Crane Advisory, Llc Portfolio Stock Holdings

Crane Advisory, Llc disclosed 52 stock positions valued at approximately $668.1 million in its latest SEC 13F filing. The largest holdings include VANGUARD INDEX FDS, VANGUARD INDEX FDS, and PGIM ETF TR. The filing reflects positions held as of March 31, 2026 and was filed on April 21, 2026.

Report Period
March 31, 2026
No. of Stocks
52
Portfolio Value
$668.1M
Holdings by Sector
Crane Advisory, Llc Portfolio Holdings in Q1 2026

51 holdings in the latest reporting period.

Page 1 of 1
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
VANGUARD INDEX FDSVOOOther16.66%172,623-1,458-0.84%$111,317,586
VANGUARD INDEX FDSVUGOther13.38%183,782+8,696+4.97%$89,410,007
PGIM ETF TRPULSOther11.42%1,537,220+4,917+0.32%$76,292,236
SCHWAB STRATEGIC TRSCHROther10.41%2,791,682+8,465+0.30%$69,540,795
J P MORGAN EXCHANGE TRADED FJPSTOther9.04%1,194,881+22,848+1.95%$60,365,405
VANGUARD INDEX FDSVTVOther7.59%250,460-13,840-5.24%$50,738,211
FIDELITY MERRIMACK STR TRFBNDOther6.94%1,010,771+1,242+0.12%$46,374,164
VANGUARD SPECIALIZED FUNDSVIGOther4.63%137,671-433-0.31%$30,959,457
SPDR SERIES TRUSTSPTSOther4.31%988,122+10,010+1.02%$28,803,770
VANGUARD INDEX FDSVBOther2.67%63,769-2,225-3.37%$17,827,925
VANGUARD INDEX FDSVOOther2.63%58,103-238-0.41%$17,591,361
ISHARES TRIDEVOther2.37%178,638+22,466+14.39%$15,855,918
APPLE INCAAPLTechnology1.85%46,961-54-0.11%$12,369,614
ISHARES INCIEMGOther1.17%102,203+10,866+11.90%$7,832,864
ALPHABET INCGOOGCommunication Services0.82%16,373--$5,448,282
JOHNSON & JOHNSONJNJHealthcare0.33%9,346--$2,192,011
ISHARES TRSGOVOther0.30%19,654-2,859-12.70%$1,975,817
NVIDIA CORPORATIONNVDATechnology0.28%9,538-372-3.75%$1,891,874
META PLATFORMS INCMETACommunication Services0.25%2,466-10-0.40%$1,668,830
ALPHABET INCGOOGLCommunication Services0.24%4,812-73-1.49%$1,617,059
MICROSOFT CORPMSFTTechnology0.24%3,802-305-7.43%$1,597,893
INVESCO EXCHANGE TRADED FD TRSPTOther0.24%31,040--$1,571,245
AMAZON COM INCAMZNConsumer Cyclical0.21%5,636+105+1.90%$1,407,309
ISHARES TRIQLTOther0.19%25,472+132+0.52%$1,248,368
VANGUARD SCOTTSDALE FDSVONEOther0.16%3,468-3-0.09%$1,101,922
VANGUARD WORLD FDMGVOther0.16%7,126--$1,064,696
SPDR GOLD TRGLDOther0.14%2,108-21-0.99%$927,689
VANGUARD INDEX FDSVTIOther0.09%1,722--$595,864
REALTY INCOME CORPOReal Estate0.09%9,137--$590,616
CATERPILLAR INCCATIndustrials0.09%736--$568,678
EDISON INTLEIXUtilities0.08%7,656+69+0.91%$548,166
AON PLCAONFinancial Services0.08%1,631--$546,940
CHEVRON CORPORATIONCVXEnergy0.07%2,588-206-7.37%$486,932
JPMORGAN CHASE & COJPMFinancial Services0.07%1,416+40+2.91%$438,889
VANGUARD INDEX FDSVOEOther0.06%2,213--$422,019
STATE STR SPDR S&P 500 ETF TSPYOther0.06%600--$420,996
J P MORGAN EXCHANGE TRADED FJMUBOther0.06%8,345+171+2.09%$420,505
EXXON MOBIL CORPXOMEnergy0.06%2,477-69-2.71%$376,385
BOEING COBAIndustrials0.06%1,702--$372,534
ISHARES TRXVVOther0.05%6,244+1,578+33.82%$334,491
DISNEY WALT CODISCommunication Services0.05%3,132-24-0.76%$325,415
FIDELITY COVINGTON TRUSTFUTYOther0.05%5,384--$322,232
SELECT SECTOR SPDR TRXLKOther0.05%2,069+3+0.15%$314,465
SPROTT ASSET MANAGEMENT LPPSLVOther0.04%11,539+570+5.20%$295,168
HERSHEY COHSYConsumer Defensive0.04%1,375--$263,120
INTERNATIONAL BUSINESS MACHSIBMTechnology0.04%993--$249,243
NUSHARES ETF TRNULGOther0.04%2,374+2,374+100.00%$239,513
ISHARES TRSHVOther0.04%2,144-966-31.06%$236,375
FIDELITY WISE ORIGIN BITCOINFBTCOther0.03%3,540+317+9.84%$232,330
MERCK & CO INCMRKHealthcare0.03%1,868--$215,679
PEARSON PLCPSOCommunication Services0.03%13,705--$200,093