Level Advisors 13F annual report

Level Advisors is an investment fund managing more than $231 billion ran by Michael Heburn. There are currently 25 companies in Mr. Heburn’s portfolio. The largest investments include Vanguard Index Fds and Vanguard Scottsdale Fds, together worth $101 billion.

$231 billion Assets Under Management (AUM)

As of 16th July 2024, Level Advisors’s top holding is 152,701 shares of Vanguard Index Fds currently worth over $60.1 billion and making up 26.0% of the portfolio value. In addition, the fund holds 692,357 shares of Vanguard Scottsdale Fds worth $40.8 billion. The third-largest holding is Vanguard Tax-managed Fds worth $16.2 billion and the next is Vanguard Bd Index Fds worth $13.4 billion, with 175,358 shares owned.

Currently, Level Advisors's portfolio is worth at least $231 billion. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Level Advisors

The Level Advisors office and employees reside in East Amherst, New York. According to the last 13-F report filed with the SEC, Michael Heburn serves as the Chief Operating Officer at Level Advisors.

Recent trades

In the most recent 13F filing, Level Advisors revealed that it had opened a new position in Manager Directed Portfolios and bought 99,409 shares worth $961 million.

The investment fund also strengthened its position in Vanguard Index Fds by buying 5,102 additional shares. This makes their stake in Vanguard Index Fds total 152,701 shares worth $60.1 billion.

On the other hand, there are companies that Level Advisors is getting rid of from its portfolio. Level Advisors closed its position in Apple Inc on 23rd July 2024. It sold the previously owned 10,118 shares for $1.73 billion. Michael Heburn also disclosed a decreased stake in Vanguard Intl Equity Index F by approximately 0.1%. This leaves the value of the investment at $4.6 billion and 67,309 shares.

One of the smallest hedge funds

The two most similar investment funds to Level Advisors are Centennial Wealth Advisory and Biltmore Wealth Management. They manage $231 billion and $231 billion respectively.


Michael Heburn investment strategy

Level Advisors’s portfolio is diversified across 6 sectors. Currently, their heaviest sector is Energy — making up 0.8% of the total portfolio value. The fund focuses on investments in the United States as 32.0% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 28% of the total holdings value. On the other hand, small-cap stocks make up only 4.0% of the portfolio. The average market cap of the portfolio companies is close to $434 billion.

The complete list of Level Advisors trades based on 13F SEC filings

These positions were updated on July 23rd based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Vanguard Index Fds
3.46%
152,701
$60,075,650,000 26.03%
Vanguard Scottsdale Fds
18.90%
692,357
$40,793,508,000 17.68%
Vanguard Tax-managed Fds
11.30%
327,191
$16,169,777,000 7.01%
Vanguard Bd Index Fds
6.04%
175,358
$13,396,827,000 5.81%
Dimensional Etf Trust
112.66%
1,555,700
$49,440,366,000 21.43%
American Centy Etf Tr
13.44%
313,222
$16,389,051,000 7.10%
Ishares Tr
6.41%
302,589
$14,695,828,000 6.37%
Vanguard Charlotte Fds
26.11%
71,826
$3,495,791,000 1.51%
Vanguard Intl Equity Index F
2.94%
67,309
$4,603,670,000 2.00%
Vanguard Malvern Fds
4.99%
45,662
$2,216,418,000 0.96%
Exxon Mobil Corp.
No change
16,489
$1,898,214,000 0.82%
Apple Inc
Closed
10,118
$1,732,313,000
Microsoft Corporation
11.36%
2,707
$1,209,709,000 0.52%
Manager Directed Portfolios
Opened
99,409
$961,285,000 0.42%
Vanguard World Fd
0.52%
23,123
$1,569,880,000 0.68%
Alphabet Inc
Closed
6,630
$869,047,000
Berkshire Hathaway Inc.
23.77%
1,491
$606,539,000 0.26%
NextEra Energy Inc
5.11%
7,022
$497,250,000 0.22%
Amazon.com Inc.
Closed
3,404
$432,716,000
Vanguard Mun Bd Fds
17.69%
8,512
$426,536,000 0.18%
JPMorgan Chase & Co.
6.34%
2,055
$415,644,000 0.18%
Northrop Grumman Corp.
5,266.67%
805
$351,081,000 0.15%
Eli Lilly & Co
No change
378
$342,408,000 0.15%
Netflix Inc.
Closed
872
$329,267,000
Spdr S&p 500 Etf Tr
No change
511
$278,096,000 0.12%
M & T Bk Corp
158.79%
1,752
$265,183,000 0.11%
Vanguard Wellington Fd
179.17%
2,292
$229,360,000 0.10%
United Parcel Service, Inc.
Closed
1,400
$218,218,000
GE Aerospace
21.18%
1,366
$217,153,000 0.09%
Qualcomm, Inc.
No change
1,037
$206,550,000 0.09%
Meta Platforms Inc
Closed
644
$193,335,000
Vanguard Index Fds
Closed
1,201
$157,855,000
Home Depot, Inc.
Closed
497
$150,242,000
Spdr Ser Tr
Closed
6,570
$177,840,000
Ishares Tr
Closed
10,372
$779,466,000
NVIDIA Corp
Closed
309
$134,413,000
Hess Corporation
Closed
772
$118,168,000
Abbvie Inc
Closed
775
$115,522,000
National Fuel Gas Co.
Closed
2,157
$111,970,000
Tesla Inc
Closed
423
$105,843,000
American Centy Etf Tr
Closed
2,016
$106,137,000
Disney Walt Co
Closed
1,222
$99,043,000
Chevron Corp.
Closed
530
$89,369,000
Lowes Cos Inc
Closed
410
$85,238,000
Dimensional Etf Trust
Closed
3,902
$177,453,000
Abbott Labs
Closed
851
$82,419,000
Mcdonalds Corp
Closed
305
$80,349,000
Schwab Strategic Tr
Closed
4,465
$214,796,000
Air Prods Chems Inc
Closed
278
$78,809,000
Select Sector Spdr Tr
Closed
2,926
$225,370,000
HubSpot Inc
Closed
150
$73,875,000
Willis Towers Watson Plc Ltd
Closed
343
$71,673,000
Moog Inc.
Closed
604
$68,224,000
Johnson Johnson
Closed
420
$65,456,000
Paychex Inc.
Closed
562
$64,815,000
Loews Corp.
Closed
1,000
$63,310,000
Unitedhealth Group Inc
Closed
121
$61,114,000
Danaher Corp.
Closed
237
$58,807,000
Pepsico Inc
Closed
339
$57,440,000
Boeing Co.
Closed
264
$50,604,000
Ge Healthcare Technologies I
Closed
718
$48,853,000
AMGEN Inc.
Closed
174
$46,764,000
Colgate-Palmolive Co.
Closed
612
$43,519,000
Honeywell International Inc
Closed
226
$41,751,000
Vanguard World Fds
Closed
177
$41,613,000
QuantumScape Corporation
Closed
6,210
$41,545,000
Invesco Exchange Traded Fd T
Closed
1,458
$54,332,000
Vanguard Whitehall Fds
Closed
656
$40,600,000
General Mls Inc
Closed
630
$40,314,000
RTX Corp
Closed
538
$38,732,000
Delta Air Lines, Inc.
Closed
1,036
$38,343,000
Vanguard Admiral Fds Inc
Closed
150
$37,026,000
Procter And Gamble Co
Closed
251
$36,611,000
Airbnb, Inc.
Closed
250
$34,303,000
Cisco Sys Inc
Closed
619
$33,277,000
Merck Co Inc
Closed
321
$33,003,000
Zscaler Inc
Closed
200
$31,118,000
Fedex Corp
Closed
117
$31,023,000
Innovative Indl Pptys Inc
Closed
370
$27,994,000
Bank America Corp
Closed
1,004
$27,490,000
American Elec Pwr Co Inc
Closed
356
$26,806,000
Becton Dickinson Co
Closed
103
$26,629,000
Intel Corp.
Closed
740
$26,307,000
Consolidated Edison, Inc.
Closed
300
$25,659,000
Conocophillips
Closed
202
$24,200,000
HP Inc
Closed
918
$23,593,000
Trade Desk Inc
Closed
300
$23,445,000
Schlumberger Ltd
Closed
400
$23,320,000
Advanced Micro Devices Inc.
Closed
216
$22,209,000
Wells Fargo Co New
Closed
542
$22,156,000
Cheniere Energy Partners LP
Closed
404
$21,893,000
General Dynamics Corp.
Closed
91
$20,108,000
Sysco Corp.
Closed
290
$19,155,000
Vanguard Star Fds
Closed
348
$18,625,000
Ishares Inc
Closed
785
$27,024,000
Carrier Global Corporation
Closed
320
$17,664,000
Tekla Healthcare Opportuniti
Closed
1,000
$16,980,000
Att Inc
Closed
1,123
$16,867,000
Lee Enterprises, Inc.
Closed
1,552
$16,622,000
Target Corp
Closed
147
$16,292,000
Hewlett Packard Enterprise C
Closed
918
$15,946,000
Canoo Inc.
Closed
32,500
$15,925,000
Principal Financial Group In
Closed
220
$15,855,000
American Express Co.
Closed
105
$15,665,000
Pfizer Inc.
Closed
472
$15,656,000
Ford Mtr Co Del
Closed
1,200
$14,904,000
Paycom Software Inc
Closed
50
$12,964,000
Otis Worldwide Corporation
Closed
160
$12,850,000
Paccar Inc.
Closed
150
$12,753,000
Thermo Fisher Scientific Inc.
Closed
25
$12,661,000
Mattel, Inc.
Closed
574
$12,645,000
KBR Inc
Closed
210
$12,399,000
Phillips 66
Closed
101
$12,135,000
Wabtec
Closed
109
$11,583,000
Vail Resorts Inc.
Closed
50
$11,095,000
Visa Inc
Closed
48
$11,043,000
Oracle Corp.
Closed
104
$11,016,000
Snowflake Inc.
Closed
70
$10,694,000
Chubb Limited
Closed
51
$10,657,000
Lockheed Martin Corp.
Closed
25
$10,338,000
Republic Svcs Inc
Closed
72
$10,261,000
Costco Whsl Corp New
Closed
18
$10,169,000
Automatic Data Processing In
Closed
42
$10,154,000
Brown-Forman Corporation
Closed
175
$10,096,000
Brandywine Rlty Tr
Closed
2,222
$10,088,000
MetLife, Inc.
Closed
157
$9,877,000
Crowdstrike Holdings Inc
Closed
58
$9,708,000
Fortive Corp
Closed
125
$9,270,000
Acv Auctions Inc
Closed
600
$9,108,000
International Business Machs
Closed
59
$8,309,000
Cytokinetics Inc
Closed
264
$7,777,000
Wyndham Hotels Resorts Inc
Closed
100
$6,954,000
Progressive Corp.
Closed
43
$5,994,000
Verizon Communications Inc
Closed
179
$5,801,000
National Grid Plc
Closed
95
$5,760,000
Arista Networks Inc
Closed
31
$5,702,000
Vanguard Intl Equity Index F
Closed
97
$5,619,000
Kenvue Inc
Closed
272
$5,462,000
Cigna Group (The)
Closed
19
$5,435,000
Charter Communications Inc N
Closed
12
$5,278,000
Alaska Air Group Inc.
Closed
140
$5,191,000
Comcast Corp New
Closed
116
$5,143,000
C3.ai Inc
Closed
198
$5,053,000
Skyworks Solutions, Inc.
Closed
50
$4,930,000
Boston Omaha Corp
Closed
300
$4,917,000
Vanguard Scottsdale Fds
Closed
26
$4,963,000
Spdr Dow Jones Indl Average
Closed
14
$4,689,000
New York Cmnty Bancorp Inc
Closed
400
$4,536,000
ServiceNow Inc
Closed
8
$4,472,000
Quantum Si Inc
Closed
2,500
$4,150,000
Sempra
Closed
60
$4,098,000
Ark Etf Tr
Closed
100
$3,967,000
Weyerhaeuser Co Mtn Be
Closed
126
$3,863,000
Chargepoint Holdings Inc.
Closed
750
$3,728,000
Travel Plus Leisure Co
Closed
100
$3,673,000
Vanguard Specialized Funds
Closed
23
$3,574,000
Oneok Inc.
Closed
53
$3,362,000
Keysight Technologies Inc
Closed
25
$3,308,000
BP plc
Closed
83
$3,214,000
Kimberly-Clark Corp.
Closed
25
$3,021,000
Plug Power Inc
Closed
392
$2,979,000
Bumble Inc
Closed
196
$2,924,000
Warner Bros.Discovery Inc
Closed
269
$2,921,000
Accenture Plc Ireland
Closed
8
$2,457,000
American Intl Group Inc
Closed
38
$2,303,000
Liberty Broadband Corp
Closed
22
$2,009,000
Mastercard Incorporated
Closed
5
$1,982,000
Globus Maritime Limited New
Closed
1,000
$1,840,000
Illumina Inc
Closed
13
$1,785,000
PayPal Holdings Inc
Closed
30
$1,754,000
Expedia Group Inc
Closed
15
$1,546,000
Enbridge Inc
Closed
46
$1,543,000
Synopsys, Inc.
Closed
3
$1,377,000
KeyCorp
Closed
122
$1,313,000
Adobe Inc
Closed
2
$1,020,000
Fiverr Intl Ltd
Closed
41
$1,003,000
Sportsmans Whse Hldgs Inc
Closed
215
$965,000
Booz Allen Hamilton Hldg Cor
Closed
8
$874,000
Brighthouse Finl Inc
Closed
17
$832,000
Hsbc Hldgs Plc
Closed
20
$789,000
Xerox Holdings Corp
Closed
50
$785,000
Novavax, Inc.
Closed
78
$565,000
Vanguard Bd Index Fds
Closed
7
$488,000
Titan Pharmaceuticals Inc De
Closed
987
$468,000
Fuelcell Energy Inc
Closed
358
$458,000
Bristol-Myers Squibb Co.
Closed
7
$406,000
Organon Co
Closed
22
$382,000
Aurora Cannabis Inc
Closed
473
$277,000
Mymd Pharmaceuticals Inc
Closed
400
$237,000
Weatherford Intl Plc
Closed
2
$181,000
Viatris Inc.
Closed
16
$158,000
Conduent Inc
Closed
40
$139,000
180 Life Sciences Corp.
Closed
100
$61,000
Exelon Corp.
No change
0
$17,000
Purple Innovation Inc
Closed
1
$2,000
No transactions found
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