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Institutional

Meadow Creek Wealth Advisors LLC

CIK 0001801107
$154.5M
Reported AUM
135
Positions
Q1 2026
Period
2026-04-30
Filed

Editorial summary

Summary for Meadow Creek Wealth Advisors LLC · Q1 2026 is not yet generated. It will appear here after the next nightly run.

Portfolio · Q1 2026

IVV$14.9MSON$12.9MKO$10.9MNVDAAAPLAVGORDVIMSFTJPMWMTOther$78.5MML

Top holdings

#StockIssuerPriceDay %1Y Gr.5Y Gr.Value% of bookΔ shares (QoQ)Status
1IVVISHARES TR CORE S&P500 ETF$742.051.22%20.00%75.17%$14.9M9.66%HELD
2SONSONOCO PRODUCTS COMPANY$56.78-3.72%39.39%8.22%$12.9M8.36%HELD
3KOCOCA COLA COMPANY$87.89-1.34%30.56%80.02%$10.9M7.04%HELD
4NVDANVIDIA CORPORATION$193.631.91%9.52%751.61%$6.4M4.12%HELD
5AAPLAPPLE INCORPORATED$332.02-1.82%67.77%128.17%$5.7M3.71%HELD
6AVGOBROADCOM INCORPORATED$387.164.55%31.81%734.42%$4.6M2.95%HELD
7RDVIFT VEST RISING DIVIDEND ACHIEVERS TARGET$29.050.92%29.32%76.49%$4.4M2.87%HELD
8MSFTMICROSOFT CORPORATION$454.6316.41%-24.89%34.54%$4.1M2.68%HELD
9JPMJPMORGAN CHASE & COMPANY$350.571.70%21.40%144.23%$3.4M2.18%HELD
10WMTWALMART INCORPORATED$110.80-2.99%16.94%145.72%$3.2M2.10%HELD
11PREFPRINCIPAL SPECTRUM PREFERRED SECURITIES ACTIVE ETF$18.840.00%4.74%13.94%$2.8M1.82%HELD
12RSPINVESCO S&P 500 EQUAL WEIGHT ETF$214.17-0.72%19.83%48.78%$2.7M1.75%HELD
13AVUVAVANTIS U.S. SMALL CAP VALUE ETF$124.79-0.27%40.12%79.72%$2.7M1.73%HELD
14GOOGLALPHABET INCORPORATED CAP STK CLASS A$334.76-0.58%76.18%131.67%$2.6M1.67%HELD
15AMZNAMAZON COM INCORPORATED$238.515.23%5.54%30.60%$2.6M1.66%HELD
16JNJJOHNSON & JOHNSON$256.34-3.46%56.99%69.37%$2.0M1.28%HELD
17GOOGALPHABET INCORPORATED CAP STK CLASS C$334.32-0.43%77.27%132.86%$1.8M1.16%HELD
18HDHOME DEPOT INCORPORATED$332.72-1.64%-7.06%17.45%$1.8M1.14%HELD
19XOMEXXON MOBIL CORPORATION$155.80-0.61%47.33%239.93%$1.8M1.14%HELD
20METAMETA PLATFORMS INCORPORATED CLASS A$531.79-9.19%-21.66%55.72%$1.7M1.10%HELD
21ETNEATON CORPORATION PLC SHS$383.375.94%-3.99%131.71%$1.5M0.97%HELD
22MRKMERCK & COMPANY INCORPORATED$129.18-0.91%66.99%96.29%$1.5M0.96%HELD
23CBCHUBB LIMITED SWITZ$348.91-3.59%36.16%110.48%$1.4M0.92%HELD
24LLYELI LILLY & COMPANY$1164.70-3.75%54.61%373.33%$1.4M0.89%HELD
25COSTCOSTCO WHOLESALE CORPORATION$953.18-2.14%2.82%125.57%$1.3M0.86%HELD
26VVISA INCORPORATED COM CLASS A$363.24-1.49%9.62%67.02%$1.3M0.86%HELD
27PGPROCTER & GAMBLE COMPANY$143.02-2.11%-0.17%16.67%$1.3M0.83%HELD
28ABBVABBVIE INCORPORATED$258.12-1.97%40.72%165.04%$1.2M0.79%HELD
29CSCOCISCO SYSTEMS INCORPORATED$113.300.73%71.43%119.60%$1.2M0.78%HELD
30BACBANK AMERICA CORPORATION$61.630.92%37.29%66.09%$1.2M0.77%HELD
31MCDMCDONALDS CORPORATION$267.52-1.47%$1.2M0.76%HELD
32CVXCHEVRON CORPORATION$190.85-0.53%$1.1M0.74%HELD
33FTLSFIRST TRUST LONG/SHORT EQUITY ETF$74.990.87%$1.1M0.73%HELD
34MSIMOTOROLA SOLUTIONS INCORPORATED COM NEW$425.55-1.99%$1.1M0.73%HELD
35CATCATERPILLAR INCORPORATED$804.182.74%$998K0.65%HELD
36MPCMARATHON PETE CORPORATION$313.451.53%$984K0.64%HELD
37RTXRTX CORPORATION$211.48-1.75%$907K0.59%HELD
38WCMIFIRST TRUST WCM INTERNATIONAL EQUITY ETF$19.133.35%$892K0.58%HELD
39NFLXNETFLIX INCORPORATED.$72.53-1.49%$874K0.57%HELD
40UNPUNION PAC CORPORATION$285.76-2.20%$823K0.53%HELD
41TDGTRANSDIGM GROUP INCORPORATED$1243.42-1.67%$806K0.52%HELD
42IJHISHARES TR CORE S&P MCP ETF$74.930.27%$794K0.51%HELD
43EMREMERSON ELEC COMPANY$148.642.00%$779K0.50%HELD
44ADIANALOG DEVICES INCORPORATED$365.693.49%$761K0.49%HELD
45AMGNAMGEN INCORPORATED$383.27-1.13%$747K0.48%HELD
46MAMASTERCARD INCORPORATED CLASS A$574.221.94%$724K0.47%HELD
47KLACKLA CORPORATION COM NEW$182.457.20%$682K0.44%HELD
48TAT&T INCORPORATED$23.22-3.03%$655K0.42%HELD
49UNHUNITEDHEALTH GROUP INCORPORATED$424.180.86%$633K0.41%HELD
50FELCFidelity Enhanced Large Cap Core ETF$42.031.26%$630K0.41%HELD
51VZVERIZON COMMUNICATIONS INCORPORATED$46.03-2.51%$629K0.41%HELD
52AXPAMERICAN EXPRESS COMPANY$336.761.59%$596K0.39%HELD
53APDAIR PRODUCTS AND CHEMICALS INCORPORATED$298.741.52%$593K0.38%HELD
54ALLALLSTATE CORPORATION$263.22-4.07%$574K0.37%HELD
55CRMSALESFORCE INCORPORATED$179.08-4.94%$571K0.37%HELD
56GSGOLDMAN SACHS GROUP INCORPORATED$1019.033.90%$569K0.37%HELD
57HONHONEYWELL INTERNATIONAL INCORPORATED$239.58-0.64%$553K0.36%HELD
58VLOVALERO ENERGY CORPORATION$308.112.25%$547K0.35%HELD
59IBMINTERNATIONAL BUSINESS MACHINES$222.12-1.91%$539K0.35%HELD
60CMECME GROUP INCORPORATED$265.11-0.12%$536K0.35%HELD
61TSLATESLA INCORPORATED$306.832.85%$530K0.34%HELD
62EQIXEQUINIX INCORPORATED REIT$1051.124.28%$512K0.33%HELD
63SBUXSTARBUCKS CORPORATION$107.503.22%$495K0.32%HELD
64FITBFIFTH THIRD BANCORP$56.580.02%$492K0.32%HELD
65BMYBRISTOL-MYERS SQUIBB COMPANY$64.361.99%$492K0.32%HELD
66MDTMEDTRONIC PLC SHS$85.50-2.32%$487K0.32%HELD
67AZNASTRAZENECA PLC ORD$171.28-1.17%$476K0.31%HELD
68TSMTAIWAN SEMICONDUCTOR MANUFACT SPONSORED ADS$402.917.54%$463K0.30%HELD
69LRCXLAM RESEARCH CORPORATION COM NEW$296.6917.57%$463K0.30%HELD
70MSMORGAN STANLEY COM NEW$209.523.15%$455K0.29%HELD
71TGTTARGET CORPORATION$143.56-1.60%$447K0.29%HELD
72PMPHILIP MORRIS INTERNATIONAL INCORPORATED$192.04-3.23%$442K0.29%HELD
73SPYSTATE STREET SPDR S&P 500 ETF TRUST$738.761.27%$439K0.28%HELD
74LMTLOCKHEED MARTIN CORPORATION$560.82-1.47%$438K0.28%HELD
75ICEINTERCONTINENTAL EXCHANGE INCORPORATED$152.29-1.29%$427K0.28%HELD
76VOOVANGUARD INDEX FUNDS S&P 500 ETF SHS NEW$678.791.22%$426K0.28%HELD
77ABTABBOTT LABORATORIES$105.43-2.38%$425K0.28%HELD
78BNBROOKFIELD CORPORATION CLASS A LTD VT SH$42.131.06%$417K0.27%HELD
79DHRDANAHER CORPORATION DEL$196.29-0.10%$415K0.27%HELD
80TJXTJX COMPANIES INCORPORATED NEW$158.18-2.13%$409K0.26%HELD
81FDLFIRST TRUST MORNINGSTAR DIVIDEND LEADERS INDEX FUND$51.29-2.18%$406K0.26%HELD
82JCIJOHNSON CONTROLS INTERNATION SHS$142.322.08%$398K0.26%HELD
83PEPPEPSICO INCORPORATED$139.86-2.54%$395K0.26%HELD
84LINLINDE PLC SHS$504.93-1.22%$393K0.25%HELD
85GILDGILEAD SCIENCES INCORPORATED$129.94-2.10%$392K0.25%HELD
86PHPARKER-HANNIFIN CORPORATION$955.740.49%$383K0.25%HELD
87SOSOUTHERN COMPANY$94.08-2.05%$376K0.24%HELD
88ADPAUTOMATIC DATA PROCESSING INCORPORATED$260.92-4.55%$369K0.24%HELD
89COPCONOCOPHILLIPS$117.55-0.43%$367K0.24%HELD
90GEVGE VERNOVA INCORPORATED$964.857.17%$353K0.23%HELD
91HCAHCA HEALTHCARE INCORPORATED$396.42-2.88%$348K0.23%HELD
92GDGENERAL DYNAMICS CORPORATION$380.52-0.12%$344K0.22%HELD
93PFEPFIZER INCORPORATED$24.75-1.59%$344K0.22%HELD
94MCKMCKESSON CORPORATION$866.60-2.47%$342K0.22%HELD
95USIGISHARES TR USD INV GRDE ETF$50.390.16%$331K0.21%HELD
96CMCSACOMCAST CORPORATION NEW CLASS A$23.52-4.41%$331K0.21%HELD
97ORCLORACLE CORPORATION$125.496.58%$328K0.21%HELD
98QLTAISHARES TR A RATE CP BD ETF$46.610.22%$328K0.21%HELD
99BRK/BBERKSHIRE HATHAWAY INCORPORATED DEL CLASS B NEW$322K0.21%HELD
100LQDISHARES TR IBOXX INV CP ETF$106.450.22%$321K0.21%HELD
101PAIWESTERN ASSET INVESTMENT GRADE$319K0.21%HELD
102SPGIS&P GLOBAL INCORPORATED$319K0.21%HELD
103AGGISHARES TR CORE US AGGBD ET$314K0.20%HELD
104DISDISNEY WALT COMPANY$313K0.20%HELD
105WMT2WELLS FARGO & COMPANY$310K0.20%HELD
106QCOMQUALCOMM INCORPORATED$305K0.20%HELD
107BKBANK NEW YORK MELLON CORPORATION$301K0.19%HELD
108TXNTEXAS INSTRS INCORPORATED$289K0.19%HELD
109IGLBISHARES TR 10plus YR INVST GRD$288K0.19%HELD
110DEDEERE & COMPANY$288K0.19%HELD
111BLKBLACKROCK INCORPORATED$287K0.19%HELD
112ETRENTERGY CORPORATION NEW$281K0.18%HELD
113AZOAUTOZONE INCORPORATED$277K0.18%HELD
114ROPROPER TECHNOLOGIES INCORPORATED$272K0.18%HELD
115NOCNORTHROP GRUMMAN CORPORATION$272K0.18%HELD
116NXPINXP SEMICONDUCTORS N V$270K0.18%HELD
117IBKRINTERACTIVE BROKERS GROUP INCORPORATED COM CLASS A$267K0.17%HELD
118INTUINTUIT$265K0.17%HELD
119ORLYOREILLY AUTOMOTIVE INCORPORATED$259K0.17%HELD
120RFREGIONS FINANCIAL CORPORATION NEW$245K0.16%HELD
121SCHWSCHWAB CHARLES CORPORATION$244K0.16%HELD
122NEENEXTERA ENERGY INCORPORATED$241K0.16%HELD
123AMTAMERICAN TOWER CORPORATION REIT$240K0.16%HELD
124TELTE CONNECTIVITY PLC ORD SHS$238K0.15%HELD
125DLRDIGITAL RLTY TR INCORPORATED REIT$238K0.15%HELD
126LOWLOWES COMPANIES INCORPORATED$224K0.15%HELD
127FELGFidelity Enhanced Large Cap Growth ETF$216K0.14%HELD
128HALHALLIBURTON COMPANY$210K0.14%HELD
129MFCMANULIFE FINL CORPORATION$209K0.14%HELD
130WMWASTE MGMT INCORPORATED DEL$208K0.13%HELD
131IWMISHARES TR RUSSELL 2000 ETF$208K0.13%HELD
132PNCPNC FINL SVCS GROUP INCORPORATED$208K0.13%HELD
133GEGE AEROSPACE COM NEW$206K0.13%HELD
134NZFNUVEEN MUN CR INCOME FD COM SH BEN INT$183K0.12%HELD
135BKTBLACKROCK INCOME TR INCORPORATED COM NEW$165K0.11%HELD

Source: SEC EDGAR · accession 0001062993-26-002237. 13F discloses long positions only — shorts, foreign equities, and options are excluded.