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CoreCap Advisors, LLC

SEC CIK
0001902501
Latest filing
Jul 6, 2026

Holdings in Q4 2022

Holdings as of Dec 31, 2022, filed Feb 10, 2023. Long positions only; changes compare share counts with Q3 2022.

Institution overview
Positions
2,406
+1,865 vs. Q3 2022
Portfolio value
$1.40B
+$209.0M (+17.5%) vs. Q3 2022
Filed
Feb 10, 2023
SEC
Holdings of CoreCap Advisors, LLC in Q4 2022
SecurityClassSharesValue% of portfolioShare changeActionHistory
NADNuveen Quality Municipal Income FundCOM19,499$230.1K<0.1%−2,155−10.0%ReducedHistory
Vanguard Star FDS921909768VG TL INTL STK F4,453$230.3K<0.1%−689−13.4%Reduced–
PRKPark National CorpCOM1,638$230.6K<0.1%−99−5.7%ReducedHistory
Fidelity MSCI Information Technology Index ETF316092808ETF2,440$230.7K<0.1%+24+1.0%Added–
SPDR Index Shs FDS78463X749ST DOW GLOBA ETF5,665$231.7K<0.1%−553−8.9%Reduced–
INCYIncyte CorpCOM2,888$232.0K<0.1%+2,888NewHistory
iShares Tr46435U663ESG AWARE MSCI7,083$232.9K<0.1%−226−3.1%Reduced–
GMGeneral Motors CoCOM6,948$233.7K<0.1%−877−11.2%ReducedHistory
BPBP PLCADR6,701$234.1K<0.1%+6,701NewHistory
Strategy Shares Nasdaq 7HANDL Index ETF86280R506ETF11,999$234.9K<0.1%−3,222−21.2%Reduced–
DGDollar General CorpCOM955$235.3K<0.1%−2,108−68.8%ReducedHistory
Vanguard Mortgage-Backed Securities ETF92206C771ETF5,170$235.4K<0.1%−411−7.4%Reduced–
CLFCleveland-Cliffs Inc.COM14,652$236.0K<0.1%−576−3.8%ReducedHistory
MDYSPDR S&P Midcap 400 ETF TrustETF534$236.4K<0.1%+534NewHistory
iShares Inc46434G863ESG AWR MSCI EM7,889$237.2K<0.1%−8,031−50.4%Reduced–
DBCInvesco DB Commodity Index Tracking FundUNIT9,625$237.3K<0.1%−17,265−64.2%ReducedHistory
CHTRCharter Communications, Inc.CL A706$239.4K<0.1%+706NewHistory
iShares Inc464286533MSCI EMERG MRKT4,518$239.7K<0.1%+245+5.7%Added–
GBABGuggenheim Taxable Municipal Bond & Investment Grade Debt TrustCOM14,662$239.9K<0.1%+500+3.5%AddedHistory
RFICohen & Steers Total Return Realty Fund IncCOM19,671$240.6K<0.1%+1,889+10.6%AddedHistory
MARMarriott International IncStock1,639$244.1K<0.1%+24+1.5%AddedHistory
ADCAgree Realty CorpCOM3,458$245.3K<0.1%−112−3.1%ReducedHistory
OKEONEOK IncCOM3,793$249.3K<0.1%+3,793NewHistory
SPDR Series Trust78464A128ST STR SP1500VT1,787$249.8K<0.1%+145+8.8%Added–
RFRegions Financial CorpCOM11,629$250.7K<0.1%+11,629NewHistory
AMNAmn Healthcare Services IncCOM2,439$250.8K<0.1%+304+14.2%AddedHistory
FNVFranco Nevada CorpStock1,843$251.5K<0.1%−41−2.2%ReducedHistory
SPDR Index Shs FDS78463X152ST STR SP N AM4,653$252.3K<0.1%+4,653New–
WisdomTree Tr97717X511YIELD ENHANCD US5,932$253.0K<0.1%−2,711−31.4%Reduced–
JFRNuveen Floating Rate Income FundCOM32,096$254.2K<0.1%00.0%UnchangedHistory
iShares Russell 1000 Value ETF464287598ETF1,681$254.9K<0.1%+1,681New–
iShares Tr46435G516ESG AW MSCI EAFE3,895$256.1K<0.1%+157+4.2%Added–
Invesco Exch TRD SLF Idx FD46138J833BULSHS 2024 HY11,738$259.6K<0.1%00.0%Unchanged–
ETBEaton Vance Tax-Managed Buy-Write Income FundCOM19,750$259.7K<0.1%+525+2.7%AddedHistory
HIGHartford Insurance Group, Inc.Stock3,437$260.6K<0.1%+3,437NewHistory
iShares Tr464287812US CONSM STAPLES1,293$262.2K<0.1%−1,218−48.5%Reduced–
WisdomTree Tr97717W281EMG MKTS SMCAP6,022$264.9K<0.1%−173−2.8%Reduced–
MDLZMondelez International, Inc.Stock3,984$265.6K<0.1%−40,749−91.1%ReducedHistory
VLOValero Energy CorpStock2,099$266.4K<0.1%+2,099NewHistory
ProShares Tr74347B680S&P MDCP 400 DIV3,749$268.2K<0.1%+489+15.0%Added–
MNSTMonster Beverage CorpCOM2,643$268.3K<0.1%−15,247−85.2%ReducedHistory
iShares Tr464287754US INDUSTRIALS2,848$274.7K<0.1%−65−2.2%Reduced–
ADIAnalog Devices IncStock1,691$277.5K<0.1%+161+10.5%AddedHistory
Innovator ETFs Trust45782C714EMRGNG MKT JULY12,213$278.8K<0.1%−2,108−14.7%Reduced–
SPDR Index Shs FDS78463X434ST STR MSCI EAFE4,361$279.5K<0.1%+4,361New–
Vanguard Scottsdale FDS92206C102SHORT TERM TREAS4,870$281.6K<0.1%+88+1.8%Added–
CTVACorteva, Inc.Stock4,800$282.1K<0.1%−1,609−25.1%ReducedHistory
iShares Tr46435U713US INFRASTRUC7,826$283.8K<0.1%+633+8.8%Added–
SFMSprouts Farmers Market, Inc.COM8,832$285.9K<0.1%−3,758−29.8%ReducedHistory
VanEck Semiconductor ETF92189F676ETF1,435$291.2K<0.1%+123+9.4%Added–
Vanguard Morningstar Small-Cap Growth ETF922908595ETF1,482$297.3K<0.1%+428+40.6%Added–
Vanguard Scottsdale FDS92206C706INTER TERM TREAS5,090$297.7K<0.1%+722+16.5%Added–
iShares Tr46429B7470-5 YR TIPS ETF3,076$298.3K<0.1%+22+0.7%Added–
iShares Tr464288588MBS ETF3,224$299.1K<0.1%+704+27.9%Added–
USALiberty All Star Equity FundSH BEN INT52,595$299.8K<0.1%+3,275+6.6%AddedHistory
NOCNorthrop Grumman CorpStock552$301.2K<0.1%+99+21.9%AddedHistory
First Tr Exchange-Traded FD33734X853INTL EQUITY OPP7,862$305.5K<0.1%−601−7.1%Reduced–
BGBunge Global SACOM3,068$306.1K<0.1%−873−22.2%ReducedHistory
CAGConagra Brands Inc.Stock8,058$311.8K<0.1%−164−2.0%ReducedHistory
Abrdn ETFs003261203BBRG ALL COMMDY9,073$313.8K<0.1%−61,350−87.1%Reduced–
SLViShares Silver TrustETF14,291$314.7K<0.1%+1,437+11.2%AddedHistory
iShares U.S. Treasury Bond ETF46429B267ETF13,855$314.8K<0.1%−23,590−63.0%Reduced–
CLXClorox CoStock2,268$318.3K<0.1%+2,268NewHistory
RVTYRevvity, Inc.COM2,273$318.7K<0.1%−278−10.9%ReducedHistory
CNQCanadian Natural Resources LtdCOM5,752$319.4K<0.1%−1,575−21.5%ReducedHistory
ISRGIntuitive Surgical IncCOM NEW1,206$320.0K<0.1%+1,206NewHistory
UPBDUpbound Group, Inc.COM14,233$321.0K<0.1%+1,863+15.1%AddedHistory
IMOImperial Oil LtdCOM NEW6,630$323.1K<0.1%−2,030−23.4%ReducedHistory
Vanguard World FD921910840MEGA CAP VAL ETF3,158$324.8K<0.1%+3,158New–
Innovator ETFs Trust45782C276GRWT100 PWR BUF7,668$326.2K<0.1%+752+10.9%Added–
ProShares Tr74347G739ULTSHRT QQQ12,618$327.7K<0.1%+12,618New–
PHMPultegroup IncCOM7,207$328.1K<0.1%−1,796−19.9%ReducedHistory
UPSUnited Parcel Service IncStock1,889$328.6K<0.1%−5,658−75.0%ReducedHistory
Vanguard Scottsdale FDS92206C565TOTAL WLD BD ETF4,919$329.9K<0.1%−1,168−19.2%Reduced–
SEESealed Air CorpCOM6,627$330.6K<0.1%−148−2.2%ReducedHistory
GISGeneral Mills IncStock3,953$331.5K<0.1%+3,953NewHistory
AZPNAspen Technology, Inc.COM1,638$336.4K<0.1%+1,638NewHistory
Innovator ETFs Trust45782C334GRWT100 PWR BF9,995$340.4K<0.1%−134−1.3%Reduced–
iShares MSCI USA Quality Factor ETF46432F339ETF3,007$342.7K<0.1%−53,275−94.7%Reduced–
ProShares Tr74347B714SHORT QQQ NEW23,300$343.0K<0.1%+23,300New–
iShares Tr464288760US AER DEF ETF3,079$344.4K<0.1%+10+0.3%Added–
iShares Tr464287580US CONSUM DISCRE6,080$346.4K<0.1%+20.0%Added–
Vanguard Ftse All-World Ex-US Index Fund922042775ETF6,949$348.5K<0.1%−355−4.9%Reduced–
LNGCheniere Energy, Inc.COM NEW2,358$353.7K<0.1%−141−5.6%ReducedHistory
CDWCDW CorpCOM2,003$357.7K<0.1%−47−2.3%ReducedHistory
iShares Tr46432F388MSCI USA VALUE3,926$357.9K<0.1%+56+1.4%Added–
WisdomTree Tr97717W109US TOTAL DIVIDND5,914$358.7K<0.1%−2,039−25.6%Reduced–
INTCIntel CorpStock13,605$359.6K<0.1%+1,141+9.2%AddedHistory
State Street SPDR Bloomberg Convertible Securities ETF78464A359ETF5,610$361.0K<0.1%−332−5.6%Reduced–
Vanguard World FD921910873MEGA CAP INDEX2,734$362.0K<0.1%+927+51.3%Added–
CMAComerica IncCOM5,437$363.5K<0.1%−54−1.0%ReducedHistory
iShares Tr46436E767ESG MSCI USA ETF11,873$364.0K<0.1%+132+1.1%Added–
PSXPhillips 66Stock3,537$368.1K<0.1%+3,537NewHistory
First Tr Exchng Traded FD VI33740F854FT VEST U.S.11,846$368.6K<0.1%−157−1.3%Reduced–
iShares Iboxx $ Investment Grade Corporate Bond ETF464287242ETF3,497$368.7K<0.1%−5,296−60.2%Reduced–
iShares Tr4642886613 7 YR TREAS BD3,229$371.0K<0.1%+3,229New–
WisdomTree Tr97717Y857US MULTIFACTOR9,925$373.2K<0.1%−311−3.0%Reduced–
TMOThermo Fisher Scientific Inc.Stock685$377.2K<0.1%+7+1.0%AddedHistory
First Tr Exchng Traded FD VI33740F730FT VEST US EQT12,075$377.8K<0.1%−180−1.5%Reduced–
VRTXVertex Pharmaceuticals IncStock1,309$378.0K<0.1%−4,719−78.3%ReducedHistory

Sold out since Q3 2022 (5)

Positions held at the end of Q3 2022 that are gone from this filing.

Positions of CoreCap Advisors, LLC sold out since Q3 2022
SecurityClassShares in Q3 2022Value in Q3 2022% of portfolio in Q3 2022History
Collaborative Investmnt Ser19423L631SHORT DE SPAC12,703$636.0K0.1%–
SWCHSwitch, Inc.CL A12,380$417.0K<0.1%History
Invesco Bulletshares 2022 HY Bd (BSJM)46138J874BULSHS 2022 HY13,559$298.0K<0.1%–
BAMBrookfield Asset Management Ltd.CL A LTD VT SH5,384$220.0K<0.1%History
Tenneco Inc880349105CL A VTG COM STK10,000$174.0K<0.1%–