Institution

Krane Financial Solutions LLC

CIK 0002136913 - 2026Q1 report dated 2026-03-31

Shown positions

48

Shown market value

$147,091,877

Net value change

+$147,091,877

48 changed positions shown

Largest reported increase

IWF

ISHARES TR

+$13,948,167

Largest reported decrease

No negative value changes shown.

Latest 13F holdings

Top reported positions by market value. 13F filings are delayed and may not reflect current holdings.

TickerIssuerValueSharesChangeValue changeReport
IWFISHARES TR

464287614

$13,948,16732,711NEW new+$13,948,1672026-03-31SEC filing
GLDSPDR GOLD TR

78463V107

$13,072,64030,381NEW new+$13,072,6402026-03-31SEC filing
IWRISHARES TR

464287499

$12,900,313132,678NEW new+$12,900,3132026-03-31SEC filing
IWDISHARES TR

464287598

$12,258,84257,373NEW new+$12,258,8422026-03-31SEC filing
VTVANGUARD INDEX FDS

922908553

$10,445,424117,761NEW new+$10,445,4242026-03-31SEC filing
VBVANGUARD INDEX FDS

922908751

$9,192,28635,096NEW new+$9,192,2862026-03-31SEC filing
BSVVANGUARD BD INDEX FDS

921937827

$8,026,934102,371NEW new+$8,026,9342026-03-31SEC filing
VTVVANGUARD INDEX FDS

922908744

$7,475,00538,099NEW new+$7,475,0052026-03-31SEC filing
VUGVANGUARD INDEX FDS

922908736

$7,030,02016,095NEW new+$7,030,0202026-03-31SEC filing
VOVANGUARD INDEX FDS

922908629

$5,795,87920,182NEW new+$5,795,8792026-03-31SEC filing
EFAISHARES TR

464287465

$5,544,66557,085NEW new+$5,544,6652026-03-31SEC filing
AAPLAPPLE INC

037833100

$5,531,00721,794NEW new+$5,531,0072026-03-31SEC filing
VWOVANGUARD INTL EQUITY INDEX F

922042858

$5,491,467101,600NEW new+$5,491,4672026-03-31SEC filing
IWMISHARES TR

464287655

$4,617,40918,619NEW new+$4,617,4092026-03-31SEC filing
VEAVANGUARD TAX-MANAGED FDS

921943858

$4,416,69368,925NEW new+$4,416,6932026-03-31SEC filing
IYRISHARES TR

464287739

$1,924,31620,350NEW new+$1,924,3162026-03-31SEC filing
BNDVANGUARD BD INDEX FDS

921937835

$1,909,67425,933NEW new+$1,909,6742026-03-31SEC filing
ESLTELBIT SYS LTD

M3760D101

$1,443,4531,700NEW new+$1,443,4532026-03-31SEC filing
JPMJPMORGAN CHASE & CO

46625H100

$1,171,6193,983NEW new+$1,171,6192026-03-31SEC filing
AVGOBROADCOM INC

11135F101

$965,1003,118NEW new+$965,1002026-03-31SEC filing
MSMORGAN STANLEY

617446448

$854,1295,190NEW new+$854,1292026-03-31SEC filing
GOOGALPHABET INC

02079K107

$842,4182,937NEW new+$842,4182026-03-31SEC filing
SPYSTATE STR SPDR S&P 500 ETF T

78462F103

$839,6931,291NEW new+$839,6932026-03-31SEC filing
VOOVANGUARD INDEX FDS

922908363

$822,0111,376NEW new+$822,0112026-03-31SEC filing
VIGVANGUARD SPECIALIZED FUNDS

921908844

$813,6463,783NEW new+$813,6462026-03-31SEC filing
Krane Financial Solutions LLC 13F holdings | YouAnalyst