13F

Investor

Strong Tower Advisory Services

CIK 0001889322 · filed 2026-04-16 · SEC filing

13F book

$531.4M

Positions

92

3 new · 8 sold

Largest name

5.8%

Ishares Tr

Est. mark

−$20.7M

Price effect on 89 names still held. Flow −$6.31M.
NameTickerSharesValueWeightEst. markChange
Ishares Tr281.7K$30.7M5.8%−$310.7KAdded$2.16M
Blackrock Etf Trust Ii551K$28.6M5.4%−$420.1KAdded$2.22M
Vanguard Bd Index Fds340.5K$23.4M4.4%−$232.3KAdded$1.6M
Nvidia CorpNVDA127.6K$22.3M4.2%−$1.54MCut−$2.42M
Ishares Tr243.4K$19.4M3.6%−$250.9KAdded$461.9K
Ishares Tr207.1K$17.9M3.4%−$84.3KAdded$2.32M
Strategy Inc134.7K$16.8M3.2%−$3.5MAdded−$2.75M
Ishares Bitcoin Trust EtfIBIT379.9K$14.6M2.7%−$3.99MAdded−$3.07M
Quanta Svcs Inc26.3K$14.4M2.7%$3.34MCut$3.27M
Microsoft CorpMSFT38.4K$14.2M2.7%−$4.16MAdded−$3.51M
Alphabet Inc47.3K$13.6M2.6%−$1.2MCut−$1.59M
Tesla, Inc.TSLA34.9K$13M2.4%−$2.63MAdded−$2.19M
Amazon Com IncAMZN59.8K$12.5M2.3%−$1.3MAdded−$833.6K
Freeport-Mcmoran IncFCX208.9K$12.3M2.3%$1.67MCut$1.63M
Exxon Mobil Corp71.8K$12.2M2.3%$3.49MAdded$3.66M
Unitedhealth Group IncUNH44.6K$12.1M2.3%−$1.79MAdded$2.13M
Bitmine Immersion Tecnologie561.7K$11.1M2.1%−$3.71MAdded−$2.57M
Apple Inc.AAPL41.6K$10.6M2.0%−$730.7KAdded−$428.7K
Eli Lilly & CoLLY11K$10.1M1.9%−$1.68MAdded−$1.56M
Boeing Co45.7K$9.09M1.7%−$815.7KAdded−$700.3K
Visa Inc.V29.7K$8.98M1.7%−$1.2MAdded$311.4K
3M COMMM55.7K$8.1M1.5%−$807.6KAdded−$600.1K
Louisiana Pac Corp108.8K$7.92M1.5%−$855KAdded−$704.4K
Alibaba Group Hldg Ltd62K$7.77M1.5%−$1.29MAdded−$1.17M
Solventum CorpSOLV112.7K$7.36M1.4%−$1.5MAdded−$1.15M
Broadcom Inc.AVGO18.3K$5.65M1.1%−$655.3KAdded−$545.1K
Newmont Corp49.8K$5.39M1.0%$418.4KCut$374.8K
Parker-Hannifin CorpPH5.78K$5.18M1.0%$94.1KCut$31.7K
Chevron Corp NewCVX23.6K$4.88M0.9%$1.28MAdded$1.29M
Bhp Group Ltd66.9K$4.87M0.9%$827.8KCut$755.9K
L3harris Technologies Inc13.9K$4.79M0.9%$715.6KCut$640.4K
RTX CorpRTX23.9K$4.62M0.9%$227.5KCut$105.5K
Constellation Energy CorpCEG15.7K$4.38M0.8%−$1.16MCut−$1.22M
Garmin LtdGRMN18.8K$4.37M0.8%$549.3KCut$517.3K
Walmart Inc.WMT33K$4.11M0.8%$418.7KAdded$481.7K
Verizon Communications IncVZ79.6K$4M0.8%$743.7KAdded$797.9K
Canadian Natl Ry Co38.7K$3.98M0.7%$151.8KCut$139.7K
Corteva, Inc.CTVA47.5K$3.98M0.7%$785.6KAdded$822.6K
Costco Whsl Corp New3.96K$3.94M0.7%$518.2KAdded$612.8K
Merck & Co., Inc.MRK32.7K$3.93M0.7%$487.2KAdded$517.1K
Kinder Morgan Inc Del116.7K$3.91M0.7%$676.4KAdded$834.4K
Energy Transfer L P197.3K$3.81M0.7%$533.6KAdded$676K
Global X Fds69.6K$3.75M0.7%$376.1KAdded$413.3K
Ecolab Inc.ECL14.1K$3.75M0.7%$49.3KCut$39.6K
Lowes Cos Inc15.8K$3.72M0.7%−$76.9KCut−$94.5K
Eaton Corp PlcETN10.3K$3.68M0.7%$383.4KAdded$557.3K
Invesco Exchange Traded Fd T19.1K$3.67M0.7%$6.89KCut−$2.96M
Illinois Tool Wks Inc14K$3.66M0.7%$196.5KCut$182.7K
Jpmorgan Chase & Co.12.4K$3.65M0.7%−$345.1KAdded−$316.6K
Mastercard IncMA7.15K$3.57M0.7%−$484.4KAdded−$309.6K
BlackRock, Inc.BLK3.71K$3.57M0.7%−$392.7KAdded−$303.3K
Sherwin Williams CoSHW11K$3.54M0.7%−$38.4KCut−$53.6K
American Wtr Wks Co Inc New25.9K$3.52M0.7%$142.8KAdded$192.2K
Xcel Energy Inc43.1K$3.42M0.6%$230.4KAdded$372.3K
Mcdonalds CorpMCD10.9K$3.38M0.6%$53.2KAdded$227.2K
Roper Technologies IncROP9.37K$3.32M0.6%−$724.9KAdded−$218.5K
STERIS plcSTE14.8K$3.28M0.6%−$458.6KAdded−$309.8K
Cummins IncCMI6.09K$3.28M0.6%$167.7KCut−$1.26M
AbbVie Inc.ABBV14.9K$3.24M0.6%−$162.6KAdded−$138.9K
Kimberly Clark CorpKMB33.5K$3.23M0.6%−$107.7KAdded$776.5K
Procter And Gamble CoPG22.2K$3.21M0.6%$23.7KAdded$204.8K
Philip Morris Intl Inc19.4K$3.21M0.6%$93.3KAdded$176K
Powell Inds Inc5.16K$2.79M0.5%$1.15MCut$898.2K
Palantir Technologies Inc.PLTR14.4K$2.11M0.4%−$440.4KAdded−$376.1K
Hudbay Minerals Inc.HBM95K$1.98M0.4%$99.5KAdded$103.9K
Invesco Exch Traded Fd Tr Ii7.05K$1.67M0.3%−$106.7KAdded−$89.1K
Equinix IncEQIX1.34K$1.32M0.2%$277.4KAdded$324.5K
Ha Sustainable Infra Cap Inc35.5K$1.31M0.2%$182.3KAdded$227.9K
Wabtec4.92K$1.23M0.2%$173.3KAdded$216K
Rockwell Automation, IncROK3.31K$1.19M0.2%−$95.5KAdded−$45.6K
Manitowoc Co IncMTW95K$1.11M0.2%−$31.3KAdded$3.44K
Amphenol Corp New8.45K$1.07M0.2%−$74.3KCut−$409.5K
Innodata IncINOD24.5K$944.5K0.2%−$290.1KAdded−$254.4K
Ionq Inc32.3K$930K0.2%−$501.7KAdded−$473.3K
Transdigm Group IncTDG793$919.5K0.2%−$129.5KAdded−$87.7K
Oreilly Automotive Inc9.95K$918.7K0.2%$10.1KAdded$82.8K
TransMedics Group, Inc.TMDX8.89K$883.9K0.2%New
Pool CorpPOOL4.2K$849.7K0.2%−$101.8KAdded−$31.6K
Alphabet Inc2.58K$741K0.1%−$67.7KAdded−$47.6K
Franklin Bsp Rlty Tr Inc86.7K$736.5K0.1%−$116.3KAdded−$21.2K
Janus Detroit Str Tr15.4K$719.8K0.1%−$16.9KCut−$24.6K
Hims & Hers Health, Inc.HIMS28.2K$584.7K0.1%−$304KAdded−$258.1K
Rbb Fd Inc10.1K$503.3K0.1%New
Tjx Cos Inc New2.81K$448.8K0.1%$17.1KHeld
Travelers Companies, Inc.TRV1.23K$359.9K0.1%$1.61KAdded$71.9K
Ishares Ethereum Tr21.1K$333.4K0.1%−$138.8KAdded−$138.4K
Spdr S&P 500 Etf Tr422$274.4K0.1%−$13.4KCut−$92.5K
Meta Platforms, Inc.META464$265.5K0.1%−$40.8KCut−$65.2K
Boston Scientific CorpBSX4.17K$261.7K0.0%−$135.9KHeld
Target CorpTGT1.91K$231.7K0.0%New
Berkshire Hathaway Inc Del462$221.4K0.0%−$10.8KCut−$8.12M
Enovix CorpENVX42.1K$218K0.0%−$89.7KHeld

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.