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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 Q3 2025 · Filed October 27, 2025 · Accession 0001062993-25-016302

Total Value
$150.7M
Positions
137
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (137)

#IssuerTicker / CUSIPSharesValue% of Filing
1ISHARES TR CORE S&P500 ETF46428720020,971$13.9M9.24%
2COCA COLA COMPANYKO143,333$9.7M6.43%
3SONOCO PRODUCTS COMPANY835495102238,986$9.6M6.37%
4NVIDIA CORPORATIONNVDA39,944$7.3M4.82%
5MICROSOFT CORPORATIONMSFT12,484$6.4M4.24%
6BROADCOM INCORPORATEDAVGO16,706$5.9M3.93%
7APPLE INCORPORATEDAAPL20,506$5.1M3.37%
8FT VEST RISING DIVIDEND ACHIEVERS TARGET33738D879167,966$4.2M2.82%
9JPMORGAN CHASE & COMPANY.VYLD11,649$3.5M2.31%
10ELI LILLY & COMPANYLLY3,664$3.0M1.99%
11WALMART INCORPORATEDWMT28,172$3.0M1.99%
12INVESCO S&P 500 EQUAL WEIGHT ETFIVZ14,030$2.6M1.74%
13PRINCIPAL SPECTRUM PREFERRED SECURITIES ACTIVE ETF74255Y888136,569$2.6M1.73%
14AMAZON COM INCORPORATEDAMZN11,149$2.4M1.59%
15AVANTIS U.S. SMALL CAP VALUE ETF02507287724,032$2.3M1.55%
16META PLATFORMS INCORPORATED CLASS AMETA3,204$2.3M1.51%
17ALPHABET INCORPORATED CAP STK CLASS AGOOG8,859$2.2M1.48%
18HOME DEPOT INCORPORATEDHD5,560$2.2M1.43%
19EATON CORPORATION PLC SHSETN4,561$1.7M1.14%
20VISA INCORPORATED COM CLASS AV4,657$1.6M1.04%
21EXXON MOBIL CORPORATIONXOM12,824$1.4M0.94%
22JOHNSON & JOHNSONJNJ7,278$1.4M0.93%
23NETFLIX INCORPORATEDNFLX1,114$1.3M0.88%
24ABBVIE INCORPORATEDABBV5,686$1.3M0.86%
25COSTCO WHOLESALE CORPORATION NEW22160K1051,387$1.3M0.85%
26PROCTER AND GAMBLE COMPANY7427181098,418$1.3M0.84%
27BANK AMERICA CORPORATION06050510424,360$1.2M0.82%
28CHUBB LIMITEDCB4,391$1.2M0.78%
29ALPHABET INCORPORATED CAP STK CLASS CGOOG4,644$1.2M0.78%
30MCDONALDS CORPORATIONMCD3,588$1.1M0.73%
31ORACLE CORPORATIONORCL-PD3,423$1.1M0.71%
32CISCO SYSTEMS INCORPORATEDCSCO15,437$1.1M0.71%
33MOTOROLA SOLUTIONS INCORPORATED COM NEWMSI2,388$1.0M0.69%
34FIRST TRUST LONG/SHORT EQUITY ETF33739P10314,180$973,0320.65%
35MERCK & COMPANY INCORPORATEDMRK11,157$936,2950.62%
36TRANSDIGM GROUP INCORPORATEDTDG742$926,5850.62%
37UNITEDHEALTH GROUP INCORPORATEDUNH2,541$906,1420.60%
38CHEVRON CORPORATION NEWCVX5,551$842,1420.56%
39CATERPILLAR INCORPORATEDCAT1,503$813,0630.54%
40SALESFORCE INCORPORATEDCRM3,103$763,3380.51%
41MARATHON PETE CORPORATIONMARA4,100$742,7150.49%
42MASTERCARD INCORPORATED CLASS AMA1,314$722,4480.48%
43REGIONS FINANCIAL CORPORATION NEWRF-PF30,665$716,0280.48%
44ISHARES TR CORE S&P MCP ETF46428750710,998$707,6110.47%
45RTX CORPORATIONRTX4,445$698,0870.46%
46EMERSON ELEC COMPANYEMR5,352$689,8190.46%
47UNION PAC CORPORATIONUNP3,053$683,9370.45%
48INTERNATIONAL BUSINESS MACHINESINTR2,343$646,5980.43%
49AMERICAN EXPRESS COMPANYAXP1,882$608,1120.40%
50TESLA INCORPORATEDTSLA1,382$592,5330.39%
51AT&T INCORPORATEDT-PC22,130$579,8060.38%
52AUTOMATIC DATA PROCESSING INCORPORATEDADP1,987$556,6780.37%
53AIR PRODUCTS & CHEMICALS INCORPORATEDAIIR2,172$549,8180.36%
54MEDTRONIC PLC SHSMDT5,769$548,3200.36%
55AMGEN INCORPORATEDAMGN1,849$546,9530.36%
56ANALOG DEVICES INCORPORATEDADI2,253$544,3470.36%
57ALLSTATE CORPORATIONALL-PJ2,778$541,3770.36%
58VERIZON COMMUNICATIONS INCORPORATEDVZ13,406$541,0810.36%
59ABBOTT LABSABLZF4,188$534,4770.35%
60KLA CORPORATION COM NEWKLAC473$519,7320.34%
61HONEYWELL INTERNATIONAL INCORPORATED4385161062,447$497,1570.33%
62GOLDMAN SACHS GROUP INCORPORATEDGSCE637$482,9030.32%
63BROOKFIELD CORPORATION CLASS A LTD VT SH11271J10710,919$480,6740.32%
64STARBUCKS CORPORATIONSBUX5,511$464,7980.31%
65CME GROUP INCORPORATEDCME1,770$464,6740.31%
66QUALCOMM INCORPORATEDQCOM2,800$459,4240.30%
67ROPER TECHNOLOGIES INCORPORATEDROP907$453,5730.30%
68DANAHER CORPORATION2358511022,126$448,4590.30%
69INTUITINTU690$446,4230.30%
70SPDR S&P 500 ETFSPY672$444,0070.29%
71MORGAN STANLEY COM NEWMS-PQ2,762$441,9750.29%
72VANGUARD INDEX FUNDS S&P 500 ETF SHS NEW922908363713$433,0690.29%
73EQUINIX INCORPORATED REITEQIX523$425,0790.28%
74FIFTH THIRD BANCORPFITBM10,451$421,8020.28%
75INTERCONTINENTAL EXCHANGE INCORPORATED45866F1042,654$407,0170.27%
76CINTAS CORPORATIONCTAS2,120$390,8430.26%
77AUTOZONE INCORPORATEDAZO96$384,7590.26%
78ISHARES TR USD INV GRDE ETF4642886207,159$375,9910.25%
79ISHARES TR A RATE CP BD ETF46429B2917,625$372,3290.25%
80WESTERN ASSET INVESTMENT GRADE95766T10029,266$371,3860.25%
81ISHARES TR IBOXX INV CP ETF4642872423,262$366,7140.24%
82NXP SEMICONDUCTORS N VNXPI1,654$359,5960.24%
83SOUTHERN COMPANYSOMN3,641$358,3840.24%
84TAIWAN SEMICONDUCTOR MFG LIMITED SPONSORED ADS8740391001,190$356,8100.24%
85LOCKHEED MARTIN CORPORATIONLMT723$356,6200.24%
86PEPSICO INCORPORATEDPEP2,333$356,1790.24%
87ISHARES TR CORE US AGGBD ET4642872263,515$355,3670.24%
88TJX COMPANIES INCORPORATED NEW8725401092,471$352,2920.23%
89BRISTOL-MYERS SQUIBB COMPANYCELG-RI8,005$347,3370.23%
90VALERO ENERGY CORPORATIONVLO2,212$345,9350.23%
91FIRST TRUST WCM INTERNATIONAL EQUITY ETF33733E73220,734$345,8850.23%
92BLACKROCK INCORPORATEDBLK294$344,3800.23%
93JOHNSON CONTROLS INTERNATIONAL PLC SHSG515021053,134$342,7660.23%
94FIRST TRUST MORNINGSTAR DIVIDEND LEADERS INDEX FUND3369171098,088$342,6890.23%
95DISNEY WALT COMPANY2546871063,118$342,6060.23%
96ISHARES TR 10plus YR INVST GRD4642895116,434$335,3400.22%
97GENERAL DYNAMICS CORPORATIONGD1,003$331,5820.22%
98LINDE PLC SHSLIN744$330,2970.22%
99NORTHROP GRUMMAN CORPORATIONNOC543$325,0350.22%
100OREILLY AUTOMOTIVE INCORPORATED67103H1073,194$323,1370.21%
101S&P GLOBAL INCORPORATEDSPGI680$320,9940.21%
102HCA HEALTHCARE INCORPORATEDHCA765$320,9940.21%
103TARGET CORPORATIONTGT3,476$313,0830.21%
104PARKER-HANNIFIN CORPORATIONPH428$310,7960.21%
105COMCAST CORPORATION NEW CLASS ACCZ10,565$309,1370.21%
106PHILIP MORRIS INTERNATIONAL INCORPORATED7181721091,980$308,8400.20%
107WELLS FARGO COMPANY NEW9497461013,603$302,6520.20%
108LAM RESEARCH CORPORATION COM NEWLRCX2,079$295,9870.20%
109INTERACTIVE BROKERS GROUP INCORPORATED COM CLASS A45841N1074,284$293,5400.19%
110PFIZER INCORPORATEDPFE11,977$290,2030.19%
111AMERICAN TOWER CORPORATION NEW REIT03027X1001,496$286,4210.19%
112ASTRAZENECA PLC SPONSORED ADRAZN3,278$274,7950.18%
113HILTON WORLDWIDE HLDGS INCORPORATEDHLT1,060$272,9940.18%
114BANK NEW YORK MELLON CORPORATION0640581002,530$270,0020.18%
115MCKESSON CORPORATIONMCK334$258,9970.17%
116CUMMINS INCORPORATEDCMI597$252,3340.17%
117HEICO CORPORATION NEW CLASS AHEI-A1,038$248,6430.17%
118ENTERGY CORPORATION NEWENO2,553$245,1390.16%
119CONOCOPHILLIPSCOP2,778$241,4360.16%
120ADOBE INCORPORATEDADBE730$240,3380.16%
121BERKSHIRE HATHAWAY INCORPORATED DEL CLASS B NEWBRK-A480$234,6290.16%
122TE CONNECTIVITY PLC ORD SHSTEL1,040$233,1580.15%
123LOWES COMPANIES INCORPORATED548661107947$230,2160.15%
124DIGITAL RLTY TR INCORPORATED REIT2538681031,316$228,9310.15%
125GILEAD SCIENCES INCORPORATEDGILD1,934$227,9220.15%
126VULCAN MATLS COMPANY929160109755$223,6540.15%
127DOORDASH INCORPORATED CLASS ADASH818$218,1360.14%
128SHERWIN WILLIAMS COMPANYSHW655$217,1060.14%
129NUVEEN MUNICIPAL CREDIT INC FD COM SH BEN INTNU17,425$216,9410.14%
130KKR & COMPANY INCORPORATEDKKRT1,837$215,9110.14%
131GE VERNOVA INCORPORATEDGEV358$215,5160.14%
132IQVIA HLDGS INCORPORATEDIQV1,029$211,7170.14%
133MONDELEZ INTERNATIONAL INCORPORATED CLASS A6092071053,382$208,3310.14%
134LPL FINL HLDGS INCORPORATED50212V100620$206,7270.14%
135ISHARES TR RUSSELL 2000 ETF464287655838$205,3600.14%
136TRANE TECHNOLOGIES PLC SHSTT492$204,6330.14%
137BLACKROCK INCOME TR INCORPORATED COM NEWBLK17,093$191,7830.13%