13F

Investor

Solidarity Wealth, LLC

CIK 0001906613 · filed 2026-04-29 · SEC filing

13F book

$520.7M

Positions

83

8 new · 2 sold

Largest name

10.4%

Apple Inc. · AAPL

Est. mark

−$20.7M

Price effect on 75 names still held. Flow $52.6M.
NameTickerSharesValueWeightEst. markChange
Apple Inc.AAPL212.6K$53.9M10.4%−$3.61MAdded−$352.8K
Invesco Exchange Traded Fd T187.4K$36M6.9%$56.1KAdded$6M
Allison Transmission Hldgs I300K$35.1M6.7%$5.5MAdded$6.99M
Alphabet Inc121.2K$34.8M6.7%−$2.98MAdded−$1.79M
Amazon Com IncAMZN163.3K$34M6.5%−$3.47MAdded−$1.55M
Natural Resource Partners LNRP235.2K$28.5M5.5%$3.57MAdded$6.03M
Microsoft CorpMSFT69.6K$25.8M4.9%−$7.13MAdded−$4.66M
Berkshire Hathaway Inc Del49.6K$23.8M4.6%−$1.09MAdded$389.8K
Spdr S&P 500 Etf Tr29.7K$19.3M3.7%−$944.2KCut−$1.97M
Visa Inc.V55.4K$16.7M3.2%−$2.36MAdded−$346.4K
Oreilly Automotive Inc149K$13.8M2.6%$139.1KAdded$2.23M
Autozone IncAZO4.07K$13.7M2.6%−$51.3KAdded$1.06M
Markel Group Inc.MKL6.83K$13.1M2.5%−$1.45MAdded−$126.6K
Goldman Sachs Group Inc14.7K$12.4M2.4%−$419.3KAdded$1.23M
Mcdonalds CorpMCD36.4K$11.3M2.2%$163.1KAdded$1.66M
Asml Holding N V8.45K$11.2M2.1%$1.95MAdded$2.85M
Mastercard IncMA21.2K$10.6M2.0%−$1.51MCut−$3.9M
Air Prods & Chems Inc32.3K$9.37M1.8%$1.19MAdded$2.59M
Booking Holdings Inc.BKNG2.15K$9.06M1.7%−$1.83MAdded$503.9K
Fair Isaac CorpFICO8.17K$8.73M1.7%−$3.33MAdded−$306.3K
Meta Platforms, Inc.META15.2K$8.68M1.7%−$887.8KAdded$2.02M
Mettler Toledo International Inc/MTD6.71K$8.46M1.6%−$746.7KAdded$634.3K
Citigroup Inc73.1K$8.29M1.6%−$136.7KAdded$3.43M
Pitney Bowes Inc746.8K$8.25M1.6%$283.2KAdded$2.02M
Nrg Energy, Inc.NRG42.4K$6.2M1.2%−$312.8KAdded$2.39M
Cboe Global Mkts Inc19.4K$5.46M1.0%$547.9KAdded$885.2K
Nvidia CorpNVDA23.5K$4.09M0.8%−$232.5KAdded$506.6K
Cme Group Inc.CME12.5K$3.69M0.7%$278KHeld
Jpmorgan Chase & Co.12.1K$3.55M0.7%−$203.9KAdded$1.2M
Invesco Qqq Tr5.77K$3.33M0.6%−$174.3KAdded$449.1K
Costar Group, Inc.CSGP81.3K$3.28M0.6%−$1.63MAdded−$799.6K
Alphabet Inc9.52K$2.73M0.5%−$243KAdded−$100.1K
Vanguard Index Fds5.06K$1.62M0.3%−$67.8KAdded$50.6K
GE Vernova Inc.GEV1.8K$1.58M0.3%New
Slb Limited/NvSLB30.5K$1.57M0.3%New
Broadcom Inc.AVGO4.29K$1.33M0.3%−$40.2KAdded$947.2K
Drilling Tools Intl Corp272.5K$1.18M0.2%$512.3KHeld
Simon Ppty Group Inc New6.21K$1.16M0.2%$8.82KCut$7.71K
RTX CorpRTX5.9K$1.14M0.2%$56.1KCut$48.7K
Walmart Inc.WMT8.72K$1.08M0.2%$101KAdded$190.5K
Netflix IncNFLX11.2K$1.07M0.2%New
SoFi Technologies, Inc.SOFI65.7K$1.04M0.2%−$676.3KHeld
Mercadolibre IncMELI600$1.04M0.2%New
Verizon Communications IncVZ20.4K$1.02M0.2%$178.5KAdded$255K
Lockheed Martin CorpLMT1.68K$1.01M0.2%$202.7KCut$199.3K
Unitedhealth Group IncUNH3.58K$967.9K0.2%−$212.9KCut−$1.38M
Vanguard Intl Equity Index F11.5K$862.9K0.2%$8.04KAdded$478.7K
Costco Whsl Corp New854$851K0.2%$114.5KCut$100.7K
Waste Mgmt Inc Del3.67K$844.5K0.2%$37KCut$34K
Vanguard Index Fds1.39K$830K0.2%−$35.1KAdded$86.2K
AbbVie Inc.ABBV3.69K$802.5K0.2%−$40.6KHeld
Tesla, Inc.TSLA2.03K$755.8K0.1%−$158.5KCut−$182.8K
Arista Networks, Inc.ANET5.4K$663.3K0.1%−$31.4KAdded$165.1K
Ishares Gold Tr7.09K$624.8K0.1%$49.5KHeld
Analog Devices IncADI1.84K$586.3K0.1%$86.5KCut$78.9K
Deere & CoDE1.02K$572.9K0.1%$97.7KCut−$1.77M
Ishares Tr3.75K$533.7K0.1%−$23.5KHeld
StoneX Group Inc.SNEX6.4K$516.2K0.1%−$53.3KAdded$166.3K
Lightwave Logic, Inc.LWLG72.9K$512.5K0.1%$276.3KCut$260.1K
Chevron Corp NewCVX2.41K$498.4K0.1%$131.3KCut$121.2K
Caterpillar IncCAT646$457.7K0.1%$80.8KAdded$116.2K
Vanguard Star Fds5.89K$454.3K0.1%$9.84KCut−$116.8K
Vanguard Index Fds2.29K$449.9K0.1%$11.9KHeld
Kla CorpKLAC303$446.1K0.1%$78KHeld
Home Depot, Inc.HD1.27K$419K0.1%−$19.4KCut−$23.9K
Shopify Inc.SHOP3.33K$394.5K0.1%−$140.9KCut−$966.8K
Kinder Morgan Inc Del10.9K$364.7K0.1%$65.7KHeld
Vanguard World Fd1.54K$346.8K0.1%$20.6KHeld
American Express CoAXP1.13K$341.2K0.1%−$69.4KAdded−$39.1K
Vanguard World Fd2.76K$333.6K0.1%−$35KHeld
Vanguard World Fd1.6K$317.6K0.1%$21KHeld
Eli Lilly & CoLLY322$296.2K0.1%New
Elevance Health Inc Formerly987$288.9K0.1%−$57KCut−$1.14M
J P Morgan Exchange Traded F5.04K$285.6K0.1%−$8.71KAdded−$6.78K
Wells Fargo Co New3.38K$268.8K0.1%New
Lowes Cos Inc1.06K$251.2K0.0%−$4.23KAdded$42.3K
Vanguard Scottsdale Fds824$243.2K0.0%−$11.5KHeld
Starbucks CorpSBUX2.65K$237.4K0.0%New
Ishares Tr1.89K$235.4K0.0%$7.82KCut−$1.79K
Vanguard Index Fds800$229.7K0.0%−$2.11KAdded$28.3K
Abbott LabsABT2.2K$226.3K0.0%−$49.9KCut−$73.2K
Ishares Tr513$218.7K0.0%New
Ishares Tr1.83K$207K0.0%−$18.6KHeld

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.