13F

Investor

Wealthstar Advisors, LLC

CIK 0001602224 · filed 2026-04-27 · SEC filing

13F book

$213.3M

Positions

110

19 new · 33 sold

Largest name

12.8%

Direxion Shs Etf Tr

Est. mark

−$4.43M

Price effect on 91 names still held. Flow −$11.3M.
NameTickerSharesValueWeightEst. markChange
Direxion Shs Etf Tr147.7K$27.3M12.8%−$5.28MCut−$9.88M
Ishares Tr190.8K$10M4.7%−$61.1KCut−$111.1K
Ishares Tr89.2K$9.72M4.6%−$107KCut−$354.6K
Ishares Tr98.7K$7.86M3.7%−$105.7KCut−$117.8K
Texas Instrs Inc25.6K$4.97M2.3%$528.2KCut−$1.75M
Ishares Tr70.3K$3.74M1.8%−$46.3KCut−$239.9K
Neos Etf Trust65.8K$3.37M1.6%−$200.9KAdded−$200.7K
Ishares Tr26.1K$2.79M1.3%−$17.5KCut−$282.4K
Ishares Tr118.8K$2.49M1.2%−$24.1KAdded$169.6K
Ishares Tr53.5K$2.47M1.2%−$18.7KCut−$26.5K
Ishares Tr37.9K$2.46M1.2%$653.9KCut−$85.9K
Sixth Street Specialty Lendi129.5K$2.38M1.1%−$432.6KAdded−$432.3K
Plains All Amern Pipeline L103.6K$2.31M1.1%$179.6KAdded$1.57M
Ishares Tr19.3K$2.24M1.0%$149.3KCut−$435.1K
Ishares Tr88.1K$2.14M1.0%−$3.41KAdded$65.6K
Corning Inc15.7K$2.13M1.0%$759.8KCut$462.3K
Ishares Tr11K$1.93M0.9%New
Carpenter Technology CorpCRS4.86K$1.92M0.9%$385.5KCut−$310.9K
Pimco Dynamic Income Fd109K$1.86M0.9%−$65.4KCut−$110.3K
Ishares Tr84.2K$1.84M0.9%−$14.7KAdded$37.9K
Keysight Technologies, Inc.KEYS6.46K$1.83M0.9%New
Bp Plc38.7K$1.82M0.9%New
Western Digital CorpWDC6.57K$1.78M0.8%New
Ishares Tr14.9K$1.76M0.8%−$168.2KCut−$943.7K
Micron Technology IncMU4.85K$1.64M0.8%$56.3KAdded$1.33M
Brightspring Health Svcs Inc35.8K$1.53M0.7%New
Bank New York Mellon Corp12.5K$1.49M0.7%$14KAdded$850.5K
DuPont de Nemours, Inc.DD32.2K$1.47M0.7%New
Apple Inc.AAPL5.74K$1.46M0.7%−$103.5KCut−$239.7K
Nvidia CorpNVDA8.29K$1.44M0.7%−$100.2KCut−$468.4K
Ing Groep N.V.53.8K$1.4M0.7%−$104.9KCut−$612.4K
Keycorp66.9K$1.34M0.6%New
Palantir Technologies Inc.PLTR9.05K$1.32M0.6%−$119.6KAdded$648.3K
Invesco Actively Managed Exc26.4K$1.32M0.6%−$3.43KCut−$73.8K
Ishares Gold Tr14.8K$1.31M0.6%$100.9KAdded$136.1K
Etfis Ser Tr I63.8K$1.3M0.6%−$74.1KAdded−$43.4K
Amazon Com IncAMZN6.21K$1.29M0.6%−$140.1KCut−$301K
RTX CorpRTX6.69K$1.29M0.6%$63.5KCut−$208.7K
Kla CorpKLAC871$1.28M0.6%New
Select Sector Spdr Tr20.9K$1.28M0.6%$329.7KAdded$387.8K
Ishares Tr2.87K$1.22M0.6%−$134.6KCut−$181.5K
Lincoln Natl Corp Ind33.3K$1.18M0.6%New
Ishares Tr6.24K$1.13M0.5%−$114KCut−$409.2K
Fidelity Covington Trust5.32K$1.11M0.5%−$88.3KCut−$134.1K
Invesco Ltd.IVZ45.2K$1.1M0.5%New
Tapestry, Inc.TPR7.59K$1.07M0.5%New
Ishares Silver Tr15.6K$1.06M0.5%$19.5KAdded$722.6K
Wp Carey Inc15.4K$1.05M0.5%$55.4KAdded$59K
Select Sector Spdr Tr6.41K$1.04M0.5%$42.3KCut$30.8K
Spdr S&P 500 Etf Tr1.5K$974.5K0.5%−$47KAdded−$41.8K
Kinross Gold Corp31.8K$970.7K0.5%$75.1KCut−$496.4K
Harmony Gold Mining Co Ltd63.1K$970.4K0.5%New
Aegon Ltd133.5K$969.3K0.5%−$38.3KAdded$312.3K
Select Sector Spdr Tr18.8K$929K0.4%−$101.6KCut−$149K
Spdr Gold Tr2.1K$901.5K0.4%$71.2KCut−$21.5K
Millicom Intl Cellular S A12K$900.1K0.4%$234.2KCut−$895.7K
Bitwise Bitcoin Etf Tr22.2K$818.6K0.4%−$239.1KHeld
Fidelity Covington Trust11K$774.6K0.4%−$43.2KCut−$53.2K
Meta Platforms, Inc.META1.34K$768.9K0.4%−$118.5KCut−$533.7K
Enbridge Inc13.7K$742.2K0.3%$85.6KAdded$92.7K
Ishares Tr14.5K$741.9K0.3%−$7.82KCut−$8.55K
Jpmorgan Chase & Co.2.52K$741.1K0.3%−$70.5KCut−$102.1K
Enterprise Prods Partners L19.3K$730.6K0.3%$111.6KCut$64.3K
Tc Energy Corp11.5K$717.7K0.3%$85.8KAdded$96.1K
Energy Transfer L P36.8K$711.1K0.3%$103.5KCut$7.93K
Hess Midstream LpHESM17.8K$691.7K0.3%$77.8KCut−$22.2K
Mplx Lp11.4K$652.1K0.3%$42.3KCut−$20.3K
Hsbc Hldgs Plc7.9K$651.9K0.3%$30.2KCut−$109.4K
Sabra Health Care REIT, Inc.SBRA33.6K$645.4K0.3%$9.74KCut−$14.8K
Suburban Propane Partners L32.6K$642.4K0.3%$37.5KCut$26.1K
Global Ship Lease Inc New16.7K$622.9K0.3%New
Vanguard World Fd5.11K$616.9K0.3%−$64.7KCut−$95K
Microsoft CorpMSFT1.62K$598.9K0.3%−$183.5KCut−$286K
Alphabet Inc2.05K$588.9K0.3%−$55.5KAdded−$55.2K
Morgan Stanley Emkt Dbt Fd I82.9K$581.9K0.3%−$29.1KAdded$974
Vanguard Whitehall Fds3.84K$569.3K0.3%$17.6KCut−$15.7K
Tidal Trust Iii13.5K$564.4K0.3%$55.8KHeld
Spdr Series Trust16.6K$556.9K0.3%−$4.46KCut−$12.1K
Spdr Series Trust17.9K$537.4K0.3%−$2.31KCut−$21.5K
Ishares Tr1.62K$531.7K0.2%$44.4KCut$29.6K
Annaly Capital Management In24.9K$526.5K0.2%New
Schwab Strategic Tr17.1K$525.3K0.2%$52.2KAdded$84.8K
Select Sector Spdr Tr6.2K$508.6K0.2%$26.6KCut$3.8K
Ishares Tr4.44K$502.1K0.2%−$44.6KAdded−$39.5K
Proshares Tr9.58K$497.2K0.2%−$57.9KCut−$76.2K
Gsk Plc8.47K$467.5K0.2%New
Cbl & Assoc Pptys Inc11.8K$453.1K0.2%New
Virtus Etf Tr Ii19.5K$448.9K0.2%−$5.54KAdded−$5.17K
Fs Kkr Cap Corp42.6K$433.3K0.2%−$197.1KCut−$246.4K
American Express CoAXP1.43K$432.9K0.2%−$96.4KCut−$130.5K
Ishares Tr1.73K$427.9K0.2%$3.26KAdded$5.99K
Invesco Qqq Tr703$405.6K0.2%−$26KCut−$65.9K
Select Sector Spdr Tr3.65K$397.9K0.2%−$38KAdded−$37.7K
Kite Rlty Group TrKRG14K$343.4K0.2%$8.11KHeld
Vanguard World Fd927$340.6K0.2%−$42KHeld
Costco Whsl Corp New330$328.5K0.2%$44.3KCut$14.2K
Exxon Mobil Corp1.84K$311.8K0.1%$90.6KCut$45.3K
Ishares Tr1.94K$306.9K0.1%−$14.2KCut−$29.8K
Ishares Tr2.83K$264.4K0.1%−$10.9KCut−$24.5K
Fidelity Covington Trust7.24K$262.7K0.1%−$13.8KAdded−$13.4K
Valaris Ltd2.55K$249.6K0.1%New
American Elec Pwr Co Inc1.86K$244.5K0.1%$29.4KCut−$1.55M
Ameriprise Finl Inc538$239.1K0.1%−$24.7KHeld
Ishares Tr351$229.3K0.1%−$11.1KHeld
Ishares Tr1.01K$215K0.1%New
Ishares Tr3.76K$213.6K0.1%New
Vanguard Intl Equity Index F2.81K$210.8K0.1%$4.32KAdded$4.47K
Ishares Tr6.85K$207.6K0.1%−$4.4KCut−$19.4K
Blackstone Mtg Tr Inc10.3K$196.3K0.1%$205Held
Capital Southwest CorpCSWC108K$112.1K0.1%$4.79KHeld

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.