Prairie Wealth Advisors, Inc.

Other Low signal CIK 2022783
League rank
#1624
in Other · #6734 overall
Long book
$230.5M
Q1 2026
Positions
149
Top-10 weight
55%
concentration
Last quarter
+6.9%
SPY +14.8%
Turnover
of book per quarter

Strategy in plain words

auto-generated from filings

Prairie Wealth Advisors, Inc. is an institutional manager, running a $230.5M US long book across 149 positions.

The portfolio is concentrated: the top 10 names carry 55% of the portfolio. Current anchor positions: LINDSAY CORP, NVIDIA CORP, SPDR GOLD SHARES, ISHARES GOLD TRUST, AMAZON.COM INC.

Over the last 9 quarters its long book ran on average 0.7pp per quarter behind the S&P 500, beating the index in 4 of 9 quarters. Signal value of individual moves is limited — treat changes as weak evidence.

Implied long-book return vs S&P 500

methodology: positions priced quarterly, no shorts/options
Fund long book S&P 500
Q1 2024
+5.5%
Q2 2024
+4.1%
Q3 2024
+1.8%
Q4 2024
-1.0%
Q1 2025
+13.5%
Q2 2025
+6.3%
Q3 2025
-1.4%
Q4 2025
-1.8%
Q1 2026
+6.9%

Sector allocation

Technology
39%
Industrials
36%
Consumer discretionary
10%
Healthcare
4%
Utilities
3%
Services media
3%
Other
2%
Financials
2%

Long book by quarter

$213.1M
Q1 2024
$197.2M
Q2 2024
$202.3M
Q3 2024
$208.0M
Q4 2024
$203.4M
Q1 2025
$234.1M
Q2 2025
$243.7M
Q3 2025
$235.6M
Q4 2025
$230.5M
Q1 2026

What does Prairie Wealth own?

Q1 2026 13F
CompanySectorSharesValue% of bookChange
LNN LINDSAY CORPIndustrials0$45.7M19.8%Held
NVDA NVIDIA CORPTechnology0$23.6M10.3%Held
AMZN AMAZON.COM INCConsumer discretionary0$7.6M3.3%Held
GOOG ALPHABET INC-CL CTechnology0$5.4M2.3%Held
SHOP SHOPIFY INC - CLASS ATechnology0$4.3M1.9%Held
AAPL APPLE INCTechnology0$3.9M1.7%Held
BXSL BLACKSTONE SECURED LENDING F0$2.6M1.1%Held
CASY CASEY'S GENERAL STORES INCConsumer discretionary0$2.4M1.1%Held
AVGO BROADCOM INCTechnology0$2.4M1.0%Held
LLY ELI LILLY & COHealthcare0$2.1M0.9%Held
NOC NORTHROP GRUMMAN CORPTechnology0$2.0M0.9%Held
MSFT MICROSOFT CORPTechnology0$1.9M0.8%Held
V VISA INC-CLASS A SHARESServices media0$1.8M0.8%Held
PLTR PALANTIR TECHNOLOGIES INC-ATechnology0$1.7M0.7%Held
VRSN VERISIGN INCTechnology0$1.6M0.7%Held
BRK/B BERKSHIRE HATHAWAY INC-CL BFinancials0$1.4M0.6%Held
MELI MERCADOLIBRE INCServices media0$1.4M0.6%Held
ANET ARISTA NETWORKS INCTechnology0$1.3M0.6%Held
CSCO CISCO SYSTEMS INCTechnology0$1.3M0.5%Held
META META PLATFORMS INC-CLASS ATechnology0$1.2M0.5%Held
STNE STONECO LTD-ATechnology0$1.1M0.5%Held
FN FABRINETTechnology0$1.1M0.5%Held
COST COSTCO WHOLESALE CORPConsumer discretionary0$1.1M0.5%Held
FDX FEDEX CORPIndustrials0$1.0M0.5%Held
WMT WALMART INCConsumer discretionary0$990K0.4%Held
NEE NEXTERA ENERGY INCUtilities0$987K0.4%Held
NFLX NETFLIX INCServices media0$953K0.4%Held
TGT TARGET CORPConsumer discretionary0$923K0.4%Held
CEG CONSTELLATION ENERGYUtilities0$913K0.4%Held
AMD ADVANCED MICRO DEVICESTechnology0$770K0.3%Held
VST VISTRA CORPUtilities0$759K0.3%Held
HON HONEYWELL INTERNATIONAL INCIndustrials0$757K0.3%Held
RSG REPUBLIC SERVICES INCUtilities0$754K0.3%Held
APH AMPHENOL CORP-CL ATechnology0$722K0.3%Held
RTX RTX CORPIndustrials0$719K0.3%Held
TER TERADYNE INCTechnology0$563K0.2%Held
DE DEERE & COIndustrials0$528K0.2%Held
ISRG INTUITIVE SURGICAL INCHealthcare0$520K0.2%Held
HII HUNTINGTON INGALLS INDUSTRIEIndustrials0$479K0.2%Held
JNJ JOHNSON & JOHNSONHealthcare0$478K0.2%Held
AMGN AMGEN INCHealthcare0$478K0.2%Held
TSLA TESLA INCIndustrials0$476K0.2%Held
MMM 3M COHealthcare0$467K0.2%Held
ET ENERGY TRANSFER LPUtilities0$458K0.2%Held
VRT VERTIV HOLDINGS CO-ATechnology0$441K0.2%Held
AON AON PLC-CLASS AFinancials0$441K0.2%Held
AEP AMERICAN ELECTRIC POWERUtilities0$434K0.2%Held
KO COCA-COLA CO/THEConsumer staples0$426K0.2%Held
HCA HCA HEALTHCARE INCHealthcare0$388K0.2%Held
WM WASTE MANAGEMENT INCUtilities0$387K0.2%Held

13F filing history

PeriodFormFiledEntriesReported valueFlagsSource
Q1 202613F-HRMay 5, 2026153$230.7M canonicalSEC ↗
Q4 202513F-HRFeb 9, 2026149$235.6M canonicalSEC ↗
Q3 202513F-HRNov 14, 2025156$243.7M canonicalSEC ↗
Q2 202513F-HRAug 4, 2025152$234.1M canonicalSEC ↗
Q1 202513F-HRApr 22, 2025142$203.4M canonicalSEC ↗
Q4 202413F-HRJan 28, 2025150$208.0M canonicalSEC ↗
Q3 202413F-HRNov 7, 2024145$202.3M canonicalSEC ↗
Q2 202413F-HRAug 14, 2024143$197.2M canonicalSEC ↗
Q1 202413F-HRMay 15, 2024166$213.1M canonicalSEC ↗