Meadow Creek Wealth Advisors LLC
CIK: 0001801107SEC EDGAR →
Portfolio Value
$156.4M
Holdings
138
As of
Q4 2025
New Positions
138
Closed Positions
0
Top 10 Holdings
| Rank | Stock | Shares | Value | % of Portfolio |
|---|---|---|---|---|
| 1 | ISHARES TR CORE S&P500 ETF | 22,946 | $15.7M | 10.05% |
| 2 | SONOCO PRODUCTS COMPANY | 238,986 | $10.4M | 6.67% |
| 3 | COCA COLA COMPANY | 143,347 | $10.0M | 6.41% |
| 4 | NVIDIA CORPORATION | 39,862 | $7.4M | 4.75% |
| 5 | MICROSOFT CORPORATION | 12,249 | $5.9M | 3.79% |
| 6 | APPLE INCORPORATED | 20,538 | $5.6M | 3.57% |
| 7 | BROADCOM INCORPORATED | 15,757 | $5.5M | 3.49% |
| 8 | FT VEST RISING DIVIDEND ACHIEVERS TARGET | 168,700 | $4.4M | 2.83% |
| 9 | ELI LILLY & COMPANY | 3,715 | $4.0M | 2.55% |
| 10 | JPMORGAN CHASE & COMPANY. | 11,536 | $3.7M | 2.38% |
Quarterly Changes
New Positions (138)
$15.7M · 23K shares
$10.4M · 239K shares
$10.0M · 143K shares
$7.4M · 40K shares
$5.9M · 12K shares
$5.6M · 21K shares
$5.5M · 16K shares
$4.4M · 169K shares
$4.0M · 4K shares
$3.7M · 12K shares
$3.1M · 28K shares
$2.7M · 9K shares
$2.7M · 14K shares
$2.7M · 139K shares
$2.6M · 11K shares
$2.5M · 24K shares
$1.9M · 5K shares
$1.8M · 3K shares
$1.6M · 5K shares
$1.6M · 5K shares
$1.6M · 8K shares
$1.5M · 13K shares
$1.4M · 4K shares
$1.4M · 4K shares
$1.3M · 24K shares
$1.3M · 6K shares
$1.2M · 9K shares
$1.2M · 15K shares
$1.2M · 11K shares
$1.2M · 1K shares
$1.1M · 4K shares
$1.0M · 14K shares
$947K · 10K shares
$934K · 703 shares
$920K · 3K shares
$908K · 2K shares
$861K · 5K shares
$855K · 1K shares
$845K · 6K shares
$831K · 31K shares
$821K · 1K shares
$803K · 2K shares
$729K · 2K shares
$728K · 2K shares
$728K · 11K shares
$711K · 5K shares
$706K · 3K shares
$696K · 2K shares
$662K · 4K shares
$606K · 2K shares
$604K · 2K shares
$581K · 662 shares
$577K · 3K shares
$574K · 473 shares
$569K · 3K shares
$559K · 23K shares
$549K · 6K shares
$534K · 2K shares
$515K · 13K shares
$510K · 2K shares
$490K · 3K shares
$489K · 10K shares
$479K · 2K shares
$478K · 3K shares
$477K · 2K shares
$475K · 2K shares
$464K · 6K shares
$462K · 10K shares
$459K · 4K shares
$459K · 673 shares
$453K · 685 shares
$437K · 26K shares
$427K · 5K shares
$418K · 5K shares
$410K · 3K shares
$400K · 1K shares
$398K · 2K shares
$397K · 519 shares
$393K · 884 shares
$391K · 7K shares
$379K · 2K shares
$376K · 428 shares
$371K · 3K shares
$360K · 2K shares
$354K · 3K shares
$351K · 673 shares
$349K · 723 shares
$347K · 2K shares
$342K · 733 shares
$337K · 1K shares
$335K · 6K shares
$334K · 3K shares
$331K · 7K shares
$330K · 26K shares
$326K · 2K shares
$325K · 3K shares
$325K · 2K shares
$322K · 95 shares
$320K · 11K shares
$319K · 2K shares
$317K · 4K shares
$316K · 3K shares
$314K · 294 shares
$306K · 720 shares
$301K · 12K shares
$293K · 3K shares
$293K · 6K shares
$287K · 350 shares
$277K · 6K shares
$275K · 3K shares
$271K · 2K shares
$267K · 3K shares
$266K · 408 shares
$263K · 517 shares
$259K · 1K shares
$258K · 454 shares
$257K · 1K shares
$255K · 4K shares
$251K · 997 shares
$242K · 1K shares
$242K · 482 shares
$238K · 682 shares
$236K · 823 shares
$234K · 2K shares
$234K · 3K shares
$229K · 1K shares
$228K · 947 shares
$221K · 718 shares
$220K · 1K shares
$219K · 6K shares
$209K · 3K shares
$208K · 17K shares
$207K · 992 shares
$206K · 838 shares
$203K · 1K shares
$202K · 568 shares
$202K · 711 shares
$171K · 16K shares
Sector Breakdown
| Sector | # Holdings | Value | % |
|---|---|---|---|
| Financial Services | 39 | $48.8M | 31.2% |
| Technology | 23 | $33.5M | 21.4% |
| Consumer Cyclical | 11 | $18.6M | 11.9% |
| Consumer Defensive | 5 | $15.8M | 10.1% |
| Healthcare | 16 | $13.2M | 8.4% |
| Communication Services | 7 | $8.4M | 5.3% |
| Industrials | 16 | $8.3M | 5.3% |
| Energy | 5 | $3.7M | 2.4% |
| Unknown | 8 | $3.5M | 2.2% |
| Basic Materials | 3 | $1.0M | 0.7% |
| Utilities | 3 | $817K | 0.5% |
| Real Estate | 2 | $654K | 0.4% |