13F

Investor

RHS Financial, LLC

CIK 0001766514 · filed 2026-04-28 · SEC filing

13F book

$211.1M

Positions

146

14 new · 12 sold

Largest name

4.4%

Schwab Strategic Tr

Est. mark

$1.49M

Price effect on 132 names still held. Flow $4.73M.
NameTickerSharesValueWeightEst. markChange
Schwab Strategic Tr189K$9.25M4.4%$605.6KAdded$1.89M
Schwab Strategic Tr327.9K$9.13M4.3%$200.8KAdded$593.3K
Vanguard Index Fds27.3K$8.76M4.2%−$365.5KAdded$292.1K
Ishares Tr193.8K$7.69M3.6%$306.6KAdded$533.4K
Vanguard Tax-Managed Fds112.9K$7.23M3.4%$181.7KCut$38.3K
Schwab Strategic Tr185.3K$7.09M3.4%$407.6KCut−$1.67M
Vanguard Scottsdale Fds122.9K$6.8M3.2%−$38.1KAdded$2.02M
Schwab Strategic Tr270.8K$6.8M3.2%−$306KCut−$849.5K
Ishares Inc103.8K$6.27M3.0%$267.9KCut$146.9K
Ishares Tr24.3K$5.82M2.8%−$250.4KCut−$819.6K
Ishares Inc72K$5.69M2.7%$384.6KCut$198.4K
Ea Series Trust46.8K$5.44M2.6%$49.1KAdded$695K
Ishares Tr133K$5.18M2.5%$146.7KAdded$604.6K
Schwab Strategic Tr194.7K$4.82M2.3%$138.3KCut$9.84K
Ishares Tr70.7K$4.66M2.2%−$230KAdded$6.49K
Ishares Tr45.9K$4.26M2.0%−$62.2KAdded$129.8K
Apple Inc.AAPL15.7K$3.97M1.9%−$282.9KCut−$429.7K
Ubs Ag London Branch115.4K$3.8M1.8%$565.5KCut$519.3K
Ishares Tr78.6K$3.77M1.8%$3.7KAdded$229.4K
J P Morgan Exchange Traded F51.3K$3.19M1.5%$71.7KCut−$440.1K
Ishares Tr33.7K$3.08M1.5%$110.6KAdded$1.21M
Vanguard Scottsdale Fds49K$2.92M1.4%−$17.1KAdded$217.7K
Schwab Us Tips Etf107.5K$2.86M1.4%$12.8KAdded$28.9K
Wisdomtree Tr50.3K$2.63M1.2%−$134KCut−$246.9K
Ishares Tr49.9K$2.53M1.2%$2.04KCut−$333.9K
Vaneck Etf Trust88.1K$2.21M1.0%−$62.5KCut−$352.5K
Ishares Tr40.7K$2.14M1.0%−$13KCut−$272.7K
Ishares Tr25.1K$2.1M1.0%$26.3KAdded$103.2K
Ishares Tr13.4K$1.9M0.9%−$101.5KCut−$110.9K
Nvidia CorpNVDA10.3K$1.79M0.8%−$119.8KAdded−$58.2K
Ishares Inc41.7K$1.7M0.8%−$22.5KAdded$484.4K
Vanguard Whitehall Fds11.2K$1.65M0.8%$42.3KAdded$327.1K
Schwab Strategic Tr64.3K$1.65M0.8%−$81.6KCut−$586.2K
Western Asst Infltn Lkd Inm201.1K$1.62M0.8%−$35.8KAdded$64.7K
Return Stacked Us Stk55.9K$1.58M0.7%−$3.92KCut−$255.4K
Spdr Series Trust26K$1.47M0.7%−$3.99KAdded$485.6K
Abrdn Etfs39.9K$1.43M0.7%$159.1KAdded$405.5K
Ishares Tr9.89K$1.41M0.7%$42.9KAdded$333.1K
J P Morgan Exchange Traded F10.5K$1.37M0.6%$65.9KCut$25K
Ishares Tr14.2K$1.35M0.6%−$3.86KCut−$587.1K
Bluerock Pvt Real Estate Fd77.1K$1.28M0.6%$124.2KCut$93.5K
Ishares Inc19.7K$1.28M0.6%$13.6KCut−$343.9K
Ishares Tr13.3K$1.27M0.6%$7.04KCut−$139.4K
Schwab Strategic Tr41K$1.26M0.6%$133.3KCut$121.1K
Ishares Tr8.64K$1.23M0.6%−$54.1KCut−$319.8K
Microsoft CorpMSFT3.19K$1.18M0.6%−$361.6KCut−$415.2K
Alphabet Inc3.99K$1.15M0.5%−$101.4KCut−$172.8K
Ea Series Trust10.7K$1.12M0.5%−$1.28KAdded$84.9K
Ishares Tr17.7K$1.05M0.5%$16.2KAdded$634.6K
Amazon Com IncAMZN4.82K$1M0.5%−$108.8KCut−$205.9K
Vanguard Wellington Fd6.35K$984.3K0.5%$24.8KAdded$127.1K
Litman Gregory Fds Tr31.5K$948.3K0.4%$65.7KCut−$465.5K
Vanguard World Fd13.9K$904K0.4%New
Grayscale Bitcoin Mini Tr Et29.3K$880.1K0.4%−$166.6KAdded$142.1K
Ishares Tr20.5K$857.1K0.4%$6.36KCut−$186.3K
HCA Healthcare, Inc.HCA1.68K$796.5K0.4%$9.61KAdded$92.9K
Ishares 0-3 Month7.87K$792.4K0.4%$2.15KCut−$284K
Invesco Exch Traded Fd Tr Ii7.05K$790.4K0.4%−$23.5KAdded$401.8K
Vanguard Growth Etf1.75K$763.1K0.4%−$89.2KCut−$312.2K
Bristol-Myers Squibb Co12.4K$754.4K0.4%$83.5KCut$46.7K
Ishares Tr14.5K$727.1K0.3%$272Added$275.7K
Ishares Tr9.02K$680.5K0.3%$4.49KAdded$129.7K
J P Morgan Exchange Traded F9.39K$668.9K0.3%$29.1KCut$28.2K
Ishares Tr3.4K$652.2K0.3%−$23.2KCut−$150.1K
Vanguard Index Fds2.94K$639.3K0.3%$16.1KCut−$16.8K
Gilead Sciences, Inc.GILD4.47K$622.4K0.3%$74.3KCut$72.3K
Blackrock Core Bd Tr62.1K$568.6K0.3%−$6.53KAdded$422.9K
Ishrs 10 Yr Invest Grade11.4K$565K0.3%−$4.78KAdded$272.5K
Invesco Qqq Tr961$554.4K0.3%−$13.8KAdded$323.7K
Walmart Inc.WMT4.41K$548.1K0.3%$38.7KAdded$212.7K
Exelixis, Inc.EXEL12.8K$547.8K0.3%−$11.9KAdded−$5.26K
Ebay IncEBAY5.95K$541.3K0.3%$23.3KCut$928
Vanguard World Fd2.26K$533.4K0.3%−$21.8KAdded$164.5K
Ishares Tr5.07K$524.3K0.2%$3.25KAdded$202.6K
Ishares Tr5.08K$511.6K0.2%−$4.82KCut−$311.9K
InterDigital, Inc.IDCC1.65K$499.5K0.2%−$27.1KCut−$125.2K
Federated Hermes, Inc.FHI8.71K$494.2K0.2%$40.4KCut$36.1K
Graniteshares Etf Tr42K$485.4K0.2%−$3.06KAdded$201.8K
Eog Res Inc3.33K$480.8K0.2%$131.6KCut$122.4K
Schwab Strategic Tr10.4K$480.2K0.2%$16.3KAdded$78.9K
Millicom Intl Cellular S A6.26K$469.3K0.2%$122.1KCut−$16.6K
Kroger CoKR6.38K$461.4K0.2%$58.5KAdded$91.4K
Intuitive Surgical IncISRG995$458.7K0.2%−$103.1KAdded−$95.2K
Boston Beer Co IncSAM1.96K$451.8K0.2%$69.2KHeld
Ishares Inc6.29K$439K0.2%$15.9KCut−$26.6K
Ishares Tr8.4K$430.3K0.2%New
Shell Plc4.52K$420.5K0.2%$78.1KAdded$126.5K
Ingredion IncINGR3.71K$418.3K0.2%$8.91KCut$3.62K
Ugi Corp New11.4K$416K0.2%−$11.5KCut−$26.7K
At&T Inc14.2K$411.8K0.2%$58.9KAdded$59.1K
Albertsons Cos IncACI23.3K$396.7K0.2%−$3KAdded$751
Berkshire Hathaway Inc Del824$394.9K0.2%−$17.2KAdded$25.9K
Dimensional Etf Trust9.28K$393.3K0.2%$8.26KCut−$26.2K
General Mtrs Co5.26K$392.1K0.2%−$18.7KAdded$169.6K
Ishares Tr6.88K$391.4K0.2%−$4.07KAdded$1.9K
Adobe Inc.ADBE1.6K$388.2K0.2%New
Dollar Tree, Inc.DLTR3.4K$372.3K0.2%−$39.7KAdded$10.2K
Schwab Strategic Tr12.7K$368.6K0.2%−$44.2KCut−$63.7K
Pilgrims Pride CorpPPC9.71K$366.5K0.2%−$11.4KAdded$5.61K
BorgWarner IncBWA6.73K$365.3K0.2%$61.9KCut−$35.4K
Meta Platforms, Inc.META636$363.9K0.2%−$42.7KAdded$43.7K
Ishares Tr4.01K$363.3K0.2%$4.3KCut−$42.6K
Vanguard Specialized Funds1.66K$357.4K0.2%−$7.84KHeld
Ishares Inc7.81K$355.1K0.2%$10.2KCut−$19.2K
Valmont Inds Inc880$351.6K0.2%−$2.42KCut−$45.5K
Nuveen Ca Qualty Mun Income29.2K$340.4K0.2%−$4.67KCut−$37.2K
Ishares Tr518$338.4K0.2%−$16.4KAdded−$15.1K
Blackrock Etf Trust5.69K$331K0.2%New
Ryder Sys Inc1.59K$325.1K0.2%$21.2KCut$14.3K
Cf Inds Hldgs Inc2.45K$318.2K0.2%New
Hewlett Packard Enterprise C13.2K$313.5K0.1%−$2.77KHeld
Pimco Equity Ser7.45K$310.2K0.1%−$2.67KAdded$13.5K
Comcast Corp New10.6K$305K0.1%New
Dimensional Etf Trust6.65K$300K0.1%−$11.2KHeld
Alphabet Inc1.02K$291.6K0.1%−$27.4KCut−$52.2K
Ishares Tr3.85K$285.9K0.1%$11.3KCut−$61.6K
Dropbox, Inc.DBX12.5K$284.3K0.1%−$63.6KCut−$66.9K
G Iii Apparel Group Ltd10.2K$283.5K0.1%−$12.9KCut−$63.7K
Electronic Arts Inc.EA1.39K$282.6K0.1%−$479Added$69.4K
Vanguard Index Fds1.43K$279.9K0.1%$7.23KAdded$15.1K
Ralph Lauren CorpRL804$276.6K0.1%−$7.73KCut−$37.1K
Vanguard Intl Equity Index F5.05K$273.2K0.1%$1.47KCut−$118.8K
Costco Whsl Corp New273$272K0.1%New
Kla CorpKLAC178$262.1K0.1%$45.8KCut−$13.7K
Universal Hlth Svcs Inc1.45K$260K0.1%−$54.6KAdded−$44.5K
Yelp IncYELP10.4K$256.1K0.1%−$57.5KAdded−$53.1K
Global X Fds13.8K$253.8K0.1%−$7.03KCut−$141.9K
Goldman Sachs Etf Tr2.53K$253.5K0.1%$633Cut−$112.6K
Expedia Group, Inc.EXPE1.09K$251.7K0.1%−$54KAdded−$40.1K
New York Life Investments Et6.87K$249.7K0.1%$3.54KAdded$23.6K
TechnipFMC PLCFTI3.6K$248.8K0.1%New
Nushares Etf Tr5.26K$239.1K0.1%$2.37KCut$518
Dimensional Etf Trust6.89K$234.1K0.1%$8.54KHeld
Tidal Trust I7.29K$233.7K0.1%New
Schwab Strategic Tr7.02K$231.4K0.1%$1.38KAdded$6.29K
Cirrus Logic, Inc.CRUS1.52K$219.5K0.1%New
Schwab Strategic Tr6.65K$215.7K0.1%$6.12KCut−$3.11K
Sprott Asset Management Lp6.01K$213K0.1%$14.5KCut$6.29K
Booking Holdings Inc.BKNG49$206.3K0.1%New
Alkermes plc.ALKS5.76K$203.7K0.1%New
Jazz Pharmaceuticals PlcJAZZ1.08K$203.4K0.1%New
Dimensional Etf Trust4.74K$200.9K0.1%−$2.11KCut−$51.3K
Dxc Technology CoDXC13.3K$167.6K0.1%−$27.7KCut−$40.1K
Telefonaktiebolaget Lm Erics14.4K$162.1K0.1%$19.3KAdded$47.1K
Simplify Exchange Traded Fun11.8K$154.9K0.1%New
Turkcell Iletisim Hizmetleri17.9K$108K0.1%$10KCut$3.14K

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.