Universe · entity

Harbour Capital Advisors, LLC

Institutional manager (13F) · CIK 1682501
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $341M
#IssuerValueShares
1BROADCOM INC$22M51,948
2CIENA CORP$19M39,017
3APPLE INC$16M58,640
4ISHARES TR$15M153,149
5ELI LILLY & CO$14M15,310
6JPMORGAN CHASE & CO$14M43,802
7ALPHABET INC$13M39,580
8MICROSOFT CORP$12M27,935
9LAM RESEARCH CORP$12M43,702
10AMAZON COM INC$11M42,056
11NVIDIA CORPORATION$9M43,381
12VISA INC$9M28,181
13COHERENT CORP$8M23,297
14ISHARES TR$8M16,559
15EXXON MOBIL CORP$7M49,643
16ISHARES TR$7M29,277
17ALPHABET INC$7M19,247
18COSTCO WHOLESALE CORPORATION$7M6,492
19HOME DEPOT INC$6M18,949
20ISHARES INC$6M82,057
21META PLATFORMS INC$6M8,654
22AMPHENOL CORP$6M38,964
23RTX CORPORATION$6M31,311
24CHEVRON CORPORATION$5M28,855
25T-MOBILE US INC$5M23,972
26INTERCONTINENTAL EXCHANGE IN$4M28,303
27CREDO TECHNOLOGY GROUP HOLDI$4M23,075
28BOOKING HOLDINGS INC$4M24,270
29BLACKROCK INC$4M4,096
30STEEL DYNAMICS INC$4M18,673
31ISHARES TR$4M5,899
32BANK AMERICA CORP$4M77,268
33ISHARES TR$4M10,480
34PALO ALTO NETWORKS INC$4M21,178
35ARISTA NETWORKS INC$4M21,575
36THERMO FISHER SCIENTIFIC INC$4M7,351
37ISHARES TR$4M13,528
38DYCOM INDS INC$4M9,012
39TAIWAN SEMICONDUCTOR MANUFAC$4M9,349
40UBER TECHNOLOGIES INC$4M47,461
41VERTIV HOLDINGS CO$3M11,425
42GOLDMAN SACHS ETF TR$3M34,136
43UNITEDHEALTH GROUP INC$3M9,666
44AMERICAN HEALTHCARE REIT INC$3M71,205
45EZCORP INC$3M108,140
46STATE STR SPDR S&P 500 ETF T$3M4,534
47TJX COS INC NEW$3M19,628
48MOTOROLA SOLUTIONS INC$3M6,987
49CHENIERE ENERGY INC$3M11,499
50ORACLE CORP$3M15,271
All filings on EDGAR ↗

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