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Rational Advisors LLC

SEC CIK
0001143565
Latest filing
Jul 24, 2026

Holdings in Q2 2026

Holdings as of Jun 30, 2026, filed Jul 24, 2026. Long positions only; changes compare share counts with Q1 2026.

Institution overview
Positions
195
+16 vs. Q1 2026
Portfolio value
$1.09B
+$110.3M (+11.3%) vs. Q1 2026
Filed
Jul 24, 2026
SEC
Holdings of Rational Advisors LLC in Q2 2026
SecurityClassSharesValue% of portfolioShare changeActionHistory
Joby Aviation, Inc.47775AAA9NOTE 0.750% 2/11,007,000$913.3K0.1%+1,007,000New–
CBRECbre Group, Inc.CL A7,100$956.3K0.1%+7,100NewHistory
CATCaterpillar IncStock908$966.9K0.1%−884−49.3%ReducedHistory
CVXChevron CorpStock5,928$982.6K0.1%+5,928NewHistory
State Street Consumer Staples Select Sector SPDR ETF81369Y308ETF11,852$984.5K0.1%+11,852New–
GSGoldman Sachs Group IncStock979$990.1K0.1%+298+43.8%AddedHistory
iShares Tr464288760US AER DEF ETF4,172$1.01M0.1%−1,110−21.0%Reduced–
LNGCheniere Energy, Inc.COM NEW4,400$1.05M0.1%−4,700−51.6%ReducedHistory
TDGTransDigm Group INCCOM790$1.05M0.1%+773+4,547.1%AddedHistory
DEDeere & CoStock1,694$1.07M0.1%−449−21.0%ReducedHistory
SPOTSpotify Technology S.A.Stock2,370$1.09M0.1%−2,900−55.0%ReducedHistory
State Street Technology Select Sector SPDR ETF81369Y803ETF6,000$1.14M0.1%+6,000New–
BXBlackstone Inc.COM9,754$1.15M0.1%+45+0.5%AddedHistory
ABBVAbbVie Inc.Stock4,574$1.15M0.1%−1,323−22.4%ReducedHistory
AMDAdvanced Micro Devices IncStock2,024$1.18M0.1%−4,195−67.5%ReducedHistory
Two RDS Shared Tr90214Q105AFFINITY WORLD26,563$1.23M0.1%+3,036+12.9%Added–
XOMExxonMobil Holdings CorpCOM10,802$1.48M0.1%−1,177−9.8%ReducedHistory
APOApollo Global Management, Inc.COM12,515$1.48M0.1%+28+0.2%AddedHistory
iShares Inc464286343US PWR INFRA ETF53,132$1.49M0.1%−113−0.2%Reduced–
AVGOBroadcom Inc.Stock4,140$1.56M0.1%−3,882−48.4%ReducedHistory
GOOGAlphabet Inc.Stock4,473$1.58M0.1%−3,451−43.6%ReducedHistory
HEIHeico CorpCOM4,600$1.64M0.2%+600+15.0%AddedHistory
State Street SPDR Bloomberg 1-3 Month T-Bill ETF78468R663ETF17,970$1.65M0.2%+17,970New–
JPMJPMorgan Chase & CoStock5,172$1.69M0.2%−2,652−33.9%ReducedHistory
MSFTMicrosoft CorpStock4,806$1.79M0.2%−6,291−56.7%ReducedHistory
GEGeneral Electric CoStock5,500$2.06M0.2%−4,554−45.3%ReducedHistory
Simplify Exchange Traded Fun82889N772HEALTH CARE ETF56,100$2.20M0.2%+56,100New–
APPAppLovin CorpCOM CL A4,423$2.28M0.2%+1,012+29.7%AddedHistory
COSTCostco Wholesale CorpStock2,522$2.36M0.2%−256−9.2%ReducedHistory
MELIMercadolibre IncCOM1,425$2.42M0.2%−100−6.6%ReducedHistory
BRK.BBerkshire Hathaway IncStock4,981$2.49M0.2%−1,656−25.0%ReducedHistory
UBERUber Technologies, IncStock35,238$2.54M0.2%−486−1.4%ReducedHistory
HPE.PCHewlett Packard Enterprise Co7.625 MAND CONV22,340$2.58M0.2%−67,500−75.1%ReducedHistory
VVisa Inc.Stock8,100$2.78M0.3%+6,816+530.8%AddedHistory
ATIAti IncStock14,100$2.78M0.3%+7,200+104.3%AddedHistory
KKR.PDKKR & Co. Inc.6.25 CON SER D69,800$2.78M0.3%00.0%UnchangedHistory
WMTWalmart Inc.Stock27,294$3.09M0.3%−41,599−60.4%ReducedHistory
Southern Co842587DZ7NOTE 4.500% 6/12,820,000$3.11M0.3%00.0%Unchanged–
On Semiconductor Corp682189AU9NOTE 0.500% 3/02,712,000$3.27M0.3%−7,240,000−72.7%Reduced–
LLYEli Lilly & CoStock3,236$3.88M0.4%+1,669+106.5%AddedHistory
Vanguard Mortgage-Backed Securities ETF92206C771ETF84,165$3.94M0.4%+1,790+2.2%Added–
ITTItt Inc.COM20,000$3.96M0.4%−300−1.5%ReducedHistory
ARES.PBAres Management Corp6.75 SE B PFD112,700$4.13M0.4%+41,400+58.1%AddedHistory
Schwab Strategic Tr8085246985 10YR CORP BD184,358$4.17M0.4%+184,358New–
AMZNAmazon Com IncStock18,698$4.46M0.4%−4,767−20.3%ReducedHistory
AAPLApple Inc.Stock15,510$4.49M0.4%−5,104−24.8%ReducedHistory
MOG.AMoog Inc.CL A10,800$4.58M0.4%+10,800NewHistory
NVDANVIDIA CorpStock24,357$4.87M0.4%−6,077−20.0%ReducedHistory
TSMTaiwan Semiconductor Manufacturing Co LtdADR10,259$4.90M0.4%−2,770−21.3%ReducedHistory
BA.PABoeing CoDEP CONV PFD A78,000$5.29M0.5%−19,300−19.8%ReducedHistory
WDCWestern Digital CorpCOM8,300$5.30M0.5%+8,300NewHistory
SHIFT4 PMTS Inc82452JAD1NOTE 0.500% 8/05,576,000$5.31M0.5%+2,380,000+74.5%Added–
DraftKings Inc.26142RAB0NOTE 3/15,780,000$5.37M0.5%00.0%Unchanged–
Halozyme Therapeutics, Inc.40637HAD1NOTE 0.250% 3/05,110,000$5.68M0.5%+2,140,000+72.1%Added–
GOOGLAlphabet Inc.Stock16,374$5.85M0.5%−660−3.9%ReducedHistory
Cloudflare, Inc.18915MAF4NOTE 6/15,023,000$6.35M0.6%+5,023,000New–
Guardant Health, Inc.40131MAB5NOTE 11/15,429,000$6.75M0.6%+3,380,000+165.0%Added–
Datadog, Inc.23804LAD5NOTE 12/05,020,000$7.14M0.7%+1,140,000+29.4%Added–
NFLXNetflix IncStock101,534$7.25M0.7%+71,282+235.6%AddedHistory
Schwab Strategic Tr808524631HIGH YIELD BD ET302,994$7.93M0.7%+1,901+0.6%Added–
GOOGMAlphabet Inc.DEP SHS RP1/20 A173,300$8.82M0.8%+173,300NewHistory
iShares Core MSCI Eafe ETF46432F842ETF91,784$8.86M0.8%−144,426−61.1%Reduced–
Meritage Homes CORP59001ABF8NOTE 1.750% 5/19,102,000$9.38M0.9%00.0%Unchanged–
WFC.PLWells Fargo & CompanyPERP PFD CNV A8,200$9.49M0.9%−8,200−50.0%ReducedHistory
Etsy Inc29786AAN6NOTE 0.250% 6/110,430,000$9.52M0.9%00.0%Unchanged–
Uber Technologies, Inc90353TAM2NOTE 0.875%12/08,169,000$9.77M0.9%00.0%Unchanged–
Wec Energy Group, Inc.92939UAR7NOTE 4.375% 6/07,944,000$9.84M0.9%00.0%Unchanged–
WELLWelltower Inc.REIT43,800$9.94M0.9%−600−1.4%ReducedHistory
NEE.PTNextera Energy IncUNIT 11/01/2027201,000$9.99M0.9%00.0%UnchangedHistory
Bank of Amer Corp0605056827.25%CNV PFD L8,048$10.1M0.9%00.0%Unchanged–
PPL Cap FDG Inc69352PAS2NOTE 2.875% 3/18,920,000$10.1M0.9%00.0%Unchanged–
Global PMTS Inc37940XAU6NOTE 1.500% 3/011,367,000$10.2M0.9%00.0%Unchanged–
Alliant Energy Corp018802AE8NOTE 3.250% 5/39,980,000$11.0M1.0%+9,980,000New–
Invesco Exch Traded FD Tr II46138G805TAXABLE MUN BD448,880$12.0M1.1%+17,124+4.0%Added–
iShares Tr464288638ISHS 5-10YR INVT271,160$14.4M1.3%+271,160New–
iShares Broad Usd Investment Grade Corporate Bond ETF464288620ETF281,728$14.4M1.3%+281,728New–
State Street SPDR Portfolio S&P 500 ETF78464A854ETF173,941$15.3M1.4%−19,213−9.9%Reduced–
Dimensional ETF Trust25434V872CORE FIXE IN ETF378,744$16.0M1.5%+9,479+2.6%Added–
SPYSPDR S&P 500 ETF TrustETF25,677$19.2M1.8%+9,799+61.7%AddedHistory
State Street SPDR Portfolio Intermediate Term Corporate Bond ETF78464A375ETF594,978$19.9M1.8%+594,978New–
Global X FDS37954Y657US PFD ETF1,262,475$23.6M2.2%+12,655+1.0%Added–
Vanguard Intermediate-Term Corporate Bond ETF92206C870ETF291,785$24.1M2.2%+56,024+23.8%Added–
iShares Iboxx $ Investment Grade Corporate Bond ETF464287242ETF225,180$24.6M2.3%+225,180New–
J P Morgan Exchange Traded F46641Q332EQUITY PREMIUM499,379$28.2M2.6%−34,635−6.5%Reduced–
Schwab U.S. REIT ETF808524847ETF1,366,280$32.4M3.0%+147,705+12.1%Added–
Vanguard S&P 500 ETF922908363ETF50,476$34.7M3.2%+15,552+44.5%Added–
Vanguard Dividend Appreciation ETF921908844ETF151,497$35.8M3.3%−24,614−14.0%Reduced–
State Street Utilities Select Sector SPDR ETF81369Y886ETF905,679$41.1M3.8%−17,484−1.9%Reduced–
WisdomTree Tr97717Y790US EFFIC CORE FD735,041$43.4M4.0%−561,532−43.3%Reduced–
Invesco Nasdaq 100 ETF46138G649ETF151,497$45.9M4.2%−35,976−19.2%Reduced–
Global X FDS37954Y293GLB X MLP ENRG I667,709$49.2M4.5%−5,490−0.8%Reduced–
iShares Core S&P 500 ETF464287200ETF69,863$52.3M4.8%+17,096+32.4%Added–
Schwab US Aggregate Bond ETF808524839ETF3,142,160$72.7M6.7%+65,898+2.1%Added–
Vanguard Total Bond Market ETF921937835ETF990,343$72.7M6.7%+21,733+2.2%Added–
iShares Core U.S. Aggregate Bond ETF464287226ETF735,041$72.8M6.7%+16,394+2.3%Added–

Sold out since Q1 2026 (13)

Positions held at the end of Q1 2026 that are gone from this filing.

Positions of Rational Advisors LLC sold out since Q1 2026
SecurityClassShares in Q1 2026Value in Q1 2026% of portfolio in Q1 2026History
MCHPPMicrochip Technology IncDEP SHS REPSTG68,000$3.87M0.4%History
MDTMedtronic plcStock33,200$2.88M0.3%History
MCDMcDonalds CorpStock7,439$2.31M0.2%History
BABAAlibaba Group Holding LtdADR17,290$2.17M0.2%History
Global X FDS37960A529DEFENSE TECH ETF22,000$1.56M0.2%–
NUNu Holdings Ltd.ORD SHS CL A77,000$1.11M0.1%History
DOVDOVER CorpCOM5,300$1.10M0.1%History
WFCWells Fargo & CompanyStock12,538$1.07M0.1%History
WRBYWarby Parker Inc.CL A COM43,500$947.9K0.1%History
SHOPShopify Inc.Stock4,000$474.5K<0.1%History
CRWDCrowdStrike Holdings, Inc.Stock1,200$468.5K<0.1%History
VSTVistra Corp.Stock2,377$383.5K<0.1%History
FICOFair Isaac CorpCOM7$7.47K<0.1%History