13F

Investor

Vantus Wealth LLC

CIK 0002109783 · filed 2026-02-10 · SEC filing

13F book

$135.7M

Positions

196

Largest name

4.8%

Ishares Tr

Est. mark

Need a prior quarter to estimate
NameTickerSharesValueWeightEst. markChange
Ishares Tr9.53K$6.53M4.8%Held
Microsoft CorpMSFT8.18K$3.96M2.9%Held
Nvidia CorpNVDA16.7K$3.11M2.3%Held
Apple Inc.AAPL10.7K$2.91M2.1%Held
Alphabet Inc9.08K$2.84M2.1%Held
Ishares Tr10.3K$2.84M2.1%Held
Amazon Com IncAMZN11.3K$2.6M1.9%Held
Blackrock Etf Trust41.4K$2.52M1.9%Held
Ishares Tr11.9K$2.51M1.9%Held
Ishares Tr17.6K$2.17M1.6%Held
Ishares Inc30.7K$2.06M1.5%Held
Jpmorgan Chase & Co.6.05K$1.95M1.4%Held
Broadcom Inc.AVGO5.42K$1.88M1.4%Held
Capital Group Core Equity Et45.5K$1.83M1.3%Held
Meta Platforms, Inc.META2.77K$1.83M1.3%Held
Ishares Tr25.2K$1.8M1.3%Held
J P Morgan Exchange Traded F15.7K$1.7M1.3%Held
Ishares Tr4.95K$1.7M1.3%Held
Invesco Exch Trd Slf Idx Fd27.8K$1.59M1.2%Held
Vanguard Index Fds4.13K$1.39M1.0%Held
J P Morgan Exchange Traded F26.9K$1.35M1.0%Held
Alphabet Inc4.27K$1.34M1.0%Held
First Tr Exchange-Traded Alp8.28K$1.34M1.0%Held
Blackrock Etf Trust48K$1.23M0.9%Held
Capital Group Global Equity37.1K$1.17M0.9%Held
First Tr Exchange-Traded Fd30.4K$1.16M0.9%Held
Capital Group Growth Etf26K$1.16M0.9%Held
Schwab Strategic Tr33.8K$1.1M0.8%Held
Walmart Inc.WMT9.75K$1.09M0.8%Held
Ishares Tr5.46K$1.08M0.8%Held
Invesco Exchange Traded Fd T5.57K$1.07M0.8%Held
Home Depot, Inc.HD3.07K$1.06M0.8%Held
BlackRock, Inc.BLK933$998.6K0.7%Held
Johnson & JohnsonJNJ4.81K$994.8K0.7%Held
Ishares Tr10.2K$979.4K0.7%Held
Blackrock Etf Trust24.5K$944.7K0.7%Held
Cisco Sys Inc11.8K$911.4K0.7%Held
Tesla, Inc.TSLA1.97K$883.7K0.7%Held
AbbVie Inc.ABBV3.8K$869K0.6%Held
Spdr Index Shs Fds19.6K$868.6K0.6%Held
Exxon Mobil Corp7.18K$864.5K0.6%Held
Blackrock Etf Trust26K$864.2K0.6%Held
Eli Lilly & CoLLY797$856.5K0.6%Held
Ishares Tr3.33K$834K0.6%Held
Procter And Gamble CoPG5.76K$824.9K0.6%Held
Capital Group Gbl Growth Eqt23.8K$824.6K0.6%Held
Ishares Tr12.4K$816.3K0.6%Held
Vanguard Admiral Fds Inc6.7K$812.5K0.6%Held
Ishares Tr17.1K$797.3K0.6%Held
Capital Group Core Balanced22.2K$785.4K0.6%Held
Vanguard Index Fds2.68K$777.5K0.6%Held
Caterpillar IncCAT1.35K$771.1K0.6%Held
Zacks Trust22.2K$770.7K0.6%Held
Vanguard Intl Equity Index F5.38K$759.6K0.6%Held
Vanguard Index Fds1.21K$755.7K0.6%Held
Chevron Corp NewCVX4.77K$726.8K0.5%Held
Philip Morris Intl Inc4.47K$717.6K0.5%Held
Vanguard Bd Index Fds9.58K$709.4K0.5%Held
RTX CorpRTX3.66K$671.2K0.5%Held
Select Sector Spdr Tr4.66K$671K0.5%Held
Bank America Corp12.2K$669.1K0.5%Held
Dimensional Etf Trust19.8K$652.1K0.5%Held
Vanguard Scottsdale Fds2.09K$646.5K0.5%Held
Visa Inc.V1.77K$619.7K0.5%Held
Dimensional Etf Trust15.3K$605.8K0.4%Held
Select Sector Spdr Tr10.5K$576.1K0.4%Held
Capital Group Equity Etf Tr19.6K$566.2K0.4%Held
Capital Group Dividend Value12.5K$547.4K0.4%Held
Thermo Fisher Scientific Inc.TMO934$541.2K0.4%Held
Pepsico IncPEP3.76K$539.9K0.4%Held
Ge Aerospace1.75K$539.4K0.4%Held
Capital Group Dividend Growe15K$534.4K0.4%Held
Ishares Tr4.43K$532.4K0.4%Held
Ishares Tr2.46K$527.3K0.4%Held
Berkshire Hathaway Inc Del1.03K$520.2K0.4%Held
Verizon Communications IncVZ12.7K$518.5K0.4%Held
Taiwan Semiconductor Mfg Ltd1.71K$518.1K0.4%Held
Mcdonalds CorpMCD1.68K$514.7K0.4%Held
Parker-Hannifin CorpPH574$504.5K0.4%Held
Ssga Active Etf Tr12K$482.6K0.4%Held
Invesco Exch Trd Slf Idx Fd7.89K$482.3K0.4%Held
J P Morgan Exchange Traded F7.63K$479.5K0.4%Held
Palo Alto Networks IncPANW2.57K$473.9K0.3%Held
Ishares Tr4.65K$472.9K0.3%Held
General Dynamics CorpGD1.4K$472K0.3%Held
American Express CoAXP1.27K$468.7K0.3%Held
Blackrock Etf Trust18.9K$468.6K0.3%Held
Us Bancorp Del8.76K$467.2K0.3%Held
Pfizer IncPFE18.7K$466.8K0.3%Held
Merck & Co., Inc.MRK4.4K$462.8K0.3%Held
ConocophillipsCOP4.93K$461.5K0.3%Held
Prologis Inc.3.56K$454.1K0.3%Held
Abbott LabsABT3.6K$451.3K0.3%Held
Spdr Index Shs Fds9.64K$451.2K0.3%Held
Blackrock Etf Trust6.07K$450K0.3%Held
Mastercard IncMA782$446.4K0.3%Held
Unitedhealth Group IncUNH1.35K$444.7K0.3%Held
Ishares Tr4.94K$441.9K0.3%Held
Ameriprise Finl Inc889$435.9K0.3%Held
Royal Caribbean Group1.5K$419.3K0.3%Held
International Business Machs1.39K$412.9K0.3%Held
Vanguard Scottsdale Fds7.02K$412.5K0.3%Held
Dimensional Etf Trust8.26K$412.4K0.3%Held
Vertex Pharmaceuticals Inc908$411.7K0.3%Held
Netflix IncNFLX4.33K$405.7K0.3%Held
Pnc Finl Svcs Group Inc1.93K$401.8K0.3%Held
Asml Holding N V372$398K0.3%Held
Zacks Trust13.2K$393.9K0.3%Held
British Amern Tob Plc6.91K$391.4K0.3%Held
Ishares Gold Tr4.81K$390.7K0.3%Held
Salesforce, Inc.CRM1.47K$389.4K0.3%Held
Capital Group Intl Focus Eqt13.1K$388.4K0.3%Held
Zacks Trust10.5K$386.6K0.3%Held
Wells Fargo Co New4.11K$383.3K0.3%Held
Vanguard Tax-Managed Fds6.14K$383.3K0.3%Held
Qualcomm Inc2.23K$381.7K0.3%Held
Metlife Inc4.79K$378.1K0.3%Held
Cintas CorpCTAS1.96K$367.9K0.3%Held
Ishares Tr3.68K$367.9K0.3%Held
Applied Matls Inc1.42K$365.2K0.3%Held
Ishares Tr5.08K$360.7K0.3%Held
Vanguard World Fd4.92K$352.3K0.3%Held
Warner Bros. Discovery, Inc.WBD12.1K$349.2K0.3%Held
Citigroup Inc2.98K$347.7K0.3%Held
United Rentals, Inc.URI428$346.4K0.3%Held
Accenture Plc Ireland1.29K$346.4K0.3%Held
Amgen IncAMGN1.06K$345.6K0.3%Held
Gallagher Arthur J & Co1.32K$341.3K0.3%Held
Cummins IncCMI666$340K0.3%Held
Prudential Finl Inc2.96K$334.7K0.2%Held
Stryker CorpSYK947$332.8K0.2%Held
American Elec Pwr Co Inc2.86K$330K0.2%Held
Coca Cola CoKO4.68K$327K0.2%Held
Lockheed Martin CorpLMT670$324.1K0.2%Held
American Centy Etf Tr4.2K$323.5K0.2%Held
Southern Co3.7K$322.7K0.2%Held
Morgan Stanley1.82K$322.4K0.2%Held
Vanguard Index Fds1.67K$319K0.2%Held
Capital Grp Fixed Incm Etf T12.4K$315K0.2%Held
Medtronic PlcMDT3.28K$314.7K0.2%Held
Select Sector Spdr Tr2.01K$311.8K0.2%Held
Uber Technologies, IncUBER3.8K$310.5K0.2%Held
Select Sector Spdr Tr1.96K$303.4K0.2%Held
Capital Group New Geography9.39K$300K0.2%Held
Ishares Tr2.31K$298.2K0.2%Held
Vanguard Whitehall Fds2.08K$297.8K0.2%Held
Capital One Finl Corp1.22K$295.2K0.2%Held
Nextera Energy Inc3.67K$294.8K0.2%Held
Gilead Sciences, Inc.GILD2.4K$294.5K0.2%Held
Bank New York Mellon Corp2.46K$285.6K0.2%Held
Ishares Tr4.92K$283.4K0.2%Held
AstraZeneca PLCAZN3.07K$281.9K0.2%Held
Dbx Etf Tr4.43K$281.4K0.2%Held
First Tr Exchng Traded Fd Vi8.2K$280.8K0.2%Held
At&T Inc11.2K$278.8K0.2%Held
Cadence Design System Inc884$276.3K0.2%Held
Ishares Tr1.82K$270.5K0.2%Held
Capital Grp Fixed Incm Etf T9.68K$267.4K0.2%Held
Capital Grp Fixed Incm Etf T10.1K$267.3K0.2%Held
Capital Grp Fixed Incm Etf T9.72K$266.3K0.2%Held
Ishares Tr2.48K$266K0.2%Held
Zacks Trust9.92K$263.2K0.2%Held
Oracle Corp1.34K$261.2K0.2%Held
Advanced Micro Devices IncAMD1.21K$260K0.2%Held
Truist Finl Corp5.28K$259.7K0.2%Held
Comcast Corp New8.65K$258.5K0.2%Held
Honeywell Intl Inc1.3K$253.4K0.2%Held
Gsk Plc5.15K$252.5K0.2%Held
Altria Group, Inc.MO4.33K$249.4K0.2%Held
Schwab Strategic Tr10.4K$249.1K0.2%Held
Becton Dickinson & CoBDX1.28K$248K0.2%Held
Spdr S&P 500 Etf Tr360$245.5K0.2%Held
Ishares Tr4.9K$245K0.2%Held
Crowdstrike Hldgs Inc519$243.3K0.2%Held
Ishares Tr10.2K$239.3K0.2%Held
Fifth Third Bancorp5.09K$238.4K0.2%Held
Deere & CoDE493$229.5K0.2%Held
Vanguard Growth Etf466$227.3K0.2%Held
Insulet CorpPODD799$227.1K0.2%Held
L3harris Technologies Inc767$225.2K0.2%Held
Adobe Inc.ADBE643$225K0.2%Held
Danaher Corporation974$223K0.2%Held
Ishares Tr5.3K$220K0.2%Held
Kinder Morgan Inc Del7.97K$219.2K0.2%Held
Chubb Limited686$214.1K0.2%Held
Marriott Intl Inc New686$212.8K0.2%Held
T-Mobile Us Inc1.04K$211K0.2%Held
Lauder Estee Cos Inc2.01K$210.1K0.2%Held
Ishares Tr2.2K$209.3K0.2%Held
Marsh & Mclennan Cos Inc1.12K$208K0.2%Held
Goldman Sachs Group Inc236$207.4K0.2%Held
Amphenol Corp New1.52K$205K0.2%Held
Starbucks CorpSBUX2.42K$204K0.1%Held
Vaneck Etf Trust6.84K$201K0.1%Held
Vaneck Etf Trust10.1K$177.1K0.1%Held
Invesco Exch Traded Fd Tr Ii12.3K$138.1K0.1%Held

Positions as of Q4 2025. 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.