Myriad Asset Management Advisors Llc Portfolio Stock Holdings

Myriad Asset Management Advisors Llc disclosed 47 stock positions valued at approximately $339.4 million in its latest SEC 13F filing. The largest holdings include ISHARES CORE MSCI EMERGING ETF, ISHARES MSCI EMERGING MARKETS ETF, and ISHARES GOLD TR MICRO UNDIV BENF ETV. The filing reflects positions held as of March 31, 2026 and was filed on April 30, 2026.

Report Period
March 31, 2026
No. of Stocks
47
Portfolio Value
$339.4M
Holdings by Sector
Myriad Asset Management Advisors Llc Portfolio Holdings in Q1 2026

47 holdings in the latest reporting period.

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CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
ISHARES CORE MSCI EMERGING ETFIEMGOther23.45%1,141,003+628,768+122.75%$79,585,000
ISHARES MSCI EMERGING MARKETS ETFEMXCOther17.25%744,373+266,065+55.63%$58,552,000
ISHARES GOLD TR MICRO UNDIV BENF ETVIAUMOther10.70%777,371-115,875-12.97%$36,303,000
NVIDIA ORDNVDATechnology5.18%100,752+538+0.54%$17,572,000
ALPHABET CL A ORDGOOGLCommunication Services4.02%47,450-7,237-13.23%$13,645,000
MICROSOFT ORDMSFTTechnology3.27%30,011-6,842-18.57%$11,109,000
AMAZON COM ORDAMZNConsumer Cyclical2.99%48,674-19,635-28.74%$10,137,000
FREEPORT MCMORAN ORDFCXBasic Materials2.22%128,297+750+0.59%$7,541,000
JPMORGAN CHASE ORDJPMFinancial Services1.66%19,123-4,692-19.70%$5,625,000
BROADCOM ORDAVGOTechnology1.62%17,721-5,949-25.13%$5,485,000
BHP GROUP ADRBHPBasic Materials1.56%72,587+72,587+100.00%$5,280,000
ASML HOLDING ADR REP ORDASMLOther1.54%3,957+2,064+109.03%$5,227,000
META PLATFORMS CL A ORDMETACommunication Services1.46%8,648-5,571-39.18%$4,948,000
TAIWAN SEMICONDUCTOR MNFTG ADR 5 ORDTSMTechnology1.33%13,314-21,881-62.17%$4,510,000
CATERPILLAR ORDCATIndustrials1.25%5,978+36+0.61%$4,235,000
MORGAN STANLEY ORDMSFinancial Services1.18%24,277-4,243-14.88%$3,995,000
GOLDMAN SACHS GROUP ORDGSFinancial Services1.10%4,413-1,306-22.84%$3,733,000
HSBC HOLDINGS ADR REP 5 ORDHSBCFinancial Services1.03%41,198+41,198+100.00%$3,491,000
EATON ORDETNOther1.01%9,611+54+0.57%$3,438,000
CITIGROUP ORDCFinancial Services1.00%29,922-620-2.03%$3,393,000
BANK OF AMERICA ORDBACFinancial Services1.00%69,600+406+0.59%$3,393,000
TECK RESOURCES CL B ORDTECKBasic Materials0.99%64,726+379+0.59%$3,351,000
MICRON TECHNOLOGY ORDMUTechnology0.96%9,597-2,069-17.74%$3,244,000
MARTIN MARIETTA MATERIALS ORDMLMBasic Materials0.94%5,440+36+0.67%$3,202,000
VULCAN MATERIALS ORDVMCBasic Materials0.91%11,384+63+0.56%$3,100,000
VALE ADR REPTG ONE ORDVALEBasic Materials0.87%185,583+185,583+100.00%$2,953,000
LAM RESEARCH ORDLRCXOther0.81%12,832+72+0.56%$2,745,000
WELLS FARGO ORDWFCFinancial Services0.63%26,905+156+0.58%$2,142,000
BANCO SANTANDER ADR REP 1 ORDSANFinancial Services0.60%179,100+179,100+100.00%$2,020,000
ALCOA ORDAABasic Materials0.58%29,600+29,600+100.00%$1,963,000
DEERE ORDDEIndustrials0.57%3,425+18+0.53%$1,935,000
ADVANCED MICRO DEVICES ORDAMDTechnology0.53%8,867+54+0.61%$1,804,000
PULTEGROUP ORDPHMConsumer Cyclical0.53%15,253+90+0.59%$1,798,000
US BANCORP ORDUSBFinancial Services0.53%33,945+33,945+100.00%$1,783,000
PNC FINANCIAL SERVICES GROUP ORDPNCFinancial Services0.52%8,514+8,514+100.00%$1,772,000
D R HORTON ORDDHIConsumer Cyclical0.50%12,294+72+0.59%$1,687,000
UNION PACIFIC ORDUNPIndustrials0.49%6,880+6,880+100.00%$1,669,000
CAMECO ORDCCJEnergy0.44%13,764-22,670-62.22%$1,495,000
BANCO BILBAO VIZCAYA ARGENTARIA ADRBBVAFinancial Services0.43%67,003+67,003+100.00%$1,451,000
LENNAR CL A ORDLENConsumer Cyclical0.38%14,786+90+0.61%$1,284,000
TRUIST FINANCIAL ORDTFCFinancial Services0.37%27,141+27,141+100.00%$1,248,000
MP MATERIALS CL A ORDMPBasic Materials0.35%24,473+144+0.59%$1,181,000
FIFTH THIRD BANCORP ORDFITBFinancial Services0.28%20,563+20,563+100.00%$964,000
CSX ORDCSXIndustrials0.26%21,448+21,448+100.00%$880,000
CITIZENS FINANCIAL GROUP ORDCFGFinancial Services0.25%14,387+14,387+100.00%$863,000
M&T BANK ORDMTBFinancial Services0.25%4,120+4,120+100.00%$852,000
HUNTINGTON BANCSHARES ORDHBANFinancial Services0.24%50,867+50,867+100.00%$804,000