First seen by DFX
Sep 12, 2026
date not stated
IPG Investment Advisors, LLC found on the SEC adviser roster (services_description)
IPG Investment Advisors LLC reported $582,268,362 across 244 13(f) positions for the quarter ended 2026-03-31
IPG Investment Advisors LLC increased Palo Alto Networks Inc 15,187 -> 19,897 shares ($2,797,445 -> $3,189,887)
IPG Investment Advisors LLC increased Texas Pacific Land Corporati 8,130 -> 11,819 shares ($2,335,099 -> $5,608,825)
IPG Investment Advisors LLC reduced Bank America Corp 48,500 -> 29,355 shares ($2,667,500 -> $1,431,056)
IPG Investment Advisors LLC exited Petroleo Brasileiro Sa Petro (was $2,260,097, 185,185 shares)
IPG Investment Advisors LLC reduced Cemex Sa Euro Mtn Be 144a 311,273 -> 105,613 shares ($3,576,527 -> $1,208,213)
IPG Investment Advisors LLC opened a $8,289,115 position in Grupo Aeromexico Sab de Cv (591,657 shares)
IPG Investment Advisors LLC reduced Magna Intl Inc 82,950 -> 33,980 shares ($4,421,235 -> $1,896,424)
IPG Investment Advisors LLC reduced State Str Spdr Dow Jones Ind 6,591 -> 1,267 shares ($3,174,505 -> $587,633)
IPG Investment Advisors LLC increased Vanguard Index Fds 1,091 -> 2,387 shares ($329,602 -> $2,237,998)
IPG Investment Advisors LLC opened a $2,081,398 position in Fidelity Wise Origin Bitcoin (35,260 shares)
IPG Investment Advisors LLC increased Taiwan Semiconductor Manufac 4,519 -> 6,556 shares ($1,376,914 -> $2,221,309)
IPG Investment Advisors LLC increased Micron Technology Inc 7,501 -> 20,871 shares ($2,141,510 -> $7,053,271)
IPG Investment Advisors LLC opened a $6,042,829 position in Vanguard Scottsdale Fds (109,165 shares)
IPG Investment Advisors LLC increased Costco Wholesale Corporation 3,944 -> 5,549 shares ($3,401,069 -> $5,529,190)
IPG Investment Advisors LLC opened a $2,490,985 position in IES Holdings Inc (5,228 shares)
IPG Investment Advisors LLC increased Whirlpool Corp 20,080 -> 67,735 shares ($1,448,571 -> $3,652,271)
IPG Investment Advisors LLC reduced Ishares Bitcoin Trust Etf 106,359 -> 74,563 shares ($5,280,724 -> $2,864,710)
IPG Investment Advisors LLC reduced Disney Walt Co 28,790 -> 15,199 shares ($3,289,486 -> $1,464,880)
IPG Investment Advisors LLC increased Ishares Tr 52,476 -> 92,620 shares ($4,573,843 -> $8,029,240)
IPG Investment Advisors LLC reported $570,464,569 across 223 13(f) positions for the quarter ended 2025-12-31
IPG Investment Advisors LLC reduced Generac Hldgs Inc 29,981 -> 16,666 shares ($5,018,819 -> $2,272,742)
IPG Investment Advisors LLC reduced Elevance Health Inc Formerly 6,355 -> 2,212 shares ($2,053,428 -> $775,417)
IPG Investment Advisors LLC reduced Cemex Sab de Cv 1,282,083 -> 311,273 shares ($11,525,926 -> $3,576,527)
IPG Investment Advisors LLC reduced Broadcom Inc 26,160 -> 19,235 shares ($8,630,591 -> $6,657,234)
IPG Investment Advisors LLC reduced Borgwarner Inc 83,660 -> 36,225 shares ($3,677,694 -> $1,632,299)
IPG Investment Advisors LLC reduced Aptiv Plc 32,430 -> 16,095 shares ($2,796,115 -> $1,224,669)
IPG Investment Advisors LLC reduced Applied Matls Inc 10,330 -> 855 shares ($2,114,964 -> $219,726)
IPG Investment Advisors LLC reduced Jack in the Box Inc 653,176 -> 431,001 shares ($12,913,290 -> $8,167,469)
IPG Investment Advisors LLC exited Copart Inc (was $3,200,740, 71,175 shares)
IPG Investment Advisors LLC reduced Vanguard Index Fds 12,053 -> 7,407 shares ($7,401,988 -> $4,645,152)
IPG Investment Advisors LLC reduced Uber Technologies Inc 67,217 -> 47,477 shares ($6,585,249 -> $3,879,346)
IPG Investment Advisors LLC increased Texas Pacific Land Corporati 1,910 -> 8,130 shares ($1,783,252 -> $2,335,099)
IPG Investment Advisors LLC increased Spdr Dow Jones Indl Average 986 -> 6,591 shares ($458,636 -> $3,174,505)
IPG Investment Advisors LLC reduced Micron Technology Inc 20,374 -> 7,501 shares ($3,408,978 -> $2,141,510)
IPG Investment Advisors LLC reduced Magna Intl Inc 184,090 -> 82,950 shares ($8,722,169 -> $4,421,235)
IPG Investment Advisors LLC reduced Vistra Corp 22,052 -> 14,377 shares ($4,320,428 -> $2,319,441)
IPG Investment Advisors LLC reduced Jpmorgan Chase & Co. 17,944 -> 12,453 shares ($5,660,076 -> $4,012,606)
IPG Investment Advisors LLC reduced Advanced Micro Devices Inc 25,403 -> 8,117 shares ($4,109,951 -> $1,738,337)