13F

Investor

Vectors Research Management, LLC

CIK 0001750557 · filed 2026-05-05 · SEC filing

13F book

$342.4M

Positions

142

23 new · 2 sold

Largest name

7.2%

Invesco Exchange Traded Fd T

Est. mark

$891.8K

Price effect on 119 names still held. Flow $13.8M.
NameTickerSharesValueWeightEst. markChange
Invesco Exchange Traded Fd T128.3K$24.6M7.2%$45.7KAdded$360.1K
Ishares Tr140.5K$16.7M4.9%−$105.3KCut−$2.46M
Vanguard Scottsdale Fds323.9K$15.2M4.4%−$42.1KCut−$74.7K
Ishares Tr160.3K$10.8M3.2%$194.6KAdded$2.43M
Apple Inc.AAPL42.6K$10.8M3.2%−$735.6KAdded−$255.9K
Microsoft CorpMSFT25.7K$9.52M2.8%−$2.92MCut−$3.75M
Vanguard Tax-Managed Fds137.5K$8.81M2.6%$191.6KAdded$1.38M
Invesco Actively Managed Exc344.9K$8.63M2.5%−$22.2KAdded$37.6K
Ishares Tr65.3K$8.12M2.4%$269.7KCut$203.5K
Vanguard Bd Index Fds104.3K$7.68M2.2%−$44.8KCut−$471.9K
RTX CorpRTX38.1K$7.34M2.1%$361.5KCut$350.7K
Walmart Inc.WMT46.8K$5.81M1.7%$601.8KCut−$644.1K
Select Sector Spdr Tr114.9K$5.27M1.5%$367.6KCut−$567.7K
Oracle Corp35.2K$5.18M1.5%−$1.55MAdded−$1.16M
International Business Machs21.1K$5.12M1.5%−$1.14MCut−$1.34M
Vanguard Intl Equity Index F61.4K$5.06M1.5%−$21.6KAdded$3.53M
Alphabet Inc17.1K$4.9M1.4%−$265.6KAdded$1.64M
Williams Cos Inc66.6K$4.85M1.4%$844.3KCut$835.4K
Vanguard Index Fds8.04K$4.81M1.4%−$237.7KCut−$770.7K
Exxon Mobil Corp28.2K$4.78M1.4%$1.37MAdded$1.43M
Jpmorgan Chase & Co.14.9K$4.39M1.3%−$411.9KAdded−$344.2K
Caterpillar IncCAT6.17K$4.37M1.3%$836.7KCut$733.6K
Kinder Morgan Inc Del129.4K$4.34M1.3%$780.3KAdded$788.6K
Cheniere Energy, Inc.LNG14.5K$4.11M1.2%$1.2MAdded$1.5M
Tesla, Inc.TSLA11K$4.09M1.2%−$573.2KAdded$783K
Eli Lilly & CoLLY4.27K$3.92M1.1%−$659.9KAdded−$653.4K
Spdr Series Trust49.9K$3.82M1.1%−$183.7KCut−$1.05M
Ryder Sys Inc18.5K$3.79M1.1%$246.2KCut$242K
Nvidia CorpNVDA21.6K$3.77M1.1%−$261.9KCut−$639K
Cisco Sys Inc46.5K$3.61M1.1%$25.6KAdded$89.5K
Tjx Cos Inc New22.4K$3.57M1.0%$135.4KAdded$153.2K
Advanced Micro Devices IncAMD17.3K$3.53M1.0%−$128.2KAdded$968.5K
Global X Fds45.8K$3.39M1.0%$614KCut$516.8K
First Solar, Inc.FSLR17.1K$3.37M1.0%−$1.01MAdded−$766.6K
Select Sector Spdr Tr20.2K$3.27M1.0%$120.1KAdded$453.5K
GE Vernova Inc.GEV3.5K$3.05M0.9%New
American Elec Pwr Co Inc21.7K$2.84M0.8%$342.1KCut$141.1K
Duke Energy Corp New21K$2.74M0.8%$287.8KCut$283.2K
Broadcom Inc.AVGO8.75K$2.71M0.8%−$38.5KAdded$2.34M
Southern Co28K$2.7M0.8%$260.3KAdded$267.7K
General Dynamics CorpGD7.86K$2.7M0.8%$51.4KAdded$52.1K
Bank America Corp53.6K$2.61M0.8%−$330.7KAdded−$298.3K
Equinix IncEQIX2.57K$2.52M0.7%$550.1KCut−$603.1K
Iron Mtn Inc Del24.6K$2.51M0.7%$471.4KCut−$612K
Kroger CoKR34.3K$2.48M0.7%$336.4KAdded$354.8K
Dell Technologies Inc.DELL14.6K$2.4M0.7%$558.1KAdded$567.2K
Ww Grainger Inc2.19K$2.39M0.7%$179.3KCut$175.2K
Nextera Energy Inc23.7K$2.2M0.6%$298.4KCut$290.1K
Global X Fds43.2K$2.2M0.6%New
Capital One Finl Corp12K$2.19M0.6%−$715.5KAdded−$706.6K
Home Depot, Inc.HD6.61K$2.17M0.6%−$100.5KCut−$114.6K
Rockwell Automation, IncROK5.89K$2.12M0.6%−$177.7KAdded−$176.3K
Digital Rlty Tr Inc11.5K$2.07M0.6%$293.6KCut−$1.09M
Thermo Fisher Scientific Inc.TMO4.21K$2.07M0.6%−$369.5KAdded−$368.6K
Medtronic PlcMDT23.3K$2.02M0.6%−$218KAdded−$207.7K
Dominion Energy, IncD32.5K$2.01M0.6%$105KCut−$147.6K
Lockheed Martin CorpLMT3.16K$1.91M0.6%$381.1KCut$380.2K
Clearway Energy, Inc.CWEN47K$1.85M0.5%$282.6KAdded$289.1K
Northrop Grumman Corp2.69K$1.83M0.5%$299.9KAdded$303.3K
Abbott LabsABT16.6K$1.71M0.5%−$374.4KAdded−$365.5K
Rio Tinto Plc17.6K$1.64M0.5%$233.1KCut$208.1K
Salesforce, Inc.CRM8.66K$1.62M0.5%New
Chevron Corp NewCVX7.76K$1.61M0.5%$416.5KAdded$440.7K
American Express CoAXP5.28K$1.6M0.5%−$349.7KAdded−$319.4K
Bank New York Mellon Corp13.1K$1.55M0.5%$32.9KAdded$44K
Lowes Cos Inc6.46K$1.53M0.4%−$31.3KAdded−$25.4K
Select Sector Spdr Tr17.6K$1.44M0.4%$75.6KCut−$513.4K
Marathon Pete Corp5.85K$1.43M0.4%$477.1KHeld
Crowdstrike Hldgs Inc3.46K$1.35M0.4%New
Wells Fargo Co New16.5K$1.31M0.4%−$222.1KAdded−$212.6K
Ross Stores, Inc.ROST6K$1.3M0.4%$218.9KHeld
Texas Instrs Inc6.28K$1.22M0.4%$129.1KAdded$135.7K
Travelers Companies, Inc.TRV4.1K$1.2M0.3%$6.64KHeld
Stryker CorpSYK3.52K$1.16M0.3%−$80.3KAdded−$72.7K
Comcast Corp New39.9K$1.14M0.3%−$47.1KHeld
Ameriprise Finl Inc2.48K$1.1M0.3%−$113.9KHeld
Okta, Inc.OKTA13.5K$1.06M0.3%−$103.6KAdded−$94.4K
Ishares 0-3 Month9.82K$988.5K0.3%$2.75KCut−$1.18M
Boston Scientific CorpBSX15.3K$957.3K0.3%−$495.1KAdded−$490.8K
Johnson & JohnsonJNJ3.85K$941.3K0.3%$142.2KAdded$156.2K
Goldman Sachs Group Inc1.08K$913.7K0.3%−$35.7KHeld
Vanguard Bd Index Fds11.6K$912.8K0.3%−$4.66KCut−$30.2K
Bristol-Myers Squibb Co13K$788.5K0.2%$87.2KHeld
Unitedhealth Group IncUNH2.84K$767.4K0.2%−$168.5KAdded−$167.1K
Target CorpTGT6.08K$736.9K0.2%$142.6KHeld
Ishares Tr13.4K$717.5K0.2%−$118.4KCut−$510.9K
Select Sector Spdr Tr5.38K$714.6K0.2%−$58.9KAdded−$51.5K
Spdr Series Trust11.5K$684.3K0.2%−$12.6KAdded$11.2K
Altria Group, Inc.MO10.2K$672.9K0.2%$84.1KAdded$90.5K
Invesco Exch Traded Fd Tr Ii27.7K$665.2K0.2%−$9.58KAdded−$1.21K
Regions Financial Corp New25K$654K0.2%−$24.5KAdded−$23.5K
Mcdonalds CorpMCD2.1K$652.7K0.2%$10.8KAdded$12.4K
Roper Technologies IncROP1.8K$637.1K0.2%−$163.6KAdded−$160.4K
Corning Inc4.67K$634.3K0.2%$225.8KCut$225K
Corteva, Inc.CTVA7.53K$630.1K0.2%$125KAdded$127.7K
Zoom Communications, Inc.ZM7.54K$606.5K0.2%−$44.3KAdded−$41.6K
Ishares Tr6.3K$601.7K0.2%−$4.5KAdded−$4.31K
Global X Fds8.4K$595K0.2%New
Vanguard Index Fds1.82K$582.7K0.2%−$26KCut−$33.1K
Alphabet Inc1.98K$566.6K0.2%−$37.2KAdded$133.5K
Select Sector Spdr Tr11.3K$563.7K0.2%$51.9KAdded$54K
Venture Global, Inc.VG35.3K$555.7K0.2%New
Phillips 66PSX2.98K$543.8K0.2%$158.2KAdded$159.7K
Intel CorpINTC11.6K$510.1K0.1%$66KAdded$173.3K
Ishares Tr698$455.9K0.1%−$22.1KCut−$40K
Cardinal Health IncCAH2.14K$452.2K0.1%$12.4KHeld
Global X Fds9.19K$428.9K0.1%New
Invesco Exch Traded Fd Tr Ii18K$414K0.1%−$3.78KCut−$4.04K
Amazon Com IncAMZN1.94K$403.8K0.1%New
Blackrock Income Tr Inc36.6K$387.2K0.1%−$17.2KCut−$20K
Spdr S&P 500 Etf Tr588$382.4K0.1%−$18.6KHeld
Cvs Health CorpCVS5.12K$367.9K0.1%−$38.1KAdded−$33.2K
Empire St Rlty Op L P72.3K$364.3K0.1%New
Netflix IncNFLX3.73K$358.6K0.1%New
Mastercard IncMA711$355.3K0.1%New
Schwab Strategic Tr12K$349.4K0.1%−$41.9KCut−$110.5K
Merck & Co., Inc.MRK2.79K$335.9K0.1%$40.8KAdded$50.4K
ConocophillipsCOP2.54K$335K0.1%$96.9KAdded$98.7K
AbbVie Inc.ABBV1.5K$327.3K0.1%−$15.5KAdded$4.92K
Invesco Exchange Traded Fd T4.31K$324.2K0.1%$603Held
Nucor CorpNUE1.75K$295.1K0.1%$10.5KHeld
Meta Platforms, Inc.META513$293.7K0.1%New
Global X Fds5.92K$286.7K0.1%New
Ge Aerospace1K$284.4K0.1%−$24.1KAdded−$21.2K
Welltower Inc.WELL1.42K$280K0.1%$17.1KCut$16K
Costco Whsl Corp New263$262.1K0.1%New
Waste Mgmt Inc Del1.08K$248K0.1%$10.9KHeld
Pfizer IncPFE8.65K$242.9K0.1%New
Ishares Tr2.43K$236.2K0.1%$2.33KCut−$5.18K
Archer-Daniels-Midland CoADM3.22K$234.3K0.1%New
Mp Materials Corp4.71K$227.3K0.1%New
Spdr Series Trust3.48K$226.7K0.1%$1.18KHeld
Edison Intl3K$219.5K0.1%New
Fastenal CoFAST4.69K$217.6K0.1%New
Marsh & Mclennan Cos Inc1.25K$216.5K0.1%−$15KCut−$1.81M
Hewlett Packard Enterprise C9K$214.3K0.1%−$1.89KHeld
United Bankshares Inc West V5.12K$212K0.1%New
Kore Group Hldgs Inc20.4K$184.3K0.1%$98.1KCut$39K
USA Rare Earth, Inc.USAR11.5K$173.8K0.1%New
Nuscale Pwr Corp15.6K$169K0.0%New
Empire St Rlty Op L P23.3K$121.9K0.0%New
Putnam Etf Trust12.1K$94.5K0.0%−$544Added−$21

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.