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Institutional

Coign Capital Advisors LLC

CIK 0002056441
$222.2M
Reported AUM
88
Positions
Q2 2026
Period
2026-07-29
Filed

Editorial summary

Summary for Coign Capital Advisors LLC · Q2 2026 is not yet generated. It will appear here after the next nightly run.

Portfolio · Q2 2026

EVTR$18.0MPVAL$14.8MJHCP$13.8MCGGR$11.9MIVOO$11.8MIVVCGMMIJHTBILGOVTPABAVDEOther$91.6MCL

Top holdings

#StockIssuerPriceDay %1Y Gr.5Y Gr.Value% of bookΔ shares (QoQ)Status
1EVTRMORGAN STANLEY ETF TRUST$50.230.06%2.78%14.60%$18.0M8.11%HELD
2PVALPUTNAM ETF TRUST$53.381.71%34.32%113.13%$14.8M6.65%HELD
3JHCPJOHN HANCOCK EXCHANGE TRADED$24.740.06%2.31%6.50%$13.8M6.21%HELD
4CGGRCAPITAL GROUP GROWTH ETF$44.561.76%7.20%69.50%$11.9M5.37%HELD
5IVOOVANGUARD ADMIRAL FDS INC$127.460.81%22.94%47.18%$11.8M5.30%HELD
6IVVISHARES TR$745.231.65%20.00%75.17%$10.6M4.75%HELD
7CGMMCAPITAL GROUP EQUITY ETF TR$32.151.20%19.73%27.34%$9.5M4.26%HELD
8IJHISHARES TR$75.350.83%21.62%45.60%$8.6M3.89%HELD
9TBILRBB FD INC$49.860.00%3.81%18.57%$8.5M3.84%HELD
10GOVTISHARES TR$22.500.02%1.36%-4.21%$7.7M3.49%HELD
11PABPGIM ETF TR$41.750.19%2.48%-1.06%$7.7M3.46%HELD
12AVDEAMERICAN CENTY ETF TR$91.632.59%27.76%64.00%$7.6M3.44%HELD
13IJRISHARES TR$145.500.82%34.80%39.06%$6.6M2.99%HELD
14AGGISHARES TR$97.610.06%2.12%-1.50%$5.7M2.54%HELD
15AVEMAMERICAN CENTY ETF TR$89.424.13%28.04%47.37%$5.5M2.49%HELD
16EVIMMORGAN STANLEY ETF TRUST$52.47-0.10%5.52%6.75%$5.1M2.29%HELD
17SPYSTATE STR SPDR S&P 500 ETF T$741.921.71%18.63%72.84%$4.1M1.82%HELD
18IVWISHARES TR$133.333.13%19.82%75.31%$3.8M1.72%HELD
19IVEISHARES TR$232.16-0.09%21.39%68.81%$3.5M1.59%HELD
20GOOGALPHABET INC$333.53-0.66%77.27%132.86%$2.5M1.13%HELD
21AMDADVANCED MICRO DEVICES INC$485.4613.01%188.39%347.27%$2.2M1.01%HELD
22FDTFIRST TR EXCH TRD ALPHDX FD$90.363.03%34.13%69.81%$2.1M0.94%HELD
23AAPLAPPLE INC$333.60-1.36%65.41%124.96%$2.0M0.91%HELD
24HYGISHARES TR$79.470.29%4.52%18.32%$1.9M0.84%HELD
25IEFAISHARES TR$98.882.75%22.02%47.71%$1.7M0.77%HELD
26NVDANVIDIA CORPORATION$195.052.66%9.52%751.61%$1.6M0.71%HELD
27MSFTMICROSOFT CORP$451.1415.52%-13.24%55.41%$1.6M0.71%HELD
28AMZNAMAZON COM INC$235.663.98%5.54%30.60%$1.4M0.65%HELD
29EEMISHARES TR$63.594.13%34.51%36.46%$1.4M0.63%HELD
30CSCOCISCO SYS INC$113.560.96%71.43%119.60%$1.2M0.55%HELD
31APHAMPHENOL CORP$159.826.33%$1.2M0.55%HELD
32METAMETA PLATFORMS INC$539.74-7.83%$1.2M0.53%HELD
33MSMORGAN STANLEY$210.063.41%$1.0M0.46%HELD
34ADIANALOG DEVICES INC$366.673.76%$1.0M0.45%HELD
35LLYELI LILLY & CO$1155.56-4.50%$1.0M0.45%HELD
36CCITIGROUP INC$132.324.08%$993K0.45%HELD
37UNHUNITEDHEALTH GROUP INC$421.500.22%$985K0.44%HELD
38VVISA INC$366.40-0.63%$983K0.44%HELD
39XOMEXXON MOBIL CORP$157.130.25%$916K0.41%HELD
40BACBANK OF AMER CORP$61.761.13%$911K0.41%HELD
41ABBVABBVIE INC$257.79-2.09%$897K0.40%HELD
42TSLATESLA INC$308.803.51%$892K0.40%HELD
43JPMJPMORGAN CHASE & CO$350.931.80%$879K0.40%HELD
44JNJJOHNSON & JOHNSON$255.84-3.65%$874K0.39%HELD
45WMTWALMART INC$111.12-2.71%$874K0.39%HELD
46BRK/BBERKSHIRE HATHAWAY INC DEL$858K0.39%HELD
47AVGOBROADCOM INC$388.154.81%$828K0.37%HELD
48CBCHUBB LIMITED$350.15-3.25%$826K0.37%HELD
49AXPAMERICAN EXPRESS CO$337.521.82%$822K0.37%HELD
50PMPHILIP MORRIS INTL INC$192.00-3.25%$794K0.36%HELD
51NFLXNETFLIX INC.$73.19-0.60%$761K0.34%HELD
52PTRBPGIM ETF TR$40.990.09%$756K0.34%HELD
53SPEMSPDR INDEX SHS FDS$50.542.31%$729K0.33%HELD
54MAMASTERCARD INCORPORATED$577.652.54%$697K0.31%HELD
55TMOTHERMO FISHER SCIENTIFIC INC$576.780.06%$697K0.31%HELD
56MCKMCKESSON CORP$865.51-2.59%$696K0.31%HELD
57UBERUBER TECHNOLOGIES INC$70.37-1.17%$687K0.31%HELD
58ORLYOREILLY AUTOMOTIVE INC$87.36-3.61%$684K0.31%HELD
59SCHWSCHWAB CHARLES CORP$104.33-0.13%$681K0.31%HELD
60GEGE AEROSPACE$355.041.26%$666K0.30%HELD
61NOCNORTHROP GRUMMAN CORP$534.85-0.04%$663K0.30%HELD
62VTIVANGUARD INDEX FDS$366.331.64%$644K0.29%HELD
63TSMTAIWAN SEMICONDUCTOR MANUFAC$403.557.71%$642K0.29%HELD
64CITHE CIGNA GROUP$287.66-2.97%$635K0.29%HELD
65COPCONOCOPHILLIPS$119.030.82%$619K0.28%HELD
66ISRGINTUITIVE SURGICAL INC$352.97-0.04%$590K0.27%HELD
67GEVGE VERNOVA INC$981.989.07%$571K0.26%HELD
68KOCOCA COLA CO$88.51-0.63%$568K0.26%HELD
69SNPSSYNOPSYS INC$372.33-0.36%$567K0.26%HELD
70GDGENERAL DYNAMICS CORP$382.280.35%$564K0.25%HELD
71FSKFS KKR CAP CORP$10.56-1.77%$530K0.24%HELD
72ASMLASML HLDG NV$1651.446.50%$525K0.24%HELD
73WMT2WELLS FARGO & CO$476K0.21%HELD
74GOOGLALPHABET INC$333.62-0.92%$394K0.18%HELD
75PJIOPGIM ETF TR$60.525.96%$372K0.17%HELD
76RTXRTX CORPORATION$214.38-0.40%$361K0.16%HELD
77HONHONEYWELL INTL INC$241.930.34%$355K0.16%HELD
78HONAHONEYWELL AEROSPACE INC$204.35-0.41%$351K0.16%HELD
79CAHCARDINAL HEALTH INC$227.07-0.89%$347K0.16%HELD
80PANWPALO ALTO NETWORKS INC$325.773.70%$327K0.15%HELD
81CATCATERPILLAR INC$808.913.35%$318K0.14%HELD
82AMPAMERIPRISE FINL INC$544.460.77%$286K0.13%HELD
83EVSMMORGAN STANLEY ETF TRUST$50.150.02%$268K0.12%HELD
84QQQINVESCO QQQ TR$683.363.27%$219K0.10%HELD
85SPYVSPDR SERIES TRUST$62.16-0.03%$205K0.09%HELD
86ESGUISHARES TR$162.501.65%$204K0.09%HELD
87MPTMEDICAL PROPERTIES TRUST INC$4.69-1.26%$156K0.07%HELD
88HIVEHIVE DIGITAL TECHNOLOGIES LT$3.0018.11%$36K0.02%HELD

Source: SEC EDGAR · accession 0001172661-26-002922. 13F discloses long positions only — shorts, foreign equities, and options are excluded.