13F

Investor

Tudor Financial Inc.

CIK 0002045307 · filed 2026-05-15 · SEC filing

13F book

$195.6M

Positions

139

9 new · 12 sold

Largest name

4.7%

Ishares Tr

Est. mark

−$950.7K

Price effect on 130 names still held. Flow $1.19M.
NameTickerSharesValueWeightEst. markChange
Ishares Tr114.4K$9.1M4.7%−$122.4KCut−$132.8K
Vanguard Index Fds15K$8.95M4.6%−$443.1KCut−$515.9K
Spdr Dow Jones Indl Average18.8K$8.69M4.4%−$326.5KCut−$371.2K
Ishares Tr23.7K$8.46M4.3%−$400.3KCut−$491.4K
Schwab Strategic Tr258.1K$7.92M4.0%$839KHeld
Schwab Strategic Tr280.1K$6.93M3.5%$198.3KAdded$217.8K
Invesco Qqq Tr7.34K$4.24M2.2%−$272.5KCut−$292.8K
Ishares Tr6.12K$4M2.0%−$193.9KCut−$259K
Ishares Tr17.6K$3.86M2.0%$71.7KCut$17.8K
Cintas CorpCTAS22.5K$3.81M1.9%−$426.5KHeld
Amgen IncAMGN9.48K$3.34M1.7%$232.5KCut−$61.7K
Allstate Corp15.1K$3.13M1.6%−$12.3KAdded−$12.1K
Ishares Tr18.8K$3.09M1.6%−$286.1KCut−$317.8K
Ishares Tr8.77K$2.88M1.5%$92.7KAdded$1.87M
Ishares Tr19.2K$2.83M1.4%−$12.2KCut−$35K
Oracle Corp18.9K$2.78M1.4%−$279.8KAdded$1.64M
Apple Inc.AAPL10.7K$2.71M1.4%−$192.2KAdded−$176.7K
Spdr S&P 500 Etf Tr4.05K$2.63M1.3%−$126.5KAdded−$101.2K
Nvidia CorpNVDA14.5K$2.53M1.3%−$175.7KCut−$194.4K
Invesco Exchange Traded Fd T12.9K$2.48M1.3%$4.56KAdded$34.1K
Hershey CoHSY11.9K$2.48M1.3%$308.7KHeld
Ishares Tr25.2K$2.45M1.3%$27.4KAdded$55.1K
Jpmorgan Chase & Co.8.13K$2.39M1.2%−$227.7KAdded−$225.7K
Ishares Tr79.4K$2.3M1.2%New
Ishares Silver Tr33.2K$2.26M1.2%$123.5KCut$95.2K
Vanguard Specialized Funds10.3K$2.21M1.1%−$48.5KCut−$66.9K
Ishares Gold Tr24.3K$2.15M1.1%$170.1KCut$159.6K
Alphabet Inc7.11K$2.04M1.0%−$191.5KCut−$207.2K
Lowes Cos Inc8.6K$2.03M1.0%−$41.7KAdded−$32.9K
Caterpillar IncCAT2.73K$1.93M1.0%$370KCut$355.7K
Accenture Plc Ireland9.38K$1.86M1.0%−$609.1KAdded−$473.3K
Microsoft CorpMSFT4.82K$1.78M0.9%−$544.7KAdded−$538.8K
Exxon Mobil Corp10.5K$1.78M0.9%$516KCut$510.7K
American Elec Pwr Co Inc13.2K$1.73M0.9%$207.1KAdded$212.1K
Canadian Natl Ry Co16.6K$1.71M0.9%$65.2KHeld
Comcast Corp New58.4K$1.68M0.9%−$17.9KAdded$1.23M
Air Prods & Chems Inc5.53K$1.61M0.8%$240.3KHeld
Procter And Gamble CoPG10.5K$1.51M0.8%$11.8KAdded$23.2K
Ishares Tr49.5K$1.5M0.8%−$31.7KCut−$47.4K
Northrop Grumman Corp2.14K$1.46M0.7%$239.7KHeld
Cisco Sys Inc18.2K$1.41M0.7%$10.2KAdded$10.7K
Ishares Tr11.3K$1.41M0.7%$46.8KCut$35.5K
Invesco Exch Traded Fd Tr Ii129.5K$1.41M0.7%−$46.1KAdded−$29.8K
Johnson & JohnsonJNJ5.72K$1.4M0.7%$212.6KAdded$225.5K
Vanguard Intl Equity Index F10.1K$1.39M0.7%−$27.6KHeld
Ishares Tr19.8K$1.34M0.7%$29.7KAdded$57.5K
Ishares Tr7.49K$1.26M0.6%$591Added$17.5K
Travelers Companies, Inc.TRV4.2K$1.23M0.6%$6.8KHeld
Visa Inc.V4.05K$1.22M0.6%−$196KHeld
Ishares Inc16.1K$1.12M0.6%$40.8KCut$32.8K
Ishares Tr13.3K$1.11M0.6%$14.5KCut$7.92K
Chevron Corp NewCVX5.3K$1.1M0.6%$288.4KAdded$289.7K
Marathon Pete Corp4.4K$1.07M0.5%$358.9KCut$336.4K
Pepsico IncPEP6.76K$1.05M0.5%$79.7KCut$65.4K
Amazon Com IncAMZN5K$1.04M0.5%−$112.8KHeld
Taiwan Semiconductor Mfg Ltd3.08K$1.04M0.5%$104.7KCut$81.9K
Vanguard Tax-Managed Fds16.1K$1.03M0.5%$25KAdded$63.7K
Vanguard Whitehall Fds10.9K$1.02M0.5%$45.6KAdded$55.5K
Bank America Corp20.9K$1.02M0.5%−$130.7KCut−$132.4K
Home Depot, Inc.HD3.07K$1.01M0.5%−$46.5KAdded−$46.2K
Walmart Inc.WMT8.04K$998.8K0.5%$103.5KAdded$103.7K
First Tr Exchange Traded Fd6.65K$980.1K0.5%$119.2KCut$114.4K
Vanguard World Fd4.91K$971.9K0.5%$61.7KAdded$100.7K
First Tr Exchange-Traded Fd21.6K$964.2K0.5%$38.2KAdded$112.2K
Eli Lilly & CoLLY1.03K$952.4K0.5%−$159.4KAdded−$154.8K
Wells Fargo Co New11.9K$947.4K0.5%−$158.3KAdded−$138.2K
AbbVie Inc.ABBV4.1K$892.2K0.5%−$45.2KAdded−$44.9K
Ishares Tr8.24K$829.3K0.4%$30.8KCut$25K
Vanguard World Fd4.53K$783K0.4%New
Illinois Tool Wks Inc2.98K$775.1K0.4%$41.7KHeld
Vanguard World Fd2.39K$745.3K0.4%New
Ishares Tr17.6K$744.2K0.4%−$9.32KAdded$30.5K
RTX CorpRTX3.85K$742.1K0.4%$36.5KAdded$36.7K
Nextera Energy Inc7.67K$712.7K0.4%$96.6KAdded$97K
Duke Energy Corp New5.41K$707.7K0.4%$74.1KAdded$74.7K
Ishares Tr2.17K$691.8K0.4%−$54.2KHeld
Ishares Tr3.2K$683.5K0.3%$10.7KHeld
First Tr Exchange-Traded Fd3.4K$683.2K0.3%New
Alphabet Inc2.34K$672.9K0.3%−$59.5KCut−$68K
Lockheed Martin CorpLMT1.06K$641.4K0.3%$128.2KHeld
International Business Machs2.57K$622.6K0.3%−$133.6KAdded−$112.3K
Ameren CorpAEE5.66K$621.7K0.3%$56.9KHeld
First Tr Exchange Traded Fd10.3K$620.2K0.3%−$25KAdded−$13.2K
Capital Group Gbl Growth Eqt18.4K$615.6K0.3%−$22.9KAdded−$4.28K
Capital Group Core Balanced17.2K$592.7K0.3%−$14.7KAdded$27.4K
Vanguard World Fd3.28K$590.1K0.3%−$44.6KAdded−$35.6K
Csx CorpCSX14.1K$577.4K0.3%$67.5KHeld
Texas Instrs Inc2.96K$574.1K0.3%$61.1KHeld
First Tr Exchange Traded Fd14.8K$563.4K0.3%New
Hormel Foods Corp24.1K$545.1K0.3%−$25.3KHeld
Merck & Co., Inc.MRK4.38K$527.5K0.3%$65.8KAdded$66.3K
Capital Group Growth Etf12.8K$512.7K0.3%−$54.3KAdded−$51.5K
Abbott LabsABT4.79K$492.3K0.3%−$106.5KAdded−$97.7K
Meta Platforms, Inc.META857$490.6K0.3%−$75.3KHeld
Emerson Elec Co3.62K$474.6K0.2%−$5.99KAdded$12.7K
First Tr Exch Traded Fd Iii26.4K$469.2K0.2%−$12.1KAdded$772
Honeywell Intl Inc2.06K$464.9K0.2%$63.6KHeld
Mcdonalds CorpMCD1.49K$463.1K0.2%$7.64KAdded$16.3K
At&T Inc15.9K$460.1K0.2%$62.3KAdded$86.8K
Goldman Sachs Group Inc543$459.6K0.2%−$17.4KHeld
Vanguard Whitehall Fds3K$444.4K0.2%$13.7KHeld
Price T Rowe Group IncTROW4.87K$439.1K0.2%−$59.5KHeld
Watsco Inc1.2K$434.7K0.2%$32.1KHeld
Capital Group International12.6K$416.4K0.2%$7.03KAdded$41.8K
General Dynamics CorpGD1.18K$404K0.2%$7.72KHeld
First Tr Exchange-Traded Alp3.38K$403.4K0.2%New
Ishares Tr2.53K$383.3K0.2%$26.1KCut$13.4K
Howmet Aerospace Inc.HWM1.65K$380.4K0.2%$41.8KAdded$42K
BlackRock, Inc.BLK395$379.9K0.2%−$42.9KCut−$69.7K
Broadcom Inc.AVGO1.21K$375.2K0.2%−$44.4KAdded−$44.1K
Veeva Sys Inc2.13K$373.3K0.2%−$101.1KCut−$108K
Ge Aerospace1.25K$356.1K0.2%−$29.1KAdded−$14.1K
Netflix IncNFLX3.65K$350.9K0.2%$8.48KAdded$18.1K
Eaton Corp PlcETN956$341.9K0.2%$36.8KAdded$42.2K
Bristol-Myers Squibb Co5.31K$321.8K0.2%$35.5KAdded$36.3K
Gallagher Arthur J & Co1.43K$308.6K0.2%−$60.1KHeld
Capital Grp Fixed Incm Etf T13.8K$308.6K0.2%−$4.15KAdded−$3.9K
Infosys LtdINFY22.3K$300.9K0.2%−$96KHeld
Palantir Technologies Inc.PLTR2.05K$299.9K0.2%−$64.5KHeld
Applied Matls Inc860$293.9K0.1%$72.9KCut$66.5K
Cognizant Technology Solutio4.79K$293.6K0.1%−$103.6KHeld
Ishares Tr2.46K$288.9K0.1%−$24.2KAdded$12.3K
Deere & CoDE513$288.8K0.1%$50.2KCut$45.6K
First Tr Exchange-Traded Fd2.71K$279.5K0.1%−$14.9KHeld
Vanguard Index Fds859$275.7K0.1%−$12.4KHeld
Automatic Data Processing In1.35K$275.1K0.1%−$73.1KAdded−$72.7K
Boeing Co1.34K$265.9K0.1%−$24.2KHeld
Starbucks CorpSBUX2.95K$264.6K0.1%$15.9KHeld
Kimberly Clark CorpKMB2.31K$223K0.1%−$10.2KHeld
Disney Walt Co2.31K$222.8K0.1%−$40.2KCut−$49.3K
Southern Co2.3K$222.1K0.1%$21.4KAdded$21.5K
Philip Morris Intl Inc1.34K$221.6K0.1%$6.7KAdded$7.2K
Danaher Corporation1.13K$214.3K0.1%−$44.4KCut−$49.2K
Verizon Communications IncVZ4.2K$210.8K0.1%New
Ishares Tr1.46K$207.8K0.1%−$9KAdded−$6.16K
First Tr Exchange Traded Fd1.26K$205.6K0.1%New
Keycorp10.2K$205.1K0.1%−$5.72KAdded$5.06K
Invesco Exch Traded Fd Tr Ii851$202.3K0.1%New
Pimco Income Strategy Fd14.7K$117.7K0.1%−$6.32KHeld

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.