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VOL. XII · NO. 117Established MMXIV · George Town, Grand CaymanAtlantic Edition · $4.50

The Cayman Journal

Finance · Business · Technology · Caribbean & Global Affairs
13F HOLDINGS REPORT

Meadow Creek Wealth Advisors LLC

Quarter ended Q4 2024 · Filed January 27, 2025 · Accession 0001062993-25-001111

Total Value
$138.9M
Positions
137
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (137)

#IssuerTicker / CUSIPSharesValue% of Filing
1SONOCO PRODUCTS COMPANY835495102238,936$11.7M8.40%
2ISHARES TR CORE S&P500 ETF46428720019,820$11.7M8.40%
3COCA COLA COMPANYKO142,838$8.9M6.40%
4NVIDIA CORPORATIONNVDA41,916$5.6M4.05%
5APPLE INCORPORATEDAAPL21,413$5.4M3.86%
6MICROSOFT CORPORATIONMSFT11,772$5.0M3.57%
7JPMORGAN EQUITY PREMIUM INCOME ETF46641Q33272,068$4.1M2.98%
8BROADCOM INCORPORATEDAVGO16,927$3.9M2.82%
9JPMORGAN CHASE & COMPANY.VYLD12,105$2.9M2.09%
10AMAZON COM INCORPORATEDAMZN12,301$2.7M1.94%
11WALMART INCORPORATEDWMT27,389$2.5M1.78%
12INVESCO S&P 500 EQUAL WEIGHT ETFIVZ13,371$2.3M1.69%
13AVANTIS U.S. SMALL CAP VALUE ETF02507287723,917$2.3M1.66%
14HOME DEPOT INCORPORATEDHD5,892$2.3M1.65%
15PRINCIPAL SPECTRUM PREFERRED SECURITIES ACTIVE ETF74255Y888105,918$2.0M1.42%
16BANK AMERICA CORPORATION06050510441,140$1.8M1.30%
17META PLATFORMS INCORPORATED CLASS AMETA3,084$1.8M1.30%
18ALPHABET INCORPORATED CAP STK CLASS AGOOG8,954$1.7M1.22%
19EATON CORPORATION PLC SHSETN4,891$1.6M1.17%
20PROCTER AND GAMBLE COMPANY7427181099,564$1.6M1.15%
21VISA INCORPORATED COM CLASS AV4,629$1.5M1.05%
22ELI LILLY & COMPANYLLY1,866$1.4M1.04%
23UNITEDHEALTH GROUP INCORPORATEDUNH2,766$1.4M1.01%
24MERCK & COMPANY INCORPORATEDMRK13,450$1.3M0.96%
25COSTCO WHOLESALE CORPORATION NEW22160K1051,387$1.3M0.92%
26NETFLIX INCORPORATEDNFLX1,356$1.2M0.87%
27CHUBB LIMITEDCB4,239$1.2M0.84%
28SALESFORCE INCORPORATEDCRM3,409$1.1M0.82%
29MCDONALDS CORPORATIONMCD3,794$1.1M0.79%
30EXXON MOBIL CORPORATIONXOM10,195$1.1M0.79%
31ISHARES TR CORE S&P MCP ETF46428750717,424$1.1M0.78%
32MOTOROLA SOLUTIONS INCORPORATED COM NEWMSI2,299$1.1M0.76%
33ALPHABET INCORPORATED CAP STK CLASS CGOOG5,542$1.1M0.76%
34TRANSDIGM GROUP INCORPORATEDTDG793$1.0M0.72%
35JOHNSON & JOHNSONJNJ6,648$961,4340.69%
36CISCO SYSTEMS INCORPORATEDCSCO16,029$948,9170.68%
37ABBVIE INCORPORATEDABBV4,824$857,2250.62%
38CHEVRON CORPORATION NEWCVX5,682$822,9810.59%
39FIRST TRUST LONG/SHORT EQUITY ETF33739P10311,662$767,4760.55%
40UNION PAC CORPORATIONUNP3,307$754,0700.54%
41CME GROUP INCORPORATEDCME3,082$715,7090.52%
42MASTERCARD INCORPORATED CLASS AMA1,316$692,8760.50%
43HONEYWELL INTERNATIONAL INCORPORATED4385161062,775$626,8450.45%
44MARATHON PETE CORPORATIONMARA4,413$615,6140.44%
45AUTOMATIC DATA PROCESSING INCORPORATEDADP2,042$597,7550.43%
46EMERSON ELEC COMPANYEMR4,815$596,7230.43%
47AIR PRODUCTS & CHEMICALS INCORPORATEDAIIR2,052$595,0600.43%
48INTUITINTU941$591,4660.43%
49CATERPILLAR INCORPORATEDCAT1,603$581,5040.42%
50STARBUCKS CORPORATIONSBUX6,228$568,3050.41%
51ORACLE CORPORATIONORCL-PD3,302$550,2450.40%
52VERIZON COMMUNICATIONS INCORPORATEDVZ13,260$530,2820.38%
53RTX CORPORATIONRTX4,552$526,7570.38%
54COMCAST CORPORATION NEW CLASS ACCZ14,014$525,9410.38%
55ALLSTATE CORPORATIONALL-PJ2,693$519,1830.37%
56ROPER TECHNOLOGIES INCORPORATEDROP994$516,8970.37%
57AT&T INCORPORATEDT-PC21,822$496,8870.36%
58AMGEN INCORPORATEDAMGN1,886$491,5670.35%
59AMERICAN EXPRESS COMPANYAXP1,645$488,2200.35%
60TARGET CORPORATIONTGT3,593$485,7020.35%
61EQUINIX INCORPORATED REITEQIX514$484,6450.35%
62BRISTOL-MYERS SQUIBB COMPANYCELG-RI8,482$479,7420.35%
63TESLA INCORPORATEDTSLA1,185$478,5500.34%
64DANAHER CORPORATION2358511022,041$468,5580.34%
65INTERNATIONAL BUSINESS MACHINESINTR2,116$465,1600.33%
66MEDTRONIC PLC SHSMDT5,585$446,1590.32%
67KKR & COMPANY INCORPORATEDKKRT2,959$437,7000.32%
68LOCKHEED MARTIN CORPORATIONLMT889$432,0010.31%
69FIFTH THIRD BANCORPFITBM10,151$429,1840.31%
70ISHARES TR RUSSELL 2000 ETF4642876551,938$428,2200.31%
71QUALCOMM INCORPORATEDQCOM2,779$426,9100.31%
72INTERCONTINENTAL EXCHANGE INCORPORATED45866F1042,813$419,1650.30%
73ABBOTT LABSABLZF3,706$419,1520.30%
74SPDR S&P 500 ETFSPY668$391,6920.28%
75PEPSICO INCORPORATEDPEP2,573$391,2500.28%
76BROOKFIELD CORPORATION CLASS A LTD VT SH11271J1076,757$388,2150.28%
77VANGUARD INDEX FUNDS S&P 500 ETF SHS NEW922908363713$384,1720.28%
78PFIZER INCORPORATEDPFE14,084$373,6490.27%
79GOLDMAN SACHS GROUP INCORPORATEDGSCE651$372,7760.27%
80WESTERN ASSET INVESTMENT GRADE95766T10029,532$369,4450.27%
81PROGRESSIVE CORPORATION7433151031,521$364,4800.26%
82ISHARES TR USD INV GRDE ETF4642886207,201$362,0660.26%
83ISHARES TR A RATE CP BD ETF46429B2917,667$358,7390.26%
84NXP SEMICONDUCTORS N VNXPI1,724$358,3330.26%
85ISHARES TR IBOXX INV CP ETF4642872423,279$350,3280.25%
86ISHARES TR CORE US AGGBD ET4642872263,605$349,3250.25%
87S&P GLOBAL INCORPORATEDSPGI694$345,6330.25%
88AUTOZONE INCORPORATEDAZO107$342,6140.25%
89ADOBE INCORPORATEDADBE763$339,2910.24%
90ANALOG DEVICES INCORPORATEDADI1,579$335,4740.24%
91OREILLY AUTOMOTIVE INCORPORATED67103H107275$326,0950.23%
92MORGAN STANLEY COM NEWMS-PQ2,577$323,9800.23%
93ISHARES TR 10plus YR INVST GRD4642895116,474$319,8160.23%
94PAYPAL HLDGS INCORPORATEDPYPL3,686$314,6000.23%
95LINDE PLC SHSLIN738$308,7730.22%
96VALERO ENERGY CORPORATIONVLO2,468$302,5520.22%
97BLACKROCK INCORPORATEDBLK291$298,3070.21%
98HILTON WORLDWIDE HLDGS INCORPORATEDHLT1,194$295,1820.21%
99KLA CORPORATION COM NEWKLAC467$294,2660.21%
100TJX COMPANIES INCORPORATED NEW8725401092,426$293,1290.21%
101MCKESSON CORPORATIONMCK506$288,3740.21%
102SERVICENOW INCORPORATEDNOW265$280,9320.20%
103SCHWAB US DIVIDEND EQUITY ETF80852479710,005$273,3370.20%
104BERKSHIRE HATHAWAY INCORPORATED DEL CLASS B NEWBRK-A594$269,2480.19%
105TAIWAN SEMICONDUCTOR MFG LIMITED SPONSORED ADS8740391001,331$262,8590.19%
106DISNEY WALT COMPANY2546871062,354$262,1180.19%
107WELLS FARGO COMPANY NEW9497461013,692$259,3260.19%
108SOUTHERN COMPANYSOMN3,139$258,4020.19%
109PARKER-HANNIFIN CORPORATIONPH404$256,9560.18%
110GENERAL MLS INCORPORATED3703341043,988$254,3150.18%
111COPART INCORPORATEDCPRT4,416$253,4340.18%
112ACCENTURE PLC IRELAND SHS CLASS AACN719$252,9370.18%
113SPOTIFY TECHNOLOGY S A SHSSPOT560$250,5330.18%
114BECTON DICKINSON & COMPANYBDX1,102$250,0110.18%
115INTUITIVE SURGICAL INCORPORATED COM NEWISRG472$246,3650.18%
116UNITED PARCEL SERVICE INCORPORATED CLASS BUPS1,925$242,7430.17%
117TRANE TECHNOLOGIES PLC SHSTT647$238,9690.17%
118AMERICAN TOWER CORPORATION NEW REIT03027X1001,289$236,3980.17%
119MONDELEZ INTERNATIONAL INCORPORATED CLASS A6092071053,906$233,3020.17%
120LOWES COMPANIES INCORPORATED548661107943$232,7320.17%
121INTERACTIVE BROKERS GROUP INCORPORATED COM CLASS A45841N1071,311$231,6140.17%
122MARSH & MCLENNAN COMPANIES INCORPORATED5717481021,088$231,1020.17%
123HCA HEALTHCARE INCORPORATEDHCA765$229,6150.17%
124SHERWIN WILLIAMS COMPANYSHW664$225,7140.16%
125ASTRAZENECA PLC SPONSORED ADRAZN3,382$221,5890.16%
126DIGITAL RLTY TR INCORPORATED REIT2538681031,246$220,9530.16%
127NORTHROP GRUMMAN CORPORATIONNOC471$220,8700.16%
128REGIONS FINANCIAL CORPORATION NEWRF-PF9,372$220,4290.16%
129JOHNSON CONTROLS INTERNATIONAL PLC SHSG515021052,776$219,1100.16%
130FAIR ISAAC CORPORATIONFICO110$219,0020.16%
131BLACKSTONE INCORPORATEDBX1,262$217,5940.16%
132HEICO CORPORATION NEW CLASS AHEI-A1,159$215,6670.16%
133NUVEEN MUNICIPAL CREDIT INC FD COM SH BEN INTNU17,425$212,0620.15%
134CHARTER COMMUNICATIONS INCORPORATED CLASS A16119P108607$208,0610.15%
135ARISTA NETWORKS INCORPORATED COM SHSANET1,876$207,3540.15%
136IQVIA HLDGS INCORPORATEDIQV1,042$204,7630.15%
137BLACKROCK INCOME TR INCORPORATED COM NEWBLK17,093$196,9110.14%