83K$357.5K0.1%New
Digital Rlty Tr Inc1.98K$356.1K0.1%$48KAdded$48.2K
Spdr Gold Tr822$353.7K0.1%$27.9KCut$7.72K
Spdr Dow Jones Indl Average760$352.1K0.1%−$13.2KHeld
Bristol-Myers Squibb Co5.73K$347.3K0.1%$38.4KHeld
Ishares Tr3.94K$341.6K0.1%−$1.76KAdded$9.94K
Ishares Bitcoin Trust EtfIBIT8.76K$336.7K0.1%−$98.4KCut−$189.5K
Vaneck Etf Trust3.66K$336.3K0.1%$22KCut−$116K
Exxon Mobil Corp1.98K$335.4K0.1%$97.3KAdded$97.7K
Amplify Etf Tr4.17K$312.7K0.1%−$22KCut−$151.9K
Wisdomtree Tr2.86K$312.2K0.1%$21KAdded$22.3K
Dbx Etf Tr6K$296.4K0.1%$7.74KHeld
Merck & Co., Inc.MRK2.4K$290.4K0.1%$36.2KCut$36.1K
Ishares Tr431$281.7K0.1%−$13.4KCut−$42.2K
Ishares Inc3.29K$277.5K0.1%$11.9KAdded$17.9K
Nuveen Municipal Credit Inc22.6K$275.4K0.1%−$8.94KCut−$24.7K
Vanguard World Fd1.38K$274K0.1%New
Blackrock Muniholdings Fd In23.8K$268.6K0.1%New
Blackrock Muniyild Qult Fd I24.1K$264.3K0.1%New
SoFi Technologies, Inc.SOFI16.5K$261.8K0.1%−$165.3KAdded−$158.3K
Lockheed Martin CorpLMT430$259.6K0.1%$51.4KAdded$52K
Ishares Tr7.13K$255.9K0.1%−$17.1KCut−$92.1K
Emerson Elec Co1.93K$252.2K0.1%−$3.35KAdded−$3.22K
Wheaton Precious Metals Corp.WPM1.91K$250K0.1%$25.7KHeld
RTX CorpRTX1.29K$248.2K0.1%$12.2KAdded$12.4K
Eaton Corp PlcETN661$236.4K0.1%$25.8KAdded$26.2K
Oneok Inc /New/OKE2.57K$232.5K0.1%New
Taiwan Semiconductor Mfg Ltd660$222.9K0.1%$22.2KAdded$22.5K
Autodesk, Inc.ADSK910$217.9K0.1%−$51.5KHeld
Vanguard World Fd303$211.6K0.1%−$17KHeld
Corning Inc1.54K$208.8K0.1%New
Thermo Fisher Scientific Inc.TMO419$206.1K0.1%−$36.8KHeld
Spdr Series Trust1.39K$202.1K0.1%New
Bny Mellon Strategic Mun Bd29.2K$175.6K0.1%−$4.66KAdded−$4.26K
Nuveen Mun High Income Oppor15K$156.2K0.1%$2.8KAdded$5.92K
Agnc Invt Corp11.3K$113K0.0%−$7.57KAdded−$4.53K
Werewolf Therapeutics, Inc.HOWL12K$9.99K0.0%$2.39KHeld

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.