13FBOX
ARBOR CAPITAL MANAGEMENT INC /ADV · 13F Holdings
Options Calculator Rankings

ARBOR CAPITAL MANAGEMENT INC /ADV

No.9132 Data as of 2026Q2
Latest AUM (Q2 2026)
$101.5M
QoQ Change Q1 2026
-$21.1M-17.2%
Holdings
87
New Buys
2
Adds
4
Reduces
77
Exits
16
Unchanged
4
Holdings Value Trend
Holdings by Sector
Stock Ownership TrendPortfolio %Prev Q %Q2 2026 ValueQ2 2026 SharesPrev Q ValuePrev Q SharesShares ChangeAction
AMAZON COM INCAMZN
3.46%2.95%$3.5M15,266$3.6M15,405-139-0.90%Reduce
AARK ETF TRARKK
3.31%2.98%$3.4M44,841$3.6M51,013-6,172-12.10%Reduce
J P MORGAN EXCHANGE TRADED FCET
3.21%2.95%$3.3M65,024$3.6M72,487-7,463-10.30%Reduce
ALPHABET INCGOOGL
2.72%2.33%$2.8M8,056$2.9M8,950-894-9.99%Reduce
TAIWAN SEMICONDUCTOR MANUFACTSM
2.66%2.17%$2.7M6,578$2.7M7,330-752-10.26%Reduce
3M CO COMMMM
2.64%2.17%$2.7M15,621$2.7M17,730-2,109-11.90%Reduce
JOHNSON & JOHNSONJNJ
2.63%2.11%$2.7M10,212$2.6M10,691-479-4.48%Reduce
QQUALCOMM INCQCOM
2.62%1.96%$2.7M16,035$2.4M18,429-2,394-12.99%Reduce
BROADCOM INCAVGO
2.45%2.13%$2.5M6,649$2.6M7,485-836-11.17%Reduce
APPLE INCAAPL
2.44%1.82%$2.5M7,776$2.2M8,726-950-10.89%Reduce
FFIDELITY WISE ORIGIN BITCOIN FUNDFBTC
2.29%2.69%$2.3M43,715$3.3M52,922-9,207-17.40%Reduce
SOUTHERN COPPER CORPSCCO
2.27%2.26%$2.3M13,149$2.8M14,805-1,656-11.19%Reduce
COCA COLA COKO
2.18%1.74%$2.2M25,636$2.1M28,056-2,420-8.63%Reduce
MICROSOFT CORPMSFT
2.14%1.95%$2.2M5,658$2.4M6,201-543-8.76%Reduce
SIMON PPTY GROUP INC NEW COMSPG
2.08%1.64%$2.1M9,140$2.0M10,276-1,136-11.05%Reduce
CISCO SYS INCCSCO
2.07%1.36%$2.1M18,324$1.7M20,845-2,521-12.09%Reduce
PHILIP MORRIS INTL INCPM
1.99%1.55%$2.0M10,541$1.9M11,766-1,225-10.41%Reduce
JPMORGAN CHASE & COJPM
1.99%1.66%$2.0M5,978$2.0M6,699-721-10.76%Reduce
HOME DEPOT INCHD
1.88%1.71%$1.9M5,536$2.1M6,219-683-10.98%Reduce
UNITED PARCEL SVCS INCUPS
1.85%1.63%$1.9M17,799$2.0M19,851-2,052-10.34%Reduce
CHEVRON CORPORATIONCVX
1.8%1.69%$1.8M9,906$2.1M10,763-857-7.96%Reduce
WELLTOWER INC COMWELL
1.73%1.45%$1.8M7,501$1.8M8,764-1,263-14.41%Reduce
CCOLUMBIA ETF TR INJNK
1.65%1.39%$1.7M81,654$1.7M82,823-1,169-1.41%Reduce
US BANCORPUSB
1.6%1.31%$1.6M26,278$1.6M29,576-3,298-11.15%Reduce
VENTAS INC COMVTR
1.59%1.38%$1.6M17,264$1.7M20,357-3,093-15.19%Reduce
KINDER MORGAN INC DEL COMKMI
1.55%1.45%$1.6M49,213$1.8M54,692-5,479-10.02%Reduce
NVIDIA CORPORATIONNVDA
1.52%1.35%$1.5M7,927$1.7M8,925-998-11.18%Reduce
AMERICAN EXPRESS COAXP
1.5%1.27%$1.5M4,558$1.6M4,901-343-7.00%Reduce
PPL CORP COMPPL
1.47%1.46%$1.5M41,583$1.8M46,104-4,521-9.81%Reduce
PPROLOGIS INC. COMPLD
1.45%1.37%$1.5M10,482$1.7M12,421-1,939-15.61%Reduce
FFIRST TR EXCH TRADED FD IIIFSMB
1.37%1.14%$1.4M69,922$1.4M69,644+278+0.40%Add
UNITEDHEALTH GROUP INCUNH
1.37%0.96%$1.4M3,319$1.2M3,973-654-16.46%Reduce
META PLATFORMS INCMETA
1.34%1.36%$1.4M2,366$1.7M2,669-303-11.35%Reduce
PPIMCO ETF TRPYLD
1.27%1.27%$1.3M49,386$1.6M58,838-9,452-16.06%Reduce
CME GROUP INCCME
1.26%1.37%$1.3M5,146$1.7M5,665-519-9.16%Reduce
EQUINIX INCEQIX
1.19%1.15%$1.2M1,183$1.4M1,392-209-15.01%Reduce
PUBLIC STORAGE COMPSA
1.15%1%$1.2M3,594$1.2M4,279-685-16.01%Reduce
FFIRST TR EXCHANGE-TRADED FDFTCS
1.13%1.06%$1.2M11,594$1.3M13,812-2,218-16.06%Reduce
MASTERCARD INCORPORATEDMA
1.13%0.96%$1.1M2,113$1.2M2,313-200-8.65%Reduce
DIGITAL RLTY TR INC COMDLR
1.09%1.1%$1.1M6,039$1.4M7,227-1,188-16.44%Reduce
AMERICAN TOWER CORP COMAMT
1.06%1.07%$1.1M6,270$1.3M7,524-1,254-16.67%Reduce
MCDONALDS CORPMCD
1.04%1.09%$1.1M3,900$1.3M4,368-468-10.71%Reduce
AVALONBAY CMNTYS INC REITAVB
1.03%0.89%$1.0M5,460$1.1M6,540-1,080-16.51%Reduce
COHEN AND STEERS INFRASTUTF
0.98%0.89%$995,90333,695$1.1M39,308-5,613-14.28%Reduce
COINBASE GLOBALCOIN
0.98%1.16%$992,8186,474$1.4M7,873-1,399-17.77%Reduce
TTHERMO FISHER SCIENTIFIC INCTMO
0.95%0.81%$960,8751,763$997,1441,947-184-9.45%Reduce
NIKE INCNKE
0.88%0.93%$894,85021,116$1.1M23,975-2,859-11.92%Reduce
T-MOBILE US INC COMTMUS
0.88%0.89%$891,0865,064$1.1M5,522-458-8.29%Reduce
IISHARES RUSSELLIWF
0.87%0.87%$884,8587,642$1.1M2,335+5,307+227.28%Add
INVITATION HOMES INCINVH
0.83%0.72%$847,67728,106$886,45434,733-6,627-19.08%Reduce

🧭 Institutional Sector Flow Heatmap

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