Royal Capital Wealth Management, Llc
Institutional manager — quarterly 13F holdings, Q ending 2026-03-31
Reported value
$160.6M
Q ending 2026-03-31
Prior quarter
$169.4M
Q ending 2025-12-31
Change
-5.2% QoQ · +12.6% YoY
Positions
96
reported holdings
Largest positions
All 96 reported positions, Q ending 2026-03-31. A manager can hold shares, calls and puts on the same security at once — such positions are listed as separate rows. Type: Shares = common stock, Put/Call = option positions (valued at the underlying), Principal = debt. Tickers link to stock pages where covered.
| Holding | Ticker | Type | Value ▼ | Shares |
|---|---|---|---|---|
| State Str Spdr S&P 500 Etf T | SPY | Shares | $21.6M | 33K |
| Mastercard Incorporated | MA | Shares | $10.1M | 20K |
| Nvidia Corporation | NVDA | Shares | $9.8M | 56K |
| Berkshire Hathaway Inc Del | BRK/B | Shares | $9.0M | 19K |
| Microsoft Corp | MSFT | Shares | $7.6M | 20K |
| Alphabet Inc | GOOGL | Shares | $7.3M | 25K |
| Jpmorgan Chase & Co | JPM | Shares | $6.7M | 23K |
| Visa Inc | V | Shares | $5.3M | 17K |
| Invesco Qqq Tr | QQQ | Shares | $5.0M | 9K |
| Apple Inc | AAPL | Shares | $4.9M | 19K |
| Amazon Com Inc | AMZN | Shares | $4.6M | 22K |
| Exxon Mobil Corp | XOM | Shares | $4.4M | 26K |
| Alphabet Inc | GOOG | Shares | $4.0M | 14K |
| Eli Lilly & Co | LLY | Shares | $3.6M | 4K |
| Walmart Inc | WMT | Shares | $2.8M | 23K |
| Proshares Tr | NOBL | Shares | $2.6M | 24K |
| Blackrock Etf Trust Ii | BINC | Shares | $2.2M | 42K |
| Berkshire Hathaway Inc Del | BRK/A | Shares | $2.2M | 3 |
| Johnson & Johnson | JNJ | Shares | $2.0M | 8K |
| Blackstone Inc | BX | Shares | $2.0M | 17K |
| Mcdonalds Corp | MCD | Shares | $2.0M | 6K |
| Abbvie Inc | ABBV | Shares | $1.9M | 9K |
| Unitedhealth Group Inc | UNH | Shares | $1.7M | 6K |
| Cme Group Inc | CME | Shares | $1.6M | 5K |
| Schwab Strategic Tr | SCHD | Shares | $1.5M | 48K |
| Proshares Tr | REGL | Shares | $1.4M | 16K |
| Automatic Data Processing In | ADP | Shares | $1.1M | 5K |
| Lowes Cos Inc | LOW | Shares | $1.1M | 5K |
| Coca Cola Co | KO | Shares | $1.1M | 14K |
| Nextera Energy Inc | NEE | Shares | $1.0M | 11K |
| Wells Fargo & Co | WFC | Shares | $1.0M | 13K |
| Procter & Gamble Co | PG | Shares | $980K | 7K |
| Amgen Inc | AMGN | Shares | $976K | 3K |
| Meta Platforms Inc | META | Shares | $973K | 2K |
| Invesco Exchange Traded Fd T | RSP | Shares | $968K | 5K |
| Pepsico Inc | PEP | Shares | $964K | 6K |
| Cheniere Energy Inc | LNG | Shares | $936K | 3K |
| Proshares Tr | SMDV | Shares | $859K | 12K |
| Broadcom Inc | AVGO | Shares | $814K | 3K |
| Caterpillar Inc | CAT | Shares | $779K | 1K |
| Costco Wholesale Corporation | COST | Shares | $719K | 721 |
| Emerson Elec Co | EMR | Shares | $690K | 5K |
| Ge Aerospace | GE | Shares | $676K | 2K |
| Philip Morris Intl Inc | PM | Shares | $591K | 4K |
| Nucor Corp | NUE | Shares | $587K | 3K |
| Cisco Sys Inc | CSCO | Shares | $572K | 7K |
| S&P Global Inc | SPGI | Shares | $553K | 1K |
| Outdoor Holding Co | POWW | Shares | $491K | 244K |
| Chevron Corporation | CVX | Shares | $456K | 2K |
| Schwab Strategic Tr | SCHB | Shares | $454K | 18K |
| Marathon Pete Corp | MPC | Shares | $454K | 2K |
| Ishares Silver Tr | SLV | Shares | $450K | 7K |
| General Mtrs Co | GM | Shares | $439K | 6K |
| Kinder Morgan Inc Del | KMI | Shares | $432K | 13K |
| Palantir Technologies Inc | PLTR | Shares | $432K | 3K |
| Select Sector Spdr Tr | XLF | Shares | $425K | 9K |
| Disney Walt Co | DIS | Shares | $414K | 4K |
| Texas Instrs Inc | TXN | Shares | $414K | 2K |
| Cardinal Health Inc | CAH | Shares | $404K | 2K |
| Enterprise Prods Partners L | EPD | Shares | $398K | 11K |
| Proshares Tr | EUDV | Shares | $397K | 8K |
| Qualcomm Inc | QCOM | Shares | $383K | 3K |
| Abbott Laboratories | ABT | Shares | $368K | 4K |
| Diamondback Energy Inc | FANG | Shares | $366K | 2K |
| Coeur Mng Inc | CDE | Shares | $330K | 18K |
| Conocophillips | COP | Shares | $326K | 2K |
| Annaly Capital Management In | NLY | Shares | $320K | 15K |
| Chipotle Mexican Grill Inc | CMG | Shares | $320K | 10K |
| Duke Energy Corp New | DUK | Shares | $316K | 2K |
| Bank America Corp | BAC | Shares | $300K | 6K |
| Kenvue Inc | KVUE | Shares | $300K | 17K |
| 3M Co | MMM | Shares | $295K | 2K |
| Crh Plc | Shares | $289K | 3K | |
| Oracle Corp | ORCL | Shares | $281K | 2K |
| Home Depot Inc | HD | Shares | $275K | 837 |
| Spdr Gold Tr | GLD | Shares | $269K | 626 |
| Norfolk Southn Corp | NSC | Shares | $263K | 916 |
| Apollo Global Mgmt Inc | APO | Shares | $262K | 2K |
| Lockheed Martin Corp | LMT | Shares | $260K | 431 |
| Oneok Inc New | OKE | Shares | $260K | 3K |
| Accenture Plc Ireland | Shares | $251K | 1K | |
| Sei Invts Co | SEIC | Shares | $251K | 3K |
| Vanguard Index Fds | VV | Shares | $247K | 827 |
| Ishares Tr | IYF | Shares | $235K | 2K |
| Aflac Inc | AFL | Shares | $228K | 2K |
| Netease Com Inc | NTES | Shares | $224K | 2K |
| Chubb Ltd Switz | Shares | $220K | 675 | |
| Medtronic Plc | Shares | $216K | 2K | |
| Dover Corp | DOV | Shares | $214K | 1K |
| Novartis Ag | NVS | Shares | $213K | 1K |
| Verizon Communications Inc | VZ | Shares | $209K | 4K |
| General Dynamics Corp | GD | Shares | $208K | 607 |
| At&T Inc | T | Shares | $203K | 7K |
| Cormedix Inc | CRMD | Shares | $194K | 29K |
| Wrap Technologies Inc | WRAP | Shares | $138K | 90K |
| I-80 Gold Corp | IAUX | Shares | $23K | 15K |
Values as reported in public regulatory filings (USD); holdings are reported quarterly, up to 45 days after quarter end, and may contain reporting errors. Nothing here is investment advice.