Cherry Creek Investment Advisors, Inc. Top Holdings and 13F Report (2026) About Cherry Creek Investment Advisors, Inc.Investment ActivityCherry Creek Investment Advisors, Inc. has $230.12 million in total holdings as of March 31, 2026.Cherry Creek Investment Advisors, Inc. owns shares of 124 different stocks, but just 33 companies or ETFs make up 80% of its holdings.Approximately 5.49% of the portfolio was purchased this quarter.About 3.54% of the portfolio was sold this quarter.This quarter, Cherry Creek Investment Advisors, Inc. has purchased 117 new stocks and bought additional shares in 58 stocks.Cherry Creek Investment Advisors, Inc. sold shares of 41 stocks and completely divested from 7 stocks this quarter.Largest Holdings Invesco Variable Rate Investment Grade ETF $17,048,169NVIDIA $13,414,384First Trust NASDAQ Technology Dividend Index Fund $12,935,010Amazon.com $12,410,112Apple $11,537,041 Largest New Holdings this Quarter 33739H101 - First Trust Global Tactical Commodity Strategy Fund $2,014,788 Holding78433H618 - NEOS ETF TRUST $1,934,735 Holding88588B100 - THRIVE SERIES TRUST $467,424 Holding92343V104 - Verizon Communications $343,988 Holding808524805 - Schwab International Equity ETF $342,293 Holding Largest Purchases this Quarter First Trust Global Tactical Commodity Strategy Fund 70,177 shares (about $2.01M)NEOS ETF TRUST 40,912 shares (about $1.93M)Micron Technology 4,202 shares (about $1.42M)QXO INC 36,554 shares (about $709.88K)THRIVE SERIES TRUST 19,118 shares (about $467.42K) Largest Sales this Quarter GraniteShares Gold Trust 11,775 shares (about $543.18K)NVIDIA 2,622 shares (about $457.28K)Eaton 1,233 shares (about $441.01K)Invesco Variable Rate Investment Grade ETF 15,880 shares (about $397.56K)Trade Desk 17,047 shares (about $386.80K) 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 PortfolioSectorVRIGInvesco Variable Rate Investment Grade ETF$17,048,169$397,556 â–¼-2.3%680,9737.4%ETFNVDANVIDIA$13,414,384$457,279 â–¼-3.3%76,9175.8%Computer and TechnologyTDIVFirst Trust NASDAQ Technology Dividend Index Fund$12,935,010$35,310 â–²0.3%138,1065.6%ManufacturingAMZNAmazon.com$12,410,112$55,191 â–²0.4%59,5875.4%Retail/WholesaleAAPLApple$11,537,041$304,294 â–¼-2.6%45,4595.0%Computer and TechnologyMSFTMicrosoft$10,557,303$99,576 â–²1.0%28,5204.6%Computer and TechnologyIBMInternational Business Machines$9,089,387$106,167 â–²1.2%37,4993.9%Computer and TechnologyWALMART INC$8,333,835$290,566 â–¼-3.4%67,0573.6%COMFVDFirst Trust Value Line Dividend Index Fund$8,144,595$328,833 â–²4.2%173,1793.5%ETFPALANTIR TECHNOLOGIES INC$6,584,355$223,223 â–²3.5%45,0122.9%CL AVRTVertiv$6,033,096$110,504 â–¼-1.8%24,0772.6%Computer and TechnologyABBVAbbVie$5,927,681$213,575 â–¼-3.5%27,2552.6%MedicalVVisa$4,623,584$88,857 â–¼-1.9%15,2982.0%Business ServicesTAT&T$4,456,999$206,901 â–²4.9%153,7431.9%Computer and TechnologyEQTEQT$4,386,454$19,474 â–²0.4%68,9261.9%EnergyCOSTCostco Wholesale$4,040,973$239,170 â–¼-5.6%4,0551.8%Retail/WholesaleVDEVanguard Energy ETF$3,994,111$60,910 â–²1.5%23,0821.7%ETFKOCocaCola$3,379,616$3,042 â–¼-0.1%44,4391.5%Consumer StaplesDLRDigital Realty Trust$3,377,986$9,191 â–²0.3%18,7451.5%FinanceEVERPURE INC$3,271,052$110,877 â–¼-3.3%55,4041.4%CL ABARGraniteShares Gold Trust$3,035,354$543,181 â–¼-15.2%65,8001.3%FinanceVOOVanguard S&P 500 ETF$2,858,441$60,348 â–¼-2.1%4,7841.2%ETFGOOGAlphabet$2,824,807$199,088 â–²7.6%9,8471.2%Computer and TechnologyLVHIFranklin International Low Volatility High Dividend Index ETF$2,592,486$245,591 â–²10.5%63,9491.1%ETFMDBMongoDB$2,510,116$296,906 â–¼-10.6%10,2551.1%Computer and TechnologyUPSUnited Parcel Service$2,498,569$55,978 â–²2.3%25,3971.1%TransportationQXO INC$2,353,510$709,879 â–²43.2%121,1901.0%COM NEWSDVYFirst Trust SMID Cap Rising Dividend Achievers ETF$2,331,721$125,702 â–¼-5.1%59,1361.0%ETFMGKVanguard Mega Cap Growth ETF$2,167,236$140,734 â–¼-6.1%5,8980.9%ETFMUMicron Technology$2,051,987$1,419,567 â–²224.5%6,0740.9%Computer and TechnologyFTGCFirst Trust Global Tactical Commodity Strategy Fund$2,014,788$2,014,788 â–²New Holding70,1770.9%ManufacturingNEOS ETF TRUST$1,934,735$1,934,735 â–²New Holding40,9120.8%REAL ESTATE HIGHMMM3M$1,509,132$17,864 â–¼-1.2%10,3910.7%Multi-Sector ConglomeratesSYMSymbotic$1,499,602$129,489 â–¼-7.9%28,1880.7%Business ServicesQQQInvesco QQQ$1,477,624$62,914 â–¼-4.1%2,5600.6%FinancePPHVanEck Pharmaceutical ETF$1,436,039$72,197 â–²5.3%13,8240.6%ManufacturingMYFWFirst Western Financial$1,276,6610.0%51,9390.6%FinanceGILDGilead Sciences$1,210,997$2,091 â–¼-0.2%8,6890.5%MedicalEMLPFirst Trust North American Energy Infrastructure Fund$1,204,823$7,771 â–²0.6%27,5960.5%ETFFTCSFirst Trust Capital Strength ETF$1,195,605$5,009 â–¼-0.4%12,8890.5%ETFROCKET LAB CORP$1,175,290$448,448 â–²61.7%18,3010.5%COMCSHINEOS Enhanced Income 1-3 Month T-Bill ETF$1,097,931$327,995 â–²42.6%22,0560.5%ETFCVXChevron$1,092,167$30,413 â–²2.9%5,2790.5%EnergySHOPIFY INC$1,051,804$58,361 â–¼-5.3%8,8670.5%CL A SUB VTG SHSBACBank of America$1,008,882$4,875 â–²0.5%20,6950.4%FinanceBROSDutch Bros$967,859$55,726 â–¼-5.4%19,1050.4%Retail/WholesaleMPLXMplx$934,331$43,829 â–²4.9%16,3720.4%EnergyMETAMeta Platforms$861,113$9,155 â–¼-1.1%1,5050.4%Computer and TechnologyBRK.ABerkshire Hathaway$718,1400.0%10.3%FinanceDFACDimensional U.S. Core Equity 2 ETF$705,5810.0%18,1570.3%ETFSYYSysco$704,215$4,708 â–²0.7%9,8730.3%Consumer StaplesORLYO'Reilly Automotive$680,694$4,246 â–¼-0.6%7,3740.3%Retail/WholesaleIWBiShares Russell 1000 ETF$660,566$1,782 â–²0.3%1,8530.3%ETFPGProcter & Gamble$652,194$46,080 â–²7.6%4,5150.3%Consumer StaplesIGLDFT Vest Gold Strategy Target Income ETF$633,434$9,344 â–¼-1.5%24,8110.3%ETFJPMJPMorgan Chase & Co.$630,756$5,590 â–²0.9%2,1440.3%FinanceVEAVanguard FTSE Developed Markets ETF$630,293$9,676 â–²1.6%9,8360.3%ETFVRTXVertex Pharmaceuticals$594,791$30,365 â–¼-4.9%1,3320.3%MedicalBMYBristol Myers Squibb$586,504$4,064 â–²0.7%9,6700.3%MedicalPFEPfizer$584,436$9,295 â–²1.6%20,8130.3%MedicalSOLSTICE ADVANCED MATLS INC$577,686$152,476 â–²35.9%7,5850.3%COM SHSCRWDCrowdStrike$573,512$27,329 â–²5.0%1,4690.2%Computer and TechnologyIBRXImmunityBio$572,036$465,208 â–²435.5%74,5810.2%MedicalCOPConocoPhillips$556,1350.0%4,2130.2%EnergyBABoeing$532,604$19,306 â–¼-3.5%2,6760.2%AerospaceNFLXNetflix$511,313$4,807 â–¼-0.9%5,3180.2%Consumer DiscretionaryARM HOLDINGS PLC$510,721$146,893 â–¼-22.3%3,3760.2%SPONSORED ADSMORGAN STANLEY ETF TRUST$492,483$2,496 â–²0.5%9,6680.2%EATON VANCE SHORBENFranklin Resources$486,056$2,433 â–²0.5%20,5780.2%FinanceNOBLProShares S&P 500 Aristocrats ETF$486,023$1,696 â–²0.4%4,5850.2%ETFGE VERNOVA INC$484,929$27,037 â–²5.9%5560.2%COMBRK.BBerkshire Hathaway$484,471$25,398 â–¼-5.0%1,0110.2%FinanceTHRIVE SERIES TRUST$467,424$467,424 â–²New Holding19,1180.2%PROSPERA INCOMEJEPIJPMorgan Equity Premium Income ETF$460,698$102,762 â–¼-18.2%8,1280.2%ETFHONHoneywell International$460,201$5,425 â–²1.2%2,0360.2%Multi-Sector ConglomeratesTTDTrade Desk$432,880$386,797 â–¼-47.2%19,0780.2%Computer and TechnologyMPCMarathon Petroleum$428,843$73,509 â–¼-14.6%1,7560.2%EnergyPEPPepsiCo$421,770$9,473 â–¼-2.2%2,7160.2%Consumer StaplesASTERA LABS INC$416,699$5,699 â–¼-1.3%3,8020.2%COMYUMYum! Brands$410,915$1,088 â–²0.3%2,6430.2%Retail/WholesaleORealty Income$405,053$1,468 â–²0.4%6,6210.2%FinanceCVCOCavco Industries$384,5260.0%7940.2%ConstructionSBRASabra Healthcare REIT$373,178$2,038 â–²0.5%19,4060.2%FinanceETNEaton$369,473$441,007 â–¼-54.4%1,0330.2%IndustrialsLMTLockheed Martin$366,393$1,814 â–²0.5%6060.2%AerospaceNTNXNutanix$356,192$30,408 â–¼-7.9%9,3710.2%Computer and TechnologyVZVerizon Communications$343,988$343,988 â–²New Holding6,8520.1%Computer and TechnologyWFCWells Fargo & Company$342,359$955 â–²0.3%4,3000.1%FinanceSCHFSchwab International Equity ETF$342,293$342,293 â–²New Holding13,8300.1%ETFFTSMFirst Trust Enhanced Short Maturity ETF$341,616$1,973 â–²0.6%5,7150.1%ManufacturingVEEVVeeva Systems$326,9030.0%1,8610.1%MedicalTSLATesla$285,601$9,297 â–²3.4%7680.1%Auto/Tires/TrucksPKGPackaging Corporation of America$280,157$20,163 â–¼-6.7%1,3200.1%IndustrialsVBRVanguard Small-Cap Value ETF$275,647$2,172 â–²0.8%1,2690.1%ETFAMGNAmgen$267,125$3,519 â–²1.3%7590.1%MedicalBINCiShares Flexible Income Active ETF$252,410$1,869 â–²0.7%4,8610.1%ETFROKRockwell Automation$250,686$717 â–²0.3%6990.1%Computer and TechnologyJPSTJPMorgan Ultra-Short Income ETF$250,435$10,224 â–¼-3.9%4,9480.1%ETFJNJJohnson & Johnson$248,209$2,445 â–²1.0%1,0150.1%MedicalLINDE PLC$247,491$496 â–²0.2%4990.1%SHSShowing largest 100 holdings. View all holdings. More Institutional Buying and Selling Information SEC Filings and Trading Data SEC Filings 13F Filings Top 13F Buys Top 13F Sells Get 30 Days of MarketBeat All Access for Free Sign up for MarketBeat All Access to gain access to MarketBeat's full suite of research tools. Start Your 30-Day Trial MarketBeat All Access Features Best-in-Class Portfolio Monitoring Get personalized stock ideas. Compare portfolio to indices. Check stock news, ratings, SEC filings, and more. Stock Ideas and Recommendations See daily stock ideas from top analysts. Receive short-term trading ideas from MarketBeat. Identify trending stocks on social media. Advanced Stock Screeners and Research Tools Use our seven stock screeners to find suitable stocks. Stay informed with MarketBeat's real-time news. Export data to Excel for personal analysis. Sign in to your free account to enjoy these benefits In-depth profiles and analysis for 20,000 public companies. 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