Universe · entity
Harbour Capital Advisors, LLC
Institutional manager (13F) · CIK 1682501
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $341M
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | BROADCOM INC | $22M | 51,948 |
| 2 | CIENA CORP | $19M | 39,017 |
| 3 | APPLE INC | $16M | 58,640 |
| 4 | ISHARES TR | $15M | 153,149 |
| 5 | ELI LILLY & CO | $14M | 15,310 |
| 6 | JPMORGAN CHASE & CO | $14M | 43,802 |
| 7 | ALPHABET INC | $13M | 39,580 |
| 8 | MICROSOFT CORP | $12M | 27,935 |
| 9 | LAM RESEARCH CORP | $12M | 43,702 |
| 10 | AMAZON COM INC | $11M | 42,056 |
| 11 | NVIDIA CORPORATION | $9M | 43,381 |
| 12 | VISA INC | $9M | 28,181 |
| 13 | COHERENT CORP | $8M | 23,297 |
| 14 | ISHARES TR | $8M | 16,559 |
| 15 | EXXON MOBIL CORP | $7M | 49,643 |
| 16 | ISHARES TR | $7M | 29,277 |
| 17 | ALPHABET INC | $7M | 19,247 |
| 18 | COSTCO WHOLESALE CORPORATION | $7M | 6,492 |
| 19 | HOME DEPOT INC | $6M | 18,949 |
| 20 | ISHARES INC | $6M | 82,057 |
| 21 | META PLATFORMS INC | $6M | 8,654 |
| 22 | AMPHENOL CORP | $6M | 38,964 |
| 23 | RTX CORPORATION | $6M | 31,311 |
| 24 | CHEVRON CORPORATION | $5M | 28,855 |
| 25 | T-MOBILE US INC | $5M | 23,972 |
| 26 | INTERCONTINENTAL EXCHANGE IN | $4M | 28,303 |
| 27 | CREDO TECHNOLOGY GROUP HOLDI | $4M | 23,075 |
| 28 | BOOKING HOLDINGS INC | $4M | 24,270 |
| 29 | BLACKROCK INC | $4M | 4,096 |
| 30 | STEEL DYNAMICS INC | $4M | 18,673 |
| 31 | ISHARES TR | $4M | 5,899 |
| 32 | BANK AMERICA CORP | $4M | 77,268 |
| 33 | ISHARES TR | $4M | 10,480 |
| 34 | PALO ALTO NETWORKS INC | $4M | 21,178 |
| 35 | ARISTA NETWORKS INC | $4M | 21,575 |
| 36 | THERMO FISHER SCIENTIFIC INC | $4M | 7,351 |
| 37 | ISHARES TR | $4M | 13,528 |
| 38 | DYCOM INDS INC | $4M | 9,012 |
| 39 | TAIWAN SEMICONDUCTOR MANUFAC | $4M | 9,349 |
| 40 | UBER TECHNOLOGIES INC | $4M | 47,461 |
| 41 | VERTIV HOLDINGS CO | $3M | 11,425 |
| 42 | GOLDMAN SACHS ETF TR | $3M | 34,136 |
| 43 | UNITEDHEALTH GROUP INC | $3M | 9,666 |
| 44 | AMERICAN HEALTHCARE REIT INC | $3M | 71,205 |
| 45 | EZCORP INC | $3M | 108,140 |
| 46 | STATE STR SPDR S&P 500 ETF T | $3M | 4,534 |
| 47 | TJX COS INC NEW | $3M | 19,628 |
| 48 | MOTOROLA SOLUTIONS INC | $3M | 6,987 |
| 49 | CHENIERE ENERGY INC | $3M | 11,499 |
| 50 | ORACLE CORP | $3M | 15,271 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.