WEST MICHIGAN ADVISORS, LLC

Holdings as of 2026-06-30, filed 2026-08-21

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 52 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
295
Value reported by manager
$526.1M
Sum of our stored positions
$526.1M
should match the line above
Disclosure lag
52 d
quarter end to filing
Top 5 concentration
20.2%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls

Positions

200 largest shown
IssuerClassValueSharesTypeCUSIP
Gentex CorpCommon Stock$45.7M1,807,608371901109
Amplify CWP Enhanced DIV Inm ETFETF$15.6M340,800321084090
Defender Risk Adaptive 500 ETFETF$14.3M519,87600777X421
Apple IncCommon Stock$13.2M45,583378331000
Nvidia CorpCommon Stock$12.4M62,07567066G104
MicrosoftCommon Stock$10M26,883594918104
Alpha Architect 1-3 Month Box ETFETF$7.7M65,86802072L565
Vanguard S&P 500 ETFETF$7.2M10,509922908363
iShares TR 0-3 MNTH TreasryETF$7.1M70,66546436E718
IntelCommon Stock$6.8M48,685458140100
Broadcom IncCommon Stock$6.7M17,70611135F101
Invesco QQQETF$6.5M8,79646090E103
JPMorgan ChaseCommon Stock$6.3M19,17846625H100
Advanced Micro Device InCommon Stock$6.1M10,509790310700
Merck & Co. Inc.Common Stock$5.7M44,43858933Y105
Sandisk CorporationCommon Stock$5.6M2,46280004C200
Micron Technology IncorporatedCommon Stock$5.6M4,825595112103
AppleCommon Stock$5.4M18,600378331003
Coherent CorporationCommon Stock$5.3M13,47719247G107
American Express CoCommon Stock$5.3M15,671258161090
Western Digital Corporation.Common Stock$5.3M8,277958102105
Revolution Medicines IncCommon Stock$5.1M27,34876155X100
Illinois Tool WorksCommon Stock$5.1M18,636452308109
Huntington BancshsCommon Stock$5M279,653446150104
Gilead Sciences IncorporatedCommon Stock$5M39,458375558103
Comcast Corp Class ACommon Stock$5M202,82520030N101
Qualcomm IncorporatedCommon Stock$5M26,922747525103
Allegion PLC Ord SHSCommon Stock$4.9M35,150G0176J109
Altria Group IncorporatedCommon Stock$4.8M65,31402209S103
Bristol-Myers Squibb CompanyCommon Stock$4.7M82,237110122108
Eog Res IncorporatedCommon Stock$4.7M36,08926875P101
Newmont CorpCommon Stock$4.5M48,690651639106
Hasbro IncorporatedCommon Stock$4.5M54,474418056107
Eaton Corp PLC FCommon Stock$4.5M10,521G29183103
Capital Group Global GRWT Eqy ETFETF$4.4M103,58414020X104
Amazon.Com IncCommon Stock$4.3M18,192231351060
Neos Nasdaq 100 High Income ETFETF$4.3M76,12678433H675
SPDR Gold Shares ETFETF$4.3M11,66978463V107
Abbvie IncCommon Stock$4.3M16,98300287Y109
Lumentum HLDGS IncorporatedCommon Stock$4.2M4,84355024U109
Ciena Corporation Com NewCommon Stock$4.1M8,375171779309
Marathon Pete CorpCommon Stock$4.1M16,00256585A102
Wal-MartCommon Stock$4.1M35,924931142103
Rocket Lab CorporationCommon Stock$3.8M37,719773121108
Leidos Holdings IncorporatedCommon Stock$3.8M36,848525327102
Neos S&P 500 High Income ETFETF$3.8M71,13378433H303
Analog Devices IncCommon Stock$3.3M8,367326541050
iShares MSCI EAFE ETFETF$3M29,299464287465
Pacer FDS Trust Metaurus US Large CapETF$2.9M65,41969374H436
Alphabet Inc. Class ACommon Stock$2.8M7,74002079K305
Chubb LTD FCommon Stock$2.7M7,781H1467J104
Johnson Controls Inter FCommon Stock$2.6M17,728G51502105
Johnson & JohnsonCommon Stock$2.6M10,207478160104
Eli Lilly & CompanyCommon Stock$2.6M2,160532457108
VerizonCommon Stock$2.6M60,82292343V104
SalesforceCommon Stock$2.6M16,36779466L302
Applied Matls IncorporatedCommon Stock$2.5M3,465382221050
iShares Russell 1000 Growth ETFETF$2.5M19,929464287614
Nextera Energy IncCommon Stock$2.4M27,39465339F101
Motorola SolutionsCommon Stock$2.4M5,733620076307
Meta Platforms Inc Class ACommon Stock$2.3M4,17030303M102
Home DepotCommon Stock$2.3M6,592437076102
JPMorgan Core Plus Bond ETFETF$2.3M48,68646641Q670
Union Pacific CorpCommon Stock$2.2M8,091907818108
JPMorgan Ultra-Short Income ETFETF$2.2M43,31146641Q837
iShares TR MSCI Intl MomentETF$2.2M40,86046434V449
iShares Core US Aggregate Bond ETFETF$2.2M21,808464287226
Invesco S&P 500 Quality ETFETF$2.2M23,86546137V241
Lam Research Corporation Com NewCommon Stock$2.1M4,738512807306
JP Morgan ETF Trust MKT Expansion EnhancedETF$1.9M24,68946641Q118
Tesla MotorsCommon Stock$1.9M4,45288160R101
CaterpillarCommon Stock$1.9M1,739149123101
Corning IncorporatedCommon Stock$1.8M7,216219350105
Schwab US Dividend Equity ETFETF$1.8M57,864808524797
SPDR S&P 500 ETFETF$1.8M2,37278462F103
Cme Group Inc Class ACommon Stock$1.8M8,00912572Q105
Alphabet Inc. Class CCommon Stock$1.8M4,99002079K107
Bondbloxx Bloomberg 6 MNTH Target Duration US TreasuryETF$1.7M33,83609789C788
Air Prod & ChemicalsCommon Stock$1.7M5,743915810600
iShares Russell 1000 Value ETFETF$1.6M6,728464287598
MKS IncCommon Stock$1.6M3,56155306N104
UnitedHealth GroupCommon Stock$1.6M3,78391324P102
Marvell Technology IncorporatedCommon Stock$1.6M5,257573874104
Stryker CorporationCommon Stock$1.5M4,905863667101
Astera Labs IncorporatedCommon Stock$1.5M3,19504626A103
J P Morgan Exchange-Traded International Resh EnhancedETF$1.5M18,60746641Q134
Dell Technologies Incorporated Class CCommon Stock$1.5M3,53924703L202
Vanguard Total Stock Market ETFETF$1.5M4,103922908769
Berkshire Hathaway Class BCommon Stock$1.5M2,974846707020
Flex Limited OrdCommon Stock$1.5M9,107Y2573F102
J P Morgan Nasdaq EQT PRM Inc ETF IVETF$1.5M23,98646654Q203
Avantis US Small Cap Value ETFETF$1.5M11,783250728770
Amplify Intrntnl Enhnc Divi Incm ETFETF$1.4M34,485321087220
Teradyne IncorporateCommon Stock$1.4M2,978880770102
Cisco SystemsCommon Stock$1.4M12,02017275R102
Comfort Systems USA IncorporatedCommon Stock$1.4M708199908104
Service Corporation InternationalCommon Stock$1.4M18,172817565104
Hartford MLTFCTR DVLPD MRKTS ETFETF$1.4M34,054518416102
Triumph Finl IncCommon Stock$1.3M17,60089679E300
North SQR Rcim Tax Adv Pre In ETFETF$1.3M52,428301471108
Procter & GambleCommon Stock$1.3M8,901742718109
Amkor Technology IncCommon Stock$1.3M15,094316521000
Iridium Communications IncorporatedCommon Stock$1.3M22,91246269C102
Hewlett Packard Enterprise CompanyCommon Stock$1.2M27,15842824C109
Coca-ColaCommon Stock$1.2M14,870191216100
Lattice Semiconductor CorporationCommon Stock$1.2M7,918518415104
Macom Tech Solutions HLDGS IncorporatedCommon Stock$1.2M3,17055405Y100
Invsc Actvly MNG Optm YD DVRS ETFETF$1.2M75,58346090F100
iShares TR 3 7 YR Treas BDETF$1.2M10,217464288661
First Trust Growth Strength ETF IVETF$1.2M32,20033733E823
Royal Caribbean CruisesCommon Stock$1.2M3,730V7780T103
Chevron Corp.Common Stock$1.2M6,990166764100
Invesco S&P Smallcap Momentum ETFETF$1.1M12,07146137V498
Vertiv Holdings Company Com Class ACommon Stock$1.1M3,36392537N108
iShares Silver TR iSharesETF$1.1M20,75646428Q109
Neos Enhanced Income 1-3 Month T-Bill ETFETF$1.1M22,27178433H501
Bondbloxx Bloomberg 1 Year Target Duration US TreasuryETF$1.1M22,43109789C861
Netflix IncCommon Stock$1.1M15,49364110L106
Invesco Nasdaq 100 ETFETF$1.1M3,60346138G649
Raymond James FinlCommon Stock$1.1M7,145754730109
Globalfoundries Incorporated Ordinary SharesCommon Stock$1.1M13,023G39387108
Goldman Sachs GroupCommon Stock$1.1M1,05838141G104
First Trust TCW Opportunistic Fi ETFETF$1M23,45433740F805
AlcoaCommon Stock$1M3,750138171012
TJX Companies Incorporated NewCommon Stock$1M6,643872540109
General Electric Company Com NewCommon Stock$987.3K2,642369604301
IBMCommon Stock$976.2K3,471459200101
Visa Inc Class ACommon Stock$974.4K2,84092826C839
FS Specialty Lending FD Shares Of BenCommon Stock$971.4K87,121644323107
Wells Fargo & CoCommon Stock$955.6K11,564949746101
iShares 1-3 Year Treasry Bond ETFETF$953.6K11,614464287457
McDonaldsCommon Stock$942K3,485580135101
First Trust Capital Strength ETFETF$933.1K9,93533733E104
Devon Energy CorpCommon Stock$923.1K22,34125179M103
Direxion Daily Technology Bull 3X SharesETF$923K4,00025459W102
iShares TR Core MSCI EAFEETF$918.2K9,50746432F842
PIMCO Enhanced Short Maturity Active Exchange-Traded FundETF$903.1K8,95872201R833
On Semiconductor CoCommon Stock$897.8K9,496682189105
iShares TR Core S&P500 ETFETF$891.2K1,190464287200
Cummins IncorporatedCommon Stock$859.7K1,205231021106
Ast Spacemobile Incorporated Com Class ACommon Stock$822.5K9,25600217D100
Oracle CorporationCommon Stock$804.3K5,48868389X105
Vanguard FTSE Developed Markets ETFETF$783.4K10,995921943858
Duke Energy CorpCommon Stock$761.8K6,01826441C204
Abbott LaboratoriesCommon Stock$758.2K8,356282410000
iShares MSCI USA Min Vol FCTR ETFETF$740.2K7,67446429B697
Alcoa CorporationCommon Stock$735.1K14,099138721060
Realty Income Corporation REITCommon Stock$727.2K11,686756109104
JPMorgan Equity Premium Income ETFETF$725.4K12,84446641Q332
SPDR Bloomberg 1 3 MNTH T BLL ETFETF$718.4K7,83978468R663
ProShares Ultra S&P500ETF$713.3K10,58674347R107
iShares TR Expanded TechETF$705.9K7,791464287515
Dodge & Cox Income FundETF$691K35,046256210105
RTX CorporationCommon Stock$690.2K3,63875513E101
GE Vernova IncorporatedCommon Stock$665.1K56636828A101
Bondbloxx Bloomberg 2 Year Target Duration US TreasuryETF$660.6K13,49509789C853
Kla Corporation Com NewCommon Stock$659.2K2,185482480100
Vanguard Tax-Exempt Bond ETFETF$654.8K12,946922907746
Texas InstrumentsCommon Stock$652.8K2,190882508104
American Beacon Select Funds GLG Nat Res ETFETF$651.6K13,42202368W408
FS Credit OpportunitFund$644.7K129,19030290Y101
SPDR S&P Bank ETFETF$630.8K9,24778464A797
Global X 1 3 Month T Bill ETFETF$627.9K6,25837960A438
iShares Bitcoin ETFETF$621.7K18,67546438F101
Darden RestaurantsCommon Stock$602.1K2,923237194105
Flexshares Quality Dividend Index FundETF$598.4K6,65533939L860
Entergy Corporation NewCommon Stock$596.1K5,19029364G103
Amgen Inc.Common Stock$589.9K1,629311621000
Linde PLC SHSCommon Stock$589.8K1,137G54950103
iShares US Real Estate ETFETF$564.5K5,521464287739
First Trust Dorsey Wright Focus 5 ETFETF$554.9K7,31333738R605
Marketdesk Focused US Momentum ETFETF$552.1K12,65202072Q762
iShares Core S&P Small-Cap ETFETF$546.3K3,684464287804
Williams Cos IncCommon Stock$531.9K7,155969457100
Philip Morris International IncorporatedCommon Stock$531.3K2,913718172109
Palantir Technologies Incorporated Class ACommon Stock$524.9K4,49969608A108
Cormedix IncorporatedCommon Stock$518.1K66,00021900C308
iShares 7-10 Year Treasury Bond ETFETF$509.8K5,391464287440
Agnico Eagle Mines LimitedCommon Stock$503.7K3,247847410800
Synchrony FinancialCommon Stock$500.2K6,57787165B103
Hartford Municipal Opportnits ETFETF$496.9K12,66541653L503
iShares TR 20 YR TR BD ETFETF$487.3K5,639464287432
Tortoise North American Pipeline ETFETF$475K11,328890930308
ExxonMobilCommon Stock$471.3K3,44730231G102
S&P Global IncorporatedCommon Stock$469.3K1,15278409V104
Medtronic PLC FCommon Stock$467.2K5,918G5960L103
SPDR Health Care SelectETF$466.8K2,94281369Y209
PNC Finl ServicesCommon Stock$464.9K1,888693475105
Hartford Schroders Tax-Aware Bond ETFETF$463.9K24,10541653L404
Pacer Global Cash Cows Dividend ETFETF$461.1K10,64969374H709
Archer-Daniels-MidlnCommon Stock$460.5K6,028394831020
Jabil IncorporatedCommon Stock$458.7K1,190466313103
BlackRock Muniy MichiganFund$445.8K36,20109254V105
Allstate CorporationCommon Stock$444.3K1,859200021010
iShares Russell 1000 ETFETF$444.3K1,085464287622
Monarch Volume Factor Dividnd ETFETF$431.1K14,38266537J820
SPDR Nuveen Bloomberg Municipal Bond ETFETF$417.1K9,10778468R721
Deere & CompanyCommon Stock$405.3K637244199105
Rockwell Automation IncorporatedCommon Stock$402.5K813773903109
AT&TCommon Stock$401.4K19,39200206R102
Values are shown exactly as filed. Before 2023 managers reported in thousands of dollars and afterwards in whole dollars; the reporting unit is not always determinable from the document, so nothing is converted automatically.

Source: U.S. Securities and Exchange Commission, Form 13F · as of 2026-08-21