WEST MICHIGAN ADVISORS, LLC Q2 2025 Filing

Filed July 31, 2025

Portfolio Value

$354.5B

Holdings

235

Report Date

Q2 2025

Filing Type

13F-HR

All Holdings (235 positions)

#StockSharesValue% PortfolioType
201
MLNVaneck Long Muni ETF
14,815$250.2M0.07%
202
APPApplovin Corporation Com Class A
710$248.6M0.07%
203
ETEnergy Transfer L P LP
13,528$245.3M0.07%
204
AZNAstrazeneca PLC F Sponsored ADR
3,481$243.3M0.07%
205
MMM3M
1,596$243.0M0.07%
206
FCXFreeport-Mcmoran Incorporated Class B
5,533$239.9M0.07%
207
DHID R Horton Incorporated
1,847$238.1M0.07%
208
PRUPrudential Finl
2,209$237.3M0.07%
209
FLEXFlex Limited Ord
4,725$235.9M0.07%
210
GUNRFlexshares Upstream Natural Idx ETF
5,795$232.5M0.07%
211
ADMArcher-Daniels-Midln
4,341$229.1M0.06%
212
ADBEAdobe Incorporated
584$225.9M0.06%
213
HEMIHartford Municipal Opportnits ETF
5,856$224.8M0.06%
214
RWMProShares Short Russell 2000 ETF
11,731$223.2M0.06%
215
EPAMEpam Systems Incorporated
1,258$222.4M0.06%
216
IWSiShares TR Rus MDCP Val ETF
1,682$222.3M0.06%
217
SHProShares Short S&P 500 ETF
5,511$221.0M0.06%
218
TBXProShares Short QQQ ETF
6,464$220.2M0.06%
219
CVNACarvana Co Class A
652$219.7M0.06%
220
AXONAxon Enterprise Incorporated
265$219.4M0.06%
221
ITWIllinois Tool Works
881$219.1M0.06%
222
SNOWSnowflake Incorporated Class A
969$216.8M0.06%
223
KMIKinder Morgan Inc
7,290$214.3M0.06%
224
ADPAutomatic Data Processing Incorporated
684$212.0M0.06%
225
SPIBSPDR Portfolio Intermediate Term Corporate Bond ETF
6,268$210.5M0.06%
226
CGUSCapital Group Core Equity ETF SHS Creation Unit
5,560$205.3M0.06%
227
SSNCSS&C Technologies HLDGS Incorporated
2,445$202.4M0.06%
228
DASHDoordash Inc Class A
820$202.1M0.06%
229
ETWEaton Vance Tax-Managed Global
12,865$111.3M0.03%
230
ARDXArdelyx Incorporated
28,000$109.8M0.03%
231
XEADXAllspring Income Opportunit Inc Oppty FD
12,761$90.8M0.03%
232
VISNCommscope HLDG Co Inc
10,000$82.8M0.02%
233
Abrdn Australia Equity FD Incorporated
11,813$52.8M0.01%
234
YTRAYatra Online Incorporated Ord SHS
20,000$19.5M0.01%
235
AVLAvalon Advanced Matls Incorporated Com New
12,000$264K0.00%
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