First seen by DFX
Sep 12, 2026
date not stated
Elevatus Welath Management files Form 13F (non_adviser_filer, $292,262,650 in 107 positions)
Elevatus Welath Management reported $190,805,155 across 141 13(f) positions for the quarter ended 2026-03-31
Elevatus Welath Management reduced Ishares Tr 144,289 -> 5,389 shares ($7,798,820 -> $252,421)
Elevatus Welath Management reduced Amazon Com Inc 43,056 -> 21,658 shares ($9,938,186 -> $4,510,712)
Elevatus Welath Management exited Direxion Shs Etf Tr (was $2,081,521, 20,603 shares)
Elevatus Welath Management reduced Janus Detroit Str Tr 160,802 -> 63,364 shares ($7,901,792 -> $3,095,973)
Elevatus Welath Management exited Advanced Drain Sys Inc Del (was $2,600,278, 17,954 shares)
Elevatus Welath Management exited Seabridge Gold Inc (was $3,132,457, 105,862 shares)
Elevatus Welath Management exited Citigroup Inc (was $3,159,967, 27,080 shares)
Elevatus Welath Management exited Constellation Energy Corp (was $2,960,263, 8,380 shares)
Elevatus Welath Management reduced Vanguard Index Fds 53,835 -> 28,511 shares ($10,281,870 -> $5,593,776)
Elevatus Welath Management exited Edwards Lifesciences Corp (was $2,949,480, 34,598 shares)
Elevatus Welath Management exited Nasdaq Inc (was $3,914,922, 40,306 shares)
Elevatus Welath Management exited Principal Exchange Traded Fd (was $2,033,850, 107,017 shares)
Elevatus Welath Management reduced Berkshire Hathaway Inc Del 13,868 -> 2,237 shares ($6,970,750 -> $1,071,970)
Elevatus Welath Management exited Qualcomm Inc (was $3,162,598, 18,489 shares)
Elevatus Welath Management exited Sofi Technologies Inc (was $2,361,174, 90,190 shares)
Elevatus Welath Management exited Vanguard Charlotte Fds (was $9,418,141, 194,912 shares)
Elevatus Welath Management increased Ishares Tr 27,425 -> 68,300 shares ($2,739,257 -> $6,780,107)
Elevatus Welath Management reduced Spdr Gold Tr 20,249 -> 10,740 shares ($8,024,881 -> $4,621,315)
Elevatus Welath Management reduced Vanguard Index Fds 31,168 -> 6,419 shares ($6,600,973 -> $1,394,466)
Elevatus Welath Management reduced Vanguard Index Fds 27,928 -> 6,086 shares ($17,514,454 -> $3,636,958)
Elevatus Welath Management reduced Jpmorgan Chase & Co 15,241 -> 4,808 shares ($4,910,980 -> $1,414,315)
Elevatus Welath Management reduced Ventas Inc 95,031 -> 34,712 shares ($7,353,537 -> $2,838,780)
Elevatus Welath Management reduced Walmart Inc 50,592 -> 29,597 shares ($5,636,416 -> $3,678,309)
Elevatus Welath Management reduced Advanced Micro Devices Inc 15,396 -> 10,552 shares ($3,297,207 -> $2,146,593)
Elevatus Welath Management reduced AES Corp 172,924 -> 12,704 shares ($2,479,730 -> $179,000)
Elevatus Welath Management reduced Apple Inc 41,901 -> 21,858 shares ($11,391,123 -> $5,547,337)
Elevatus Welath Management reduced Applied Matls Inc 10,821 -> 4,021 shares ($2,780,884 -> $1,374,422)
Elevatus Welath Management reduced Applovin Corp 3,454 -> 1,050 shares ($2,327,374 -> $417,900)
Elevatus Welath Management reduced Alphabet Inc 44,847 -> 21,332 shares ($14,072,932 -> $6,119,389)
Elevatus Welath Management reduced Direxion Shares Etf Trust 102,805 -> 58,063 shares ($4,320,882 -> $2,781,801)
Elevatus Welath Management reduced Howmet Aerospace Inc 13,750 -> 2,221 shares ($2,819,049 -> $511,896)
Elevatus Welath Management reduced Ishares Tr 150,943 -> 23,664 shares ($8,258,101 -> $1,343,872)
Elevatus Welath Management reduced Keysight Technologies Inc 15,483 -> 7,488 shares ($3,145,991 -> $2,114,387)
Elevatus Welath Management reduced Lattice Semiconductor Corp 37,946 -> 13,435 shares ($2,792,067 -> $1,246,231)
Elevatus Welath Management reduced Meta Platforms Inc 7,262 -> 4,310 shares ($4,793,374 -> $2,465,704)
Elevatus Welath Management reduced Microsoft Corp 40,684 -> 23,767 shares ($19,675,797 -> $8,797,788)
Elevatus Welath Management reduced Nvidia Corporation 91,098 -> 56,444 shares ($16,989,759 -> $9,843,815)
Elevatus Welath Management reduced Ishares Tr 143,947 -> 29,806 shares ($13,823,274 -> $2,895,065)