Universe · entity

Tuttle Capital Management, LLC

Institutional manager (13F) · CIK 1581641
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $44M
#IssuerValueShares
1NVIDIA CORPORATION$3M17,559
2META PLATFORMS INC$3M4,922
3TESLA INC$2M6,151
4PALANTIR TECHNOLOGIES INC$2M15,306
5ORACLE CORP$1M8,564
6NEXTERA ENERGY INC$1M11,853
7COSTCO WHOLESALE CORPORATION$1M1,051
8EXXON MOBIL CORP$923k5,440
9WASTE CONNECTIONS INC$907k5,584
10HOME DEPOT INC$905k2,753
11CHEVRON CORPORATION$887k4,288
12TAIWAN SEMICONDUCTOR MANUFAC$879k2,601
13CROWDSTRIKE HLDGS INC$867k2,221
14CANADIAN PACIFIC KANSAS CITY$825k10,487
15WELLTOWER INC$813k4,112
16PROLOGIS INC.$798k6,039
17SALESFORCE INC$794k4,252
18T-MOBILE US INC$793k3,774
19PARKER-HANNIFIN CORP$785k877
20HCA HEALTHCARE INC$779k1,646
21RTX CORPORATION$775k4,019
22BROADCOM INC$764k2,467
23SHOPIFY INC$735k6,197
24ROYAL BK CDA$734k4,540
25LOCKHEED MARTIN CORP$717k1,187
26MORGAN STANLEY$710k4,317
27DANAHER CORP DEL$708k3,736
28CLOUDFLARE INC$707k3,426
29JPMORGAN CHASE & CO$703k2,391
30ALPHABET INC$701k2,445
31NORTHROP GRUMMAN CORP$699k1,024
32AMAZON COM INC$689k3,308
33BROOKFIELD CORP$681k16,830
34MASTERCARD INCORPORATED$674k1,349
35BLACKSTONE INC$667k5,798
36BLACKROCK INC$665k691
37ELI LILLY & CO$659k716
38VISA INC$657k2,175
39FORTINET INC$612k7,491
40ARISTA NETWORKS INC$607k4,942
41MICROSOFT CORP$592k1,600
42APPLOVIN CORP$577k1,450
43CONOCOPHILLIPS$566k4,288
44CAPITAL ONE FINL CORP$529k2,897
45EATON CORP PLC$516k1,443
46L3HARRIS TECHNOLOGIES INC$508k1,473
47PALO ALTO NETWORKS INC$485k3,026
48GENERAL DYNAMICS CORP$472k1,375
49DELL TECHNOLOGIES INC$468k2,850
50AXON ENTERPRISE INC$429k1,009
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.