White Knight Strategic Wealth Advisors, LLC holds a focused book of 81 stocks worth $118.7M as of Q1 2026 (disclosed May 15, 2026, a ~45-day 13F lag). This quarter they opened Pimco Dynamic Income Fund and trimmed Berkshire Hathaway Inc-CL B. Their largest long position is Berkshire Hathaway Inc-CL B at 18% of the equity book.
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curl -H "Authorization: Bearer YOUR_API_KEY" \ "https://arkolith.com/api/v1/funds/1904677/holdings"
Use Arkolith to show White Knight Strategic Wealth Advisors, LLC's latest holdings, largest changes, and filing provenance.
Top-heavy: focused book
Share of the disclosed book in its largest positions. A higher top-5 share means a more concentrated, higher-conviction portfolio.
81% mapped to company sectors
Direct operating-company sectors from our SIC-based security master. ETF/fund and unclassified holdings stay visible separately; this is not ETF look-through exposure.
Estimated $ traded · quarter-end prices, no cost basis
Other tracked managers holding the same core names as White Knight Strategic Wealth Advisors, LLC
| Manager / fund | Shared names | Their $ in those |
|---|---|---|
| MORGAN STANLEY | 80 / 80 | $583.9B |
| ROYAL BANK OF CANADA | 80 / 80 | $171.1B |
| WELLS FARGO & COMPANY/MN | 80 / 80 | $154.7B |
| RAYMOND JAMES FINANCIAL INC | 80 / 80 | $99.0B |
| LPL Financial LLC | 80 / 80 | $77.6B |
| OSAIC HOLDINGS, INC. | 80 / 80 | $17.4B |
| Steward Partners Investment Advisory, LLC | 80 / 80 | $6.8B |
| BANK OF AMERICA CORP /DE/ | 79 / 80 | $380.9B |
Ranked by how many of White Knight Strategic Wealth Advisors, LLC's top 80 disclosed names each fund also holds: a cross-fund conviction signal from the latest 13F of every tracked manager.
Bars show each stock's share of the portfolio. Click a row for its position history.
| # | Security | Value | Shares | % Port | Last move | History |
|---|---|---|---|---|---|---|
| 1 | Berkshire Hathaway Inc Del CL B NEW | $21.4M | 44.6K | 18.0% | ▼−1.3% Reduced · −570 sh | |
| 2 | Nvidia Corporation COM | $7.8M | 44.9K | 6.6% | ▼−9.9% Reduced · −5K sh | |
| 3 | Tesla Inc COM | $6.4M | 17.3K | 5.4% | ▲+0.1% Added · +23 sh | |
| 4 | Johnson & Johnson COM | $6.3M | 25.8K | 5.3% | ▼−1.0% Reduced · −256 sh | |
| 5 | Apple Inc COM | $5.1M | 19.9K | 4.3% | ▼−7.3% Reduced · −2K sh | |
| 6 | Amazon Com Inc COM | $4.9M | 23.4K | 4.1% | ▼−4.9% Reduced · −1K sh | |
| 7 | Alphabet Inc CAP STK CL A | $4.0M | 13.9K | 3.4% | ▼−5.3% Reduced · −777 sh | |
| 8 | Alphabet Inc CAP STK CL C | $3.8M | 13.3K | 3.2% | ▼−1.6% Reduced · −210 sh | |
| 9 | Bitwise Bitcoin ETF TR SHS BEN INT | $3.4M | 92.5K | 2.9% | ▲+0.1% Added · +103 sh | |
| 10 | Microsoft Corp COM | $3.0M | 8.1K | 2.5% | ▼−6.9% Reduced · −601 sh | |
| 11 | Lam Research Corp COM NEW | $2.9M | 13.6K | 2.4% | ▼−18% Reduced · −3K sh | |
| 12 | Schwab Strategic TR US DIVIDEND EQ | $2.7M | 86.7K | 2.2% | ▼−4.3% Reduced · −4K sh | |
| 13 | Vaneck ETF Trust MRNGSTR WDE MOAT | $2.1M | 22.0K | 1.8% | ▼−13% Reduced · −3K sh | |
| 14 | Blackstone Inc COM | $1.9M | 16.6K | 1.6% | ▼−3.1% Reduced · −527 sh | |
| 15 | Vanguard Index FDS GROWTH ETF | $1.8M | 4.2K | 1.5% | ▼−0.2% Reduced · −10 sh | |
| 16 | State STR SPDR Dow Jones Ind UT SER 1 | $1.7M | 3.6K | 1.4% | —Held | |
| 17 | Verizon Communications Inc COM | $1.6M | 32.1K | 1.4% | ▼−10% Reduced · −4K sh | |
| 18 | Pacer FDS TR US CASH COWS 100 | $1.4M | 23.1K | 1.2% | ▼−14% Reduced · −4K sh | |
| 19 | Mercadolibre Inc COM | $1.3M | 780 | 1.1% | ▲+1.3% Added · +10 sh | |
| 20 | Invesco Exchange Traded FD T S&P 500 GARP ETF | $1.3M | 12.4K | 1.1% | ▼−14% Reduced · −2K sh | |
| 21 | Grayscale Bitcoin Trust ETF SHS REP COM UT | $1.2M | 23.6K | 1.0% | —Held | |
| 22 | Visa Inc COM CL A | $1.2M | 4.1K | 1.0% | ▼−6.4% Reduced · −280 sh | |
| 23 | Broadcom Inc COM | $1.2M | 3.8K | 1.0% | ▼−1.3% Reduced · −52 sh | |
| 24 | State STR SPDR S&P 500 ETF T TR UNIT | $1.1M | 1.7K | 0.9% | ▼−7.1% Reduced · −130 sh | |
| 25 | Amgen Inc COM | $1.1M | 3.1K | 0.9% | ▼−12% Reduced · −405 sh | |
| 26 | Exxon Mobil Corp COM | $995K | 5.9K | 0.8% | ▼−19% Reduced · −1K sh | |
| 27 | Mastercard Incorporated CL A | $983K | 2.0K | 0.8% | ▲+16% Added · +278 sh | |
| 28 | Pimco Dynamic Income FD SHS | $975K | 57.0K | 0.8% | ▲New New position | |
| 29 | Palantir Technologies Inc CL A | $973K | 6.6K | 0.8% | ▲+1.6% Added · +102 sh | |
| 30 | Meta Platforms Inc CL A | $954K | 1.7K | 0.8% | ▼−11% Reduced · −199 sh | |
| 31 | Home Depot Inc COM | $939K | 2.9K | 0.8% | ▼−5.0% Reduced · −149 sh | |
| 32 | J P Morgan Exchange Traded F EQUITY PREMIUM | $903K | 15.9K | 0.8% | ▼−20% Reduced · −4K sh | |
| 33 | Devon Energy Corp New COM | $850K | 16.9K | 0.7% | ▼−9.9% Reduced · −2K sh | |
| 34 | Schwab Strategic TR US LCAP GR ETF | $749K | 25.7K | 0.6% | —Held | |
| 35 | Sociedad Quimica Y Minera De SPON ADR SER B | $748K | 9.2K | 0.6% | ▼−3.4% Reduced · −325 sh | |
| 36 | Exchange Traded Concepts Tru EMQQ THE EMERGIN | $743K | 22.5K | 0.6% | ▼−18% Reduced · −5K sh | |
| 37 | Ishares TR CORE S&P SCP ETF | $739K | 5.9K | 0.6% | ▼−27% Reduced · −2K sh | |
| 38 | Amplify ETF TR CWP ENHANCED DIV | $702K | 15.6K | 0.6% | ▼−7.1% Reduced · −1K sh | |
| 39 | Constellation Energy Corp COM | $700K | 2.5K | 0.6% | ▲+15% Added · +336 sh | |
| 40 | Ishares TR RUS MD CP GR ETF | $653K | 5.1K | 0.6% | ▼−1.1% Reduced · −56 sh | |
| 41 | Costco Wholesale Corporation COM | $640K | 642 | 0.5% | ▼−27% Reduced · −238 sh | |
| 42 | Applied Digital Corp COM NEW | $632K | 26.6K | 0.5% | ▼−11% Reduced · −3K sh | |
| 43 | Advanced Micro Devices Inc COM | $593K | 2.9K | 0.5% | ▼−9.7% Reduced · −314 sh | |
| 44 | Ishares TR SELECT US REIT | $581K | 9.4K | 0.5% | ▼−15% Reduced · −2K sh | |
| 45 | American Express Co COM | $570K | 1.9K | 0.5% | ▼−2.2% Reduced · −43 sh | |
| 46 | Ark ETF TR INNOVATION ETF | $565K | 8.4K | 0.5% | ▼−13% Reduced · −1K sh | |
| 47 | Ishares Silver TR ISHARES | $564K | 8.3K | 0.5% | ▼−68% Reduced · −18K sh | |
| 48 | Pfizer Inc COM | $548K | 19.5K | 0.5% | ▼−22% Reduced · −6K sh | |
| 49 | Goldman Sachs ETF TR S&P 500 PREMIUM | $542K | 10.8K | 0.5% | ▼−27% Reduced · −4K sh | |
| 50 | Cal Maine Foods Inc COM NEW | $494K | 6.2K | 0.4% | ▲New New position |
As-of date vs the date the SEC received each filing
Holdings from SEC EDGAR 13F-HR filings, updated quarterly ~45 days after quarter-end. Public domain. The book and weighting are long equity only; disclosed put/call options are listed separately and excluded from those totals. Price-derived performance is withheld until the price-source policy and freshness gate are green.