Cherry Creek Investment Advisors, Inc. Top Holdings and 13F Report (2024) → Better than Bitcoin? The Biotech Stock with 46,751% Potential (From Behind the Markets) (Ad) About Cherry Creek Investment Advisors, Inc.Investment ActivityCherry Creek Investment Advisors, Inc. has $184.65 million in total holdings as of March 31, 2024.Cherry Creek Investment Advisors, Inc. owns shares of 104 different stocks, but just 30 companies or ETFs make up 80% of its holdings.Approximately 17.92% of the portfolio was purchased this quarter.About 17.50% of the portfolio was sold this quarter.This quarter, Cherry Creek Investment Advisors, Inc. has purchased 90 new stocks and bought additional shares in 40 stocks.Cherry Creek Investment Advisors, Inc. sold shares of 39 stocks and completely divested from 7 stocks this quarter.Largest Holdings Microsoft $12,424,519Invesco Variable Rate Investment Grade ETF $11,548,625Amazon.com $11,235,785First Trust NASDAQ Technology Dividend Index Fund $11,022,436Apple $9,508,107 Largest New Holdings this Quarter Invesco Variable Rate Investment Grade ETF $11,548,625 HoldingInvesco S&P 500 High Dividend Low Volatility ETF $2,078,645 HoldingGraniteshares Gold Trust $1,687,275 HoldingCapital Group Core Plus Income ETF $1,341,347 HoldingPalantir Technologies $1,257,036 Holding Largest Purchases this Quarter Invesco Variable Rate Investment Grade ETF 460,288 shares (about $11.55M)Pure Storage 41,187 shares (about $2.14M)Invesco S&P 500 High Dividend Low Volatility ETF 46,816 shares (about $2.08M)Graniteshares Gold Trust 76,834 shares (about $1.69M)Walmart 23,020 shares (about $1.39M) Largest Sales this Quarter Vertiv 87,982 shares (about $7.19M)First Trust Enhanced Short Maturity ETF 106,638 shares (about $6.36M)NVIDIA 2,890 shares (about $2.61M)Nutanix 26,346 shares (about $1.63M)Bristol-Myers Squibb 16,762 shares (about $908.99K) Sector Allocation Over TimeMap of 500 Largest Holdings ofCherry Creek Investment Advisors, Inc. Selling Neutral Buying Latest 13F Holdings and Changes Since Previous Quarterly FilingIssuer NameHoldings ValueApproximate Purchase/SaleChange in SharesShares Held% of PortfolioSectorMSFTMicrosoft$12,424,519$475,407 ▼-3.7%29,5326.7%Computer and TechnologyVRIGInvesco Variable Rate Investment Grade ETF$11,548,625$11,548,625 ▲New Holding460,2886.3%ETFAMZNAmazon.com$11,235,785$113,278 ▲1.0%62,2906.1%Retail/WholesaleTDIVFirst Trust NASDAQ Technology Dividend Index Fund$11,022,436$247,259 ▼-2.2%158,2096.0%ManufacturingAAPLApple$9,508,107$144,558 ▼-1.5%55,4475.1%Computer and TechnologyNVDANVIDIA$8,779,966$2,611,310 ▼-22.9%9,7174.8%Computer and TechnologyFTSLFirst Trust Senior Loan ETF$8,496,330$781,459 ▲10.1%183,8634.6%ManufacturingVRTVertiv$8,131,232$7,185,493 ▼-46.9%99,5624.4%Computer and TechnologyIBMInternational Business Machines$7,795,098$70,464 ▼-0.9%40,8214.2%Computer and TechnologyFVDFirst Trust Value Line Dividend Index Fund$6,251,822$415,670 ▲7.1%148,0423.4%ETFABBVAbbVie$5,005,215$262,589 ▼-5.0%27,4862.7%MedicalCOSTCostco Wholesale$4,294,866$216,135 ▲5.3%5,8622.3%Retail/WholesaleVVisa$4,142,927$29,582 ▼-0.7%14,8452.2%Business ServicesNTNXNutanix$3,692,337$1,626,075 ▼-30.6%59,8242.0%Computer and TechnologyGEHCGE HealthCare Technologies$3,588,702$872,925 ▲32.1%39,4751.9%MedicalVDEVanguard Energy ETF$3,321,635$293,167 ▲9.7%25,2211.8%ETFPSTGPure Storage$3,218,545$2,141,312 ▲198.8%61,9071.7%Computer and TechnologyKOCoca-Cola$2,870,302$28,326 ▲1.0%46,9161.6%Consumer StaplesSDVYFirst Trust SMID Cap Rising Dividend Archievers ETF$2,741,460$1,033,706 ▲60.5%78,7321.5%ETFDLRDigital Realty Trust$2,622,946$120,416 ▲4.8%18,2101.4%FinanceVOOVanguard S&P 500 ETF$2,356,317$482,127 ▲25.7%4,9021.3%ETFSPHDInvesco S&P 500 High Dividend Low Volatility ETF$2,078,645$2,078,645 ▲New Holding46,8161.1%ETFTTDTrade Desk$2,061,101$29,111 ▲1.4%23,5771.1%Computer and TechnologyWMTWalmart$2,014,428$1,385,111 ▲220.1%33,4791.1%Retail/WholesaleQQQInvesco QQQ$1,807,042$185,144 ▼-9.3%4,0701.0%FinanceMGKVanguard Mega Cap Growth ETF$1,805,945$67,067 ▲3.9%6,3011.0%ETFBARGraniteshares Gold Trust$1,687,275$1,687,275 ▲New Holding76,8340.9%FinanceFTCSFirst Trust Capital Strength ETF$1,625,814$83,423 ▼-4.9%18,9820.9%ETFVEEVVeeva Systems$1,456,403$53,289 ▼-3.5%6,2860.8%Computer and TechnologyCGCPCapital Group Core Plus Income ETF$1,341,347$1,341,347 ▲New Holding59,7220.7%ETFPLTRPalantir Technologies$1,257,036$1,257,036 ▲New Holding54,6300.7%Business ServicesVRTXVertex Pharmaceuticals$1,182,550$1,182,550 ▲New Holding2,8290.6%MedicalFTGCFirst Trust Global Tactical Commodity Strategy Fund$1,154,455$71,160 ▼-5.8%48,6700.6%ManufacturingMDBMongoDB$1,139,758$3,586 ▼-0.3%3,1780.6%Computer and TechnologyRDVIFT Vest Rising Dividend Achievers Target Income ETF$1,132,026$565,511 ▼-33.3%46,2430.6%ETFSHOPShopify$981,448$12,193 ▲1.3%12,7180.5%Computer and Technology3M CO$964,081$964,081 ▲New Holding9,0890.5%COM SHSJEPIJPMorgan Equity Premium Income ETF$865,715$67,755 ▼-7.3%14,9620.5%ETFSYYSysco$828,878$9,742 ▲1.2%10,2100.4%Consumer StaplesEMLPFirst Trust North American Energy Infrastructure Fund$788,505$23,831 ▲3.1%26,7020.4%ETFMRKMerck & Co., Inc.$761,699$18,736 ▼-2.4%5,7730.4%MedicalMYFWFirst Western Financial$757,271$109,365 ▼-12.6%51,9390.4%FinanceCVXChevron$742,356$30,603 ▲4.3%4,7060.4%Oils/EnergyPGProcter & Gamble$713,248$5,679 ▲0.8%4,3960.4%Consumer StaplesCSCOCisco Systems$703,466$42,423 ▼-5.7%14,0950.4%Computer and TechnologyBACBank of America$699,562$2,086 ▲0.3%18,4480.4%FinanceINTCIntel$677,717$4,240 ▼-0.6%15,3430.4%Computer and TechnologyRGENRepligen$670,756$136,836 ▼-16.9%3,6470.4%MedicalPEPPepsiCo$645,128$5,076 ▲0.8%3,6860.3%Consumer StaplesFTSMFirst Trust Enhanced Short Maturity ETF$622,921$6,357,872 ▼-91.1%10,4480.3%ManufacturingDFACDimensional U.S. Core Equity 2 ETF$580,1160.0%18,1570.3%ETFRXRXRecursion Pharmaceuticals$573,833$573,833 ▲New Holding57,5560.3%MedicalMPLXMplx$567,192$35,907 ▲6.8%13,6480.3%Oils/EnergyBMYBristol-Myers Squibb$560,132$908,988 ▼-61.9%10,3290.3%MedicalZTSZoetis$554,498$2,031 ▲0.4%3,2770.3%MedicalVEAVanguard FTSE Developed Markets ETF$552,385$75,457 ▲15.8%11,0100.3%ETFORLYO'Reilly Automotive$541,862$5,644 ▲1.1%4800.3%Retail/WholesaleIWBiShares Russell 1000 ETF$524,687$4,320 ▲0.8%1,8220.3%ETFBRK.BBerkshire Hathaway$518,081$518,081 ▲New Holding1,2320.3%FinanceLGOVFirst Trust Long Duration Opportunities ETF$515,957$515,957 ▲New Holding24,1330.3%ETFGILDGilead Sciences$491,034$1,831 ▼-0.4%6,7040.3%MedicalMPCMarathon Petroleum$487,857$120,302 ▼-19.8%2,4210.3%Oils/EnergyNOBLProShares S&P 500 Aristocrats ETF$476,330$308,088 ▼-39.3%4,6970.3%ETFIGLDFT Vest Gold Strategy Target Income ETF$438,936$191,547 ▼-30.4%22,2920.2%ETFGOOGAlphabet$421,857$152 ▲0.0%2,7710.2%Computer and TechnologyHUBSHubSpot$404,758$6,266 ▼-1.5%6460.2%Computer and TechnologyJPSTJPMorgan Ultra-Short Income ETF$399,514$44,547 ▼-10.0%7,9190.2%ETFVCSHVanguard Short-Term Corporate Bond ETF$397,296$159,336 ▲67.0%5,1390.2%ETFBROSDutch Bros$394,746$394,746 ▲New Holding11,9620.2%Consumer StaplesLMTLockheed Martin$385,707$2,729 ▲0.7%8480.2%AerospaceYUMYum! Brands$372,642$3,604 ▲1.0%2,6880.2%Retail/WholesaleDOCNDigitalOcean$363,703$363,703 ▲New Holding9,5260.2%Computer and TechnologyJPMJPMorgan Chase & Co.$361,550$4,807 ▲1.3%1,8050.2%FinanceVALUED ADVISERS TR$324,650$324,650 ▲New Holding12,8440.2%REGAN FLTG RATECVCOCavco Industries$323,239$2,394 ▲0.7%8100.2%ConstructionGOOGLAlphabet$316,9530.0%2,1000.2%Computer and TechnologyEFXEquifax$309,981$1,070 ▲0.3%1,1590.2%Business ServicesTGTTarget$305,371$305,371 ▲New Holding1,7230.2%Retail/WholesaleMKCMcCormick & Company, Incorporated$304,270$28,345 ▼-8.5%3,9610.2%Consumer StaplesLANDGladstone Land$298,627$567,559 ▼-65.5%22,3860.2%FinancePAYXPaychex$298,150$4,298 ▲1.5%2,4280.2%Business ServicesPKGPackaging Co. of America$293,398$380 ▲0.1%1,5460.2%Industrial ProductsLINDE PLC$291,230$27,869 ▲10.6%6270.2%SHSHONHoneywell International$288,341$47,817 ▼-14.2%1,4050.2%Multi-Sector ConglomeratesPANWPalo Alto Networks$280,436$4,546 ▲1.6%9870.2%Computer and TechnologyAJGArthur J. Gallagher & Co.$260,771$1,250 ▲0.5%1,0430.1%FinanceINNSummit Hotel Properties$259,165$2,376 ▲0.9%39,8100.1%FinanceMELIMercadoLibre$254,463$210,538 ▼-45.3%1680.1%Retail/WholesaleSHYGiShares 0-5 Year High Yield Corporate Bond ETF$248,492$248,492 ▲New Holding5,8400.1%ETFWFCWells Fargo & Company$244,759$120,206 ▼-32.9%4,2230.1%FinanceAMGNAmgen$241,469$26,451 ▼-9.9%8490.1%MedicalIVOOVanguard S&P Mid-Cap 400 ETF$240,116$240,116 ▲New Holding2,3310.1%ETFCHDNChurchill Downs$238,926$48,379 ▼-16.8%1,9310.1%Consumer DiscretionaryFCXFreeport-McMoRan$229,102$229,102 ▲New Holding4,8720.1%Basic MaterialsIJRiShares Core S&P Small-Cap ETF$224,245$224,245 ▲New Holding2,0290.1%ETFNDAQNasdaq$215,423$215,423 ▲New Holding3,4140.1%FinanceSBRASabra Health Care REIT$210,435$60,396 ▲40.3%14,2470.1%FinanceFIWFirst Trust Water ETF$207,619$207,619 ▲New Holding2,0330.1%ETFDISWalt Disney$203,861$115,391 ▼-36.1%1,6660.1%Consumer DiscretionaryORCLOracle$201,459$201,459 ▲New Holding1,6040.1%Computer and TechnologyShowing largest 100 holdings. 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