TCFG Investment Advisors, LLC

Wealth advisor Mechanical CIK 2121836
League rank
#2845
in Wealth advisor · #6410 overall
Long book
$267.5M
Q1 2026
Positions
274
Top-10 weight
30%
concentration
Last quarter
+8.0%
SPY +14.8%
Turnover
of book per quarter

Strategy in plain words

auto-generated from filings

TCFG Investment Advisors, LLC is a wealth-management firm allocating client money, running a $267.5M US long book across 274 positions.

The portfolio is moderately concentrated (top 10 ≈ 30% of the book). Current anchor positions: APPLE INC, F/M US TREASURY 3 MONTH BILL, NVIDIA CORP, FRANCO-NEVADA CORP, VANECK JUNIOR GOLD MINERS.

Its holdings are mechanical (indexing / client flows), so position changes carry no stock-picking signal.

Sector allocation

Technology
41%
Materials
17%
Consumer discretionary
7%
Industrials
7%
Financials
6%
Services media
5%
Energy
5%
Utilities
4%

Long book by quarter

$267.5M
Q1 2026

What does TCFG Investment own?

Q1 2026 13F
CompanySectorSharesValue% of bookChange
AAPL APPLE INCTechnology59.0K$15.0M5.6%Held
NVDA NVIDIA CORPTechnology75.8K$13.2M4.9%Held
FNV FRANCO-NEVADA CORPMaterials28.9K$7.1M2.7%Held
AMZN AMAZON.COM INCConsumer discretionary27.9K$5.8M2.2%Held
AEM AGNICO EAGLE MINES LTDMaterials23.8K$4.8M1.8%Held
MSFT MICROSOFT CORPTechnology11.0K$4.1M1.5%Held
WPM WHEATON PRECIOUS METALS CORPMaterials25.9K$3.4M1.3%Held
GOOGL ALPHABET INC-CL ATechnology10.0K$2.9M1.1%Held
V VISA INC-CLASS A SHARESServices media9.3K$2.8M1.0%Held
CVX CHEVRON CORPEnergy13.4K$2.8M1.0%Held
GOOG ALPHABET INC-CL CTechnology8.5K$2.4M0.9%Held
EPD ENTERPRISE PRODUCTS PARTNERSUtilities60.6K$2.3M0.9%Held
SII SPROTT INCFinancials15.3K$2.2M0.8%Held
AVGO BROADCOM INCTechnology6.3K$2.0M0.7%Held
HYMC HYCROFT MINING HOLDING CO-AMaterials55.4K$2.0M0.7%Held
AMD ADVANCED MICRO DEVICESTechnology9.5K$1.9M0.7%Held
BRK/B BERKSHIRE HATHAWAY INC-CL BFinancials4.0K$1.9M0.7%Held
NFLX NETFLIX INCServices media17.3K$1.7M0.6%Held
CCJ CAMECO CORPMaterials15.1K$1.6M0.6%Held
PLTR PALANTIR TECHNOLOGIES INC-ATechnology11.2K$1.6M0.6%Held
XOM EXXON MOBIL CORPEnergy9.1K$1.5M0.6%Held
META META PLATFORMS INC-CLASS ATechnology2.6K$1.5M0.6%Held
NUE NUCOR CORPIndustrials7.7K$1.3M0.5%Held
MU MICRON TECHNOLOGY INCTechnology3.5K$1.2M0.4%Held
COST COSTCO WHOLESALE CORPConsumer discretionary1.1K$1.1M0.4%Held
KMI KINDER MORGAN INCUtilities31.6K$1.1M0.4%Held
JPM JPMORGAN CHASE & COFinancials3.4K$998K0.4%Held
CSL CARLISLE COS INCOther2.9K$981K0.4%Held
JNJ JOHNSON & JOHNSONHealthcare3.6K$889K0.3%Held
ALB ALBEMARLE CORPMaterials12.2K$873K0.3%Held
PG PROCTER & GAMBLE CO/THEOther6.0K$863K0.3%Held
TSLA TESLA INCIndustrials2.3K$855K0.3%Held
MRK MERCK & CO. INC.Healthcare6.9K$830K0.3%Held
GEV GE VERNOVA INCIndustrials924$807K0.3%Held
APP APPLOVIN CORP-CLASS ATechnology1.9K$761K0.3%Held
PSEC PROSPECT CAPITAL CORP277.9K$725K0.3%Held
KLAC KLA CORPOther475$699K0.3%Held
DIS WALT DISNEY CO/THEServices media7.0K$672K0.3%Held

13F filing history

PeriodFormFiledEntriesReported valueFlagsSource
Q1 202613F-HRMay 6, 2026274$267.5M canonicalSEC ↗