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Revisor Wealth Management LLC

OtherOther

AUM: $277.3B·271 positions·Q4 2025

Filed: Jan 27, 2026

CIK: 0001887409

Revisor Wealth Management LLC is a Other fund managing $277324.5 trillion in assets. The fund runs a broad portfolio of 271 positions.

Top 10 Holdings

#StockValue% Port.Chg
1
SCHZNEW
$17.3T4.6%
2
AAPLNEW
$16.0T4.3%
3
VCITNEW
$11.4T3.1%
4
VIGINEW
$10.4T2.8%
5
VCLTNEW
$10.4T2.8%
6
MSFTNEW
$10.2T2.7%
7
SPEMNEW
$9.8T2.6%
8
DVYENEW
$8.0T2.1%
9
CRMNEW
$5.9T1.6%
10
AMZNNEW
$5.5T1.5%

Notable Moves

New Positions

$17.3T (4.6%)
$16.0T (4.3%)
$11.4T (3.1%)
$10.4T (2.8%)
$10.4T (2.8%)
$10.2T (2.7%)
$9.8T (2.6%)
$8.0T (2.1%)

Fund Analysis

Fund analysis is being prepared.

All Holdings

Sort:
#StockValue% Port.Chg
1
SCHZNEW
$17.3T4.6%
2
AAPLNEW
$16.0T4.3%
3
VCITNEW
$11.4T3.1%
4
VIGINEW
$10.4T2.8%
5
VCLTNEW
$10.4T2.8%
6
MSFTNEW
$10.2T2.7%
7
SPEMNEW
$9.8T2.6%
8
DVYENEW
$8.0T2.1%
9
CRMNEW
$5.9T1.6%
10
AMZNNEW
$5.5T1.5%
11
MCDNEW
$5.4T1.5%
12
SPSBNEW
$4.9T1.3%
13
TSLANEW
$4.8T1.3%
14
GOOGNEW
$4.8T1.3%
15
NVDANEW
$4.4T1.2%
16
CINFNEW
$4.3T1.2%
17
BILNEW
$4.3T1.1%
18
GOOGLNEW
$3.6T1.0%
19
JPMNEW
$3.6T1.0%
20
SCHGNEW
$3.4T0.9%
21
RDDTNEW
$3.2T0.9%
22
SCHPNEW
$3.2T0.9%
23
METANEW
$3.2T0.9%
24
BIBLNEW
$3.1T0.8%
25
WFCNEW
$2.9T0.8%
26
SHWNEW
$2.9T0.8%
27
SCHFNEW
$2.9T0.8%
28
IGIBNEW
$2.8T0.8%
29
BRK/BNEW
$2.7T0.7%
30
IAGGNEW
$2.7T0.7%
31
SLVNEW
$2.7T0.7%
32
PMNEW
$2.7T0.7%
33
XOMNEW
$2.6T0.7%
34
SPYNEW
$2.5T0.7%
35
VIGNEW
$2.4T0.6%
36
BIVNEW
$2.4T0.6%
37
JMIANEW
$2.3T0.6%
38
BDXNEW
$2.2T0.6%
39
MDTNEW
$2.2T0.6%
40
RCLNEW
$2.2T0.6%
41
JPSTNEW
$2.1T0.6%
42
MGVNEW
$1.9T0.5%
43
LACNEW
$1.9T0.5%
44
ENBNEW
$1.9T0.5%
45
KONEW
$1.9T0.5%
46
VTINEW
$1.8T0.5%
47
GSKNEW
$1.7T0.4%
48
VWONEW
$1.7T0.4%
49
VBNEW
$1.6T0.4%
50
CMCSANEW
$1.6T0.4%
51
WMTNEW
$1.6T0.4%
52
TSMNEW
$1.6T0.4%
53
OMCNEW
$1.5T0.4%
54
VNEW
$1.5T0.4%
55
LAMRNEW
$1.5T0.4%
56
SCHXNEW
$1.5T0.4%
57
SYYNEW
$1.4T0.4%
58
BOXXNEW
$1.4T0.4%
59
AXPNEW
$1.4T0.4%
60
EELVNEW
$1.4T0.4%
61
VTEBNEW
$1.4T0.4%
62
LYGNEW
$1.4T0.4%
63
VOONEW
$1.4T0.4%
64
DFPNEW
$1.3T0.4%
65
DUKNEW
$1.3T0.3%
66
GPCNEW
$1.3T0.3%
67
QQQNEW
$1.3T0.3%
68
VBRNEW
$1.3T0.3%
69
SCHDNEW
$1.2T0.3%
70
FBTCNEW
$1.2T0.3%
71
EWZNEW
$1.2T0.3%
72
UNHNEW
$1.2T0.3%
73
VUGNEW
$1.2T0.3%
74
GDNEW
$1.2T0.3%
75
SBUXNEW
$1.2T0.3%
76
VONEW
$1.2T0.3%
77
GENEW
$1.2T0.3%
78
APDNEW
$1.2T0.3%
79
AMTNEW
$1.2T0.3%
80
HIINEW
$1.1T0.3%
81
AVGONEW
$1.1T0.3%
82
SCHWNEW
$1.1T0.3%
83
MUNEW
$1.1T0.3%
84
CATNEW
$1.1T0.3%
85
LOWNEW
$1.1T0.3%
86
AMATNEW
$1.1T0.3%
87
AMGNNEW
$1.0T0.3%
88
ETRNEW
$1.0T0.3%
89
FISNEW
$1.0T0.3%
90
HFXINEW
$1.0T0.3%
91
ALBNEW
$1.0T0.3%
92
IBMNEW
$1.0T0.3%
93
SGOVNEW
$1.0T0.3%
94
JAAANEW
$1.0T0.3%
95
PGNEW
$1.0T0.3%
96
BLKNEW
$1.0T0.3%
97
JNJNEW
$998.3B0.3%
98
BKNGNEW
$943.5B0.3%
99
CTANEW
$936.9B0.3%
100
LLYNEW
$932.1B0.2%
101
COWZNEW
$926.1B0.2%
102
MUNINEW
$925.8B0.2%
103
IBITNEW
$898.8B0.2%
104
ESNEW
$895.1B0.2%
105
VBKNEW
$881.9B0.2%
106
BNDNEW
$879.1B0.2%
107
IVVNEW
$866.0B0.2%
108
VEANEW
$834.0B0.2%
109
WECNEW
$824.1B0.2%
110
QQQMNEW
$820.7B0.2%
111
HWMNEW
$816.4B0.2%
112
VZNEW
$805.6B0.2%
113
UPSNEW
$784.5B0.2%
114
DFACNEW
$783.3B0.2%
115
PFENEW
$782.6B0.2%
116
MANEW
$760.1B0.2%
117
SPHYNEW
$758.2B0.2%
118
ITWNEW
$734.0B0.2%
119
CAHNEW
$733.9B0.2%
120
COPNEW
$728.7B0.2%
121
ORCLNEW
$717.8B0.2%
122
CVXNEW
$708.4B0.2%
123
CSMDNEW
$706.1B0.2%
124
ADPNEW
$704.7B0.2%
125
ADINEW
$701.5B0.2%
126
TXNNEW
$697.3B0.2%
127
MOSNEW
$696.3B0.2%
128
EMRNEW
$694.2B0.2%
129
NDSNNEW
$691.8B0.2%
130
FTLSNEW
$690.3B0.2%
131
CAGNEW
$688.7B0.2%
132
CTASNEW
$682.0B0.2%
133
ABBVNEW
$680.4B0.2%
134
ICVTNEW
$671.1B0.2%
135
PLTRNEW
$668.0B0.2%
136
INDANEW
$660.0B0.2%
137
MCKNEW
$654.8B0.2%
138
ISMDNEW
$654.0B0.2%
139
PEPNEW
$653.8B0.2%
140
EIXNEW
$639.1B0.2%
141
CSCONEW
$632.9B0.2%
142
NVSNEW
$631.1B0.2%
143
FRTNEW
$618.1B0.2%
144
BUCKNEW
$616.4B0.2%
145
RTXNEW
$608.4B0.2%
146
BACNEW
$606.4B0.2%
147
DTDNEW
$606.0B0.2%
148
GLDNEW
$604.8B0.2%
149
BOILNEW
$604.7B0.2%
150
TFCNEW
$598.4B0.2%
151
NUENEW
$589.7B0.2%
152
DOVNEW
$576.6B0.2%
153
IBKRNEW
$575.3B0.2%
154
PNRNEW
$572.6B0.2%
155
BKNEW
$567.8B0.2%
156
ELVNEW
$554.2B0.1%
157
CLSNEW
$552.5B0.1%
158
COPXNEW
$551.5B0.1%
159
PPGNEW
$550.4B0.1%
160
HDNEW
$546.0B0.1%
161
FDLSNEW
$539.8B0.1%
162
ECLNEW
$533.6B0.1%
163
AFLNEW
$528.7B0.1%
164
CRDONEW
$524.8B0.1%
165
GISNEW
$512.8B0.1%
166
LINNEW
$512.0B0.1%
167
BITBNEW
$506.6B0.1%
168
VWOBNEW
$501.7B0.1%
169
ULNEW
$500.1B0.1%
170
LWNEW
$498.0B0.1%
171
GWWNEW
$486.6B0.1%
172
AOSNEW
$475.9B0.1%
173
MKCNEW
$466.8B0.1%
174
SPGINEW
$458.0B0.1%
175
SJMNEW
$454.9B0.1%
176
ATONEW
$453.4B0.1%
177
CHRWNEW
$450.9B0.1%
178
DIANEW
$447.2B0.1%
179
FLDRNEW
$445.2B0.1%
180
CBNEW
$435.2B0.1%
181
EXPDNEW
$433.4B0.1%
182
SCMBNEW
$428.3B0.1%
183
ADMNEW
$427.4B0.1%
184
COSTNEW
$426.9B0.1%
185
URANEW
$426.1B0.1%
186
GEVNEW
$419.8B0.1%
187
ABTNEW
$417.4B0.1%
188
NEENEW
$413.5B0.1%
189
ONEW
$412.4B0.1%
190
EMXCNEW
$407.5B0.1%
191
ETNNEW
$404.2B0.1%
192
SDYNEW
$402.8B0.1%
193
MMMNEW
$401.6B0.1%
194
DISNEW
$399.2B0.1%
195
VOENEW
$398.4B0.1%
196
HUBBNEW
$397.5B0.1%
197
PGRNEW
$395.0B0.1%
198
PZANEW
$392.5B0.1%
199
AGGHNEW
$391.8B0.1%
200
BSVNEW
$389.1B0.1%
201
EDNEW
$388.5B0.1%
202
BRONEW
$382.6B0.1%
203
WEATNEW
$381.7B0.1%
204
VISNNEW
$381.0B0.1%
205
NFLXNEW
$377.1B0.1%
206
PAGPNEW
$373.4B0.1%
207
NOCNEW
$372.1B0.1%
208
IMCGNEW
$371.7B0.1%
209
BNEW
$368.4B0.1%
210
CHDNEW
$365.4B0.1%
211
UBERNEW
$364.4B0.1%
212
OKTANEW
$363.2B0.1%
213
CLNEW
$360.8B0.1%
214
SKYWNEW
$355.8B0.1%
215
MRKNEW
$355.2B0.1%
216
GDXNEW
$353.9B0.1%
217
IQVNEW
$345.1B0.1%
218
PEYNEW
$344.1B0.1%
219
RSGNEW
$339.6B0.1%
220
IOONEW
$339.3B0.1%
221
PVALNEW
$338.1B0.1%
222
BENNEW
$337.1B0.1%
223
SNYNEW
$335.7B0.1%
224
SATSNEW
$334.5B0.1%
225
SSRMNEW
$334.4B0.1%
226
ESSNEW
$334.1B0.1%
227
VOOGNEW
$327.6B0.1%
228
SCHONEW
$327.5B0.1%
229
VVNEW
$326.9B0.1%
230
BITWNEW
$324.4B0.1%
231
NOWNEW
$319.4B0.1%
232
VTVNEW
$319.1B0.1%
233
ROPNEW
$312.9B0.1%
234
KMXNEW
$311.7B0.1%
235
USMVNEW
$310.1B0.1%
236
FMAONEW
$309.6B0.1%
237
KGCNEW
$308.6B0.1%
238
LUMNNEW
$305.7B0.1%
239
DOCNEW
$303.9B0.1%
240
GRNYNEW
$301.6B0.1%
241
QCOMNEW
$299.8B0.1%
242
LDOSNEW
$299.1B0.1%
243
TGTNEW
$298.7B0.1%
244
TTMINEW
$297.1B0.1%
245
QUALNEW
$295.9B0.1%
246
MTBANEW
$295.1B0.1%
247
VYMNEW
$294.5B0.1%
248
ADBENEW
$285.6B0.1%
249
VEUNEW
$283.9B0.1%
250
MRSHNEW
$281.3B0.1%
251
VCRBNEW
$281.0B0.1%
252
FASTNEW
$280.1B0.1%
253
KVUENEW
$279.5B0.1%
254
SWKNEW
$278.6B0.1%
255
JSINEW
$276.8B0.1%
256
LMTNEW
$276.3B0.1%
257
TROWNEW
$270.9B0.1%
258
TSLLNEW
$268.4B0.1%
259
WSTNEW
$265.4B0.1%
260
DHSNEW
$265.2B0.1%
261
SCHANEW
$265.2B0.1%
262
TMONEW
$261.6B0.1%
263
BLESNEW
$260.5B0.1%
264
CLXNEW
$260.3B0.1%
265
STENEW
$260.2B0.1%
266
GRIDNEW
$257.6B0.1%
267
EBAYNEW
$256.6B0.1%
268
HRLNEW
$255.7B0.1%
269
IJRNEW
$255.1B0.1%
270
UNEW
$253.8B0.1%
271
ATINEW
$250.9B0.1%
272
ARGTNEW
$250.1B0.1%
273
COWGNEW
$248.9B0.1%
274
KMBNEW
$247.2B0.1%
275
INCYNEW
$247.2B0.1%
276
AMPNEW
$246.9B0.1%
277
ETHVNEW
$246.3B0.1%
278
IDLVNEW
$245.5B0.1%
279
PFMNEW
$245.5B0.1%
280
XLVNEW
$239.8B0.1%
281
BF/BNEW
$237.3B0.1%
282
NEMNEW
$235.5B0.1%
283
PSIXNEW
$233.8B0.1%
284
SHYDNEW
$233.4B0.1%
285
ERIENEW
$232.7B0.1%
286
JDNEW
$231.8B0.1%
287
NETNEW
$231.7B0.1%
288
CDENEW
$230.5B0.1%
289
DENEW
$227.0B0.1%
290
FDSNEW
$226.5B0.1%
291
TWLONEW
$225.5B0.1%
292
IMCVNEW
$225.1B0.1%
293
NUEMNEW
$222.7B0.1%
294
TTCNEW
$222.4B0.1%
295
AIRRNEW
$218.8B0.1%
296
FMBNEW
$218.1B0.1%
297
STRLNEW
$216.7B0.1%
298
AMDNEW
$216.2B0.1%
299
IWPNEW
$216.0B0.1%
300
GVIPNEW
$215.2B0.1%
301
GROZNEW
$215.1B0.1%
302
LQDNEW
$214.6B0.1%
303
GFINEW
$214.3B0.1%
304
SCHMNEW
$214.3B0.1%
305
ADSKNEW
$213.5B0.1%
306
PARRNEW
$211.5B0.1%
307
WLDNNEW
$210.2B0.1%
308
TMUSNEW
$207.8B0.1%
309
USFRNEW
$207.3B0.1%
310
DALNEW
$206.6B0.1%
311
HONNEW
$204.5B0.1%
312
HYMBNEW
$204.4B0.1%
313
PTLNEW
$202.4B0.1%
314
UNFINEW
$200.8B0.1%
315
BILSNEW
$200.6B0.1%
316
NGDNEW
$178.2B0.0%
317
UAMYNEW
$100.0B0.0%
318
VFFNEW
$94.1B0.0%
319
NUVBNEW
$90.1B0.0%
320
TLSNEW
$88.1B0.0%
321
CYHNEW
$86.4B0.0%
322
IMPPNEW
$84.5B0.0%
323
FINVNEW
$70.4B0.0%
324
HITINEW
$31.4B0.0%
325
SNDLNEW
$17.3B0.0%
326
BTMNEW
$12.3B0.0%
327
CTMNEW
$12.3B0.0%
328
INCRNEW
$11.1B0.0%
329
ASSTNEW
$9.9B0.0%
330
IXHLNEW
$4.4B0.0%

Showing 330 of 330 positions

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Holdings reflect 13F filings with the SEC — quarterly disclosures required of institutional managers with $100M+ in AUM. Positions are as of quarter-end and may have changed significantly since filing. See full disclaimer.