Universe · entity

CYBER HORNET ETFs LLC

Institutional manager (13F) · CIK 1818014
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $94M
#IssuerValueShares
1NVIDIA Corp.$12M66,799
2Apple, Inc.$10M40,609
3Microsoft Corp.$8M20,430
4Amazon.com, Inc.$6M26,746
5Alphabet, Inc.$5M15,994
6Broadcom, Inc.$4M12,984
7Alphabet, Inc.$4M12,785
8Meta Platforms, Inc.$3M5,987
9Tesla, Inc.$3M7,724
10Berkshire Hathaway, Inc.$2M5,041
11JPMorgan Chase & Co.$2M7,480
12Eli Lilly & Co.$2M2,183
13Exxon Mobil Corp.$2M11,589
14Johnson & Johnson$2M6,623
15Wal-Mart Stores, Inc.$2M12,053
16Visa, Inc.$1M4,639
17Costco Wholesale Corp.$1M1,219
18Micron Technology, Inc.$1M3,085
19Netflix, Inc.$1M11,646
20MasterCard, Inc.$1M2,253
21AbbVie, Inc.$1M4,857
22Chevron Corp.$1M5,201
23Advanced Micro Devices, Inc.$940k4,476
24Caterpillar, Inc.$938k1,286
25Procter & Gamble Co./The$925k6,422
26Palantir Technologies, Inc.$920k6,280
27Bank of America Corp.$909k18,459
28Home Depot, Inc./The$901k2,735
29General Electric, Co.$848k2,900
30Cisco Systems, Inc.$844k10,834
31Merck & Co., Inc.$824k6,823
32Coca-Cola Co./The$810k10,642
33Applied Materials, Inc.$773k2,189
34Lam Research Corp.$765k3,452
35RTX Corp.$718k3,687
36Goldman Sachs Group, Inc./The$708k824
37Wells Fargo & Co.$695k8,624
38UnitedHealth Group, Inc.$682k2,490
39Philip Morris International, Inc.$675k4,279
40Oracle Corp.$672k4,626
41GE Vernova LLC$667k746
42New Linde PLC$634k1,283
43International Business Machines Corp.$625k2,570
44McDonald's Corp.$602k1,959
45Intel Corp.$591k12,349
46PepsiCo, Inc.$581k3,759
47Verizon Communications, Inc.$573k11,590
48Citigroup, Inc.$566k4,913
49AT&T, Inc.$552k19,478
50Morgan Stanley$551k3,320
All filings on EDGAR ↗

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