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CIK 0001536557 • 6 13F filings • May 14, 2025 – Aug 13, 2026
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Past 5 quarters
| % of Portfolio | |||||
|---|---|---|---|---|---|
| ADOBE INC | COM | $273K | 2.5% | 1,125 SH | New |
| BERKSHIRE HATHAWAY INC DEL | CL B NEW | $763K | 7.1% | 1,593 SH | New |
| BOEING CO | COM | $514K | 4.8% | 2,581 SH | New |
| COMCAST CORP NEW | CL A | $758K | 7.0% | 26,413 SH | New |
| DISNEY WALT CO | COM | $769K | 7.1% | 7,983 SH | New |
| Home Depot Inc | Com | $495K | 4.6% | 1,504 SH | New |
| Intel Corp | Com | $228K | 2.1%Prev: 0.3% | 5,164 SH | Decreased-6,635 SH |
| iShares Tr | 20 Yr Tr BD ETF | $666K | 6.2%Prev: 2.5% | 7,680 SH | Decreased-17,446 SH |
| iShares Tr | iBOXX Hi Yd ETF | $1.6M | 15.0%Prev: 5.4% | 20,350 SH | Decreased-43,322 SH |
| iShares Tr | MSCI Emg Mkt ETF | $336K | 3.1%Prev: 0.6% | 5,916 SH | Decreased-7,484 SH |
| ISHARES TR | MSCI USA MIN VOL | $464K | 4.3%Prev: 0.5% | 5,000 SH | Decreased |
| MICROSOFT CORP | COM | $767K | 7.1%Prev: 0.3% | 2,071 SH | Increased+1,359 SH |
| ORACLE CORP | COM | $1.1M | 9.8% | 7,215 SH | New |
| Procter and Gamble Co. | Com | $226K | 2.1% | 1,562 SH | New |
| UNITEDHEALTH GROUP INC | COM | $771K | 7.1% | 2,849 SH | New |
| VANGUARD INDEX FDS | TOTAL STK MKT | $649K | 6.0%Prev: 0.6% | 2,022 SH | Increased-14 SH |
| VERIZON COMMUNICATIONS INC | COM | $222K | 2.1%Prev: 0.3% | 4,417 SH | Decreased-1,730 SH |
| VISA INC | COM CL A | $228K | 2.1% | 753 SH | New |
| 13F-HR |
| 0001536557-26-000005 |
| $136.9M |
| View |
| Aug 13, 2025 | Q2 2025 | 13F-HR | 0001104659-25-077063 | $163.3M | View |
| May 15, 2026 | Q1 2026 | 13F-HR | 0001536557-26-000004 | $10.8M | View |
| May 14, 2025 | Q1 2025 | 13F-HR | 0001104659-25-048190 | $92.6M | View |