13F

Investor

RED CRANE WEALTH MANAGEMENT, LLC

CIK 0001686343 · filed 2026-04-29 · SEC filing

13F book

$121.5M

Positions

72

7 new · 1 sold

Largest name

9.2%

Aim Etf Products Trust

Est. mark

−$2.1M

Price effect on 65 names still held. Flow $1.36M.
NameTickerSharesValueWeightEst. markChange
Aim Etf Products Trust332.2K$11.2M9.2%−$205.3KAdded$178.2K
Spdr Series Trust127.8K$7.23M5.9%−$29.4KCut−$83.3K
Ishares 0-3 Month61.3K$6.17M5.1%$17.1KCut−$198.6K
Innovator Etfs Trust107.2K$5.72M4.7%−$155.7KAdded$208.2K
Spdr Series Trust49.8K$4.88M4.0%−$437.7KCut−$568K
Vanguard Index Fds8.06K$4.82M4.0%−$237.9KCut−$313.8K
Vanguard Index Fds14.3K$4.12M3.4%−$43.7KCut−$172.3K
Innovator Etfs Trust107.1K$3.89M3.2%$12.7KAdded$61.3K
Innovator Etfs Trust70.3K$3.84M3.2%$64.7KCut−$403.1K
Innovator Etfs Trust105K$3.81M3.1%$117.6KCut$78.3K
Ishares Tr37.1K$3.36M2.8%$39.8KCut−$119.5K
Invesco Qqq Tr5.33K$3.08M2.5%−$197.9KCut−$205.3K
Apple Inc.AAPL11.8K$2.99M2.5%−$212.6KCut−$212.9K
Ishares Tr40.7K$2.85M2.3%$29.9KAdded$124.4K
Innovator Etfs Trust80.4K$2.58M2.1%$24.6KAdded$203.5K
Vanguard Index Fds9.79K$2.56M2.1%$38.8KCut−$2.77K
Innovator Etfs Trust57.2K$2.47M2.0%−$46.3KCut−$114.7K
Innovator Etfs Trust66.8K$2.34M1.9%$12.7KCut−$8.26K
First Tr Exchng Traded Fd Vi73.5K$2.25M1.9%−$78.2KCut−$99.2K
Aim Etf Products Trust64.8K$2.19M1.8%−$59.6KAdded$9.93K
Spdr Series Trust26.7K$2.04M1.7%−$95.8KAdded−$49.7K
Select Sector Spdr Tr13.2K$1.94M1.6%−$108.1KCut−$174.9K
Ishares U S Etf Tr37.3K$1.89M1.6%−$9.89KCut−$420.6K
Innovator Etfs Trust31.3K$1.76M1.5%−$48.7KCut−$61.5K
Innovator Etfs Trust38.1K$1.76M1.4%−$33.2KAdded$2.66K
Ea Series Trust14.5K$1.69M1.4%$16.2KAdded$126.2K
Innovator Etfs Trust33.1K$1.41M1.2%−$17.5KCut−$116.1K
Neos Etf Trust24K$1.37M1.1%$23.2KAdded$55.9K
Innovator Etfs Trust32K$1.33M1.1%$9.65KCut−$15.4K
Meta Platforms, Inc.META2.27K$1.3M1.1%−$188.3KAdded−$112.8K
Innovator Etfs Trust32.6K$1.3M1.1%$22.2KCut−$597K
Spdr Series Trust50K$1.28M1.1%−$6.48KCut−$25.8K
Ishares Tr8.57K$1.13M0.9%−$62KAdded−$60.3K
Lineage Cell Therapeutics In597.3K$943.7K0.8%−$53.8KHeld
J P Morgan Exchange Traded F16K$890.8K0.7%−$40.2KAdded−$7.92K
Innovator Etfs Trust46.6K$874.8K0.7%New
J P Morgan Exchange Traded F13.9K$785.6K0.6%−$7.59KAdded$8.22K
Innovator Etfs Trust25.4K$742.7K0.6%−$1.36KAdded$358K
Innovator Etfs Trust37.4K$727.4K0.6%New
Vanguard Bd Index Fds9.68K$713.1K0.6%−$4.16KHeld
Invesco Exchange Traded Fd T3.61K$692.6K0.6%$1.33KCut−$1.35K
Nvidia CorpNVDA3.92K$682.8K0.6%−$46.5KAdded−$34.3K
Alps Etf Tr12.2K$644.8K0.5%$68.3KAdded$73.3K
Vanguard Index Fds1.96K$627.7K0.5%−$28.5KAdded−$28.2K
Innovator Etfs Trust21.1K$620.4K0.5%$4.19KHeld
Schwab Strategic Tr19.6K$600.1K0.5%$63.6KCut−$79K
Microsoft CorpMSFT1.54K$570.8K0.5%−$168.7KAdded−$149.1K
Amgen IncAMGN1.57K$553.8K0.5%$38.6KCut−$24.5K
Innovator Etfs Trust26.1K$536.3K0.4%−$128Cut−$13.5K
Alphabet Inc1.8K$516.5K0.4%−$43.1KAdded−$14.1K
Rbb Fd Inc9.42K$469.8K0.4%−$207Cut−$132.8K
Ishares Tr10.7K$467.1K0.4%−$4.41KCut−$52.2K
Neos Etf Trust8.8K$437.4K0.4%−$28.1KAdded$73.8K
Proshares Tr4.09K$433.8K0.4%$7.92KCut−$126.1K
Innovator Etfs Trust14.3K$431.2K0.4%$2.3KAdded$133.8K
Innovator Etfs Trust9.53K$380.5K0.3%$3.33KHeld
Oracle Corp2.54K$374.3K0.3%−$121.6KCut−$145.2K
Innovator Etfs Trust12.8K$367.6K0.3%New
Intel CorpINTC8.31K$366.9K0.3%$60.1KCut$23.2K
Taiwan Semiconductor Mfg Ltd1.07K$362.4K0.3%$36.5KHeld
Alphabet Inc1.25K$357.6K0.3%−$33.8KCut−$39.1K
Innovator Etfs Trust8.12K$349.5K0.3%−$5.34KCut−$48.1K
Amazon Com IncAMZN1.66K$346.4K0.3%−$36.6KAdded−$28.7K
Vanguard World Fd1.65K$285.5K0.2%$77.7KHeld
Innovator Etfs Trust5.74K$283.5K0.2%−$2.58KCut−$4.68K
Vanguard Whitehall Fds1.79K$265.2K0.2%$8.18KAdded$9.22K
Aim Etf Products Trust7.45K$239.6K0.2%−$2.86KHeld
Innovator Etfs Trust7.14K$231.7K0.2%New
Select Sector Spdr Tr3.56K$218.3K0.2%New
Innovator Etfs Trust6.61K$209.3K0.2%New
First Tr Exchange-Traded Fd4.28K$208.6K0.2%−$1.89KCut−$2.87K
Pgim Rock Etf Tr7.1K$201.1K0.2%New

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.