Riverstone Advisors, LLC — 13F Holdings & Portfolio

CIK 1763404 · latest 13F-HR filed 2026-04-21

Riverstone Advisors, LLC manages $202.8M in 13F-reported U.S. long-equity assets across 74 reported positions as of its 2026-03-31 13F-HR filing. Its largest disclosed positions are IVV (25.20%), GOOGL (10.86%), AMZN (8.16%). Quarter over quarter (versus its 2025-12-31 filing) the fund opened 18 new positions, exited 2, added to 20, and trimmed 21.

AUM is the long-equity portion reported on Form 13F-HR. Excludes short positions, cash, foreign holdings, and non-13F assets. For informational purposes only — not investment advice.

Loading holdings…
AUM

$202.8M

Long-equity book

Holdings

74

Distinct positions

Period

2026-03-31

Filed 2026-04-21

Q/Q Activity

+18 / −2 / ↑20 / ↓21

vs 2025-12-31

Firm Profile & Key People
Name Title / Status Ownership Type

Top Adds (vs prior quarter)

  • ALPHABET INC$1.5M +160.7%
  • CHENIERE ENERGY INC$1.5M +36.4%
  • INVESCO EXCH TRADED FD TR II$1.3M +94.5%
  • APPLIED MATLS INC$747.0K +34.2%
  • ISHARES TR$444.1K +212.7%
Show all 20

Top Trims

  • ISHARES TR-$6.7M -11.5%
  • ALPHABET INC-$3.5M -13.7%
  • AMAZON COM INC-$2.9M -14.9%
  • DANAHER CORP DEL-$2.2M -24.5%
  • TRACTOR SUPPLY CO-$1.5M -17.0%
Show all 21

New Positions

  • ISHARES TR$619.6K
  • PGIM ETF TR$589.2K
  • ISHARES TR$402.4K
  • TESLA INC$350.9K
  • ISHARES TR$335.3K
Show all 18

Exited Positions

  • PAYPAL HLDGS INC$251.5K
  • ABBOTT LABS$228.2K
Show all 2
All Holdings

Rows tagged Call or Put are options positions, not stock. Per SEC Form 13F-HR, Value shows the notional value of the underlying (shares covered × underlying price), not the option premium. Shares is the number of underlying shares covered (divide by 100 for contract count).

# Issuer Symbol CUSIP Value Weight Shares Type
1 ISHARES TR IVV 464287200 $51.1M 25.20% 78,221 SH
2 ALPHABET INC GOOGL 02079K305 $22.0M 10.86% 76,560 SH
3 AMAZON COM INC AMZN 023135106 $16.5M 8.16% 79,461 SH
4 TOLL BROTHERS INC TOL 889478103 $12.5M 6.16% 91,568 SH
5 RTX CORPORATION RTX 75513E101 $10.3M 5.06% 53,245 SH
6 BERKSHIRE HATHAWAY INC DEL BRK.B 084670702 $10.2M 5.02% 21,253 SH
7 TRACTOR SUPPLY CO TSCO 892356106 $7.3M 3.58% 160,456 SH
8 DANAHER CORP DEL DHR 235851102 $6.8M 3.34% 35,715 SH
9 BROADCOM INC AVGO 11135F101 $6.3M 3.13% 20,493 SH
10 INVESCO QQQ TR QQQ 46090E103 $6.0M 2.98% 10,461 SH
11 CHENIERE ENERGY INC LNG 16411R208 $5.4M 2.69% 19,205 SH
12 NVIDIA CORPORATION NVDA 67066G104 $4.5M 2.20% 25,572 SH
13 APPLE INC AAPL 037833100 $3.2M 1.55% 12,420 SH
14 APPLIED MATLS INC AMAT 038222105 $2.9M 1.45% 8,576 SH
15 EXXON MOBIL CORP XOM 30231G102 $2.9M 1.43% 17,045 SH
16 INVESCO EXCH TRADED FD TR II IDMO 46138E222 $2.8M 1.37% 50,583 SH
17 ALPHABET INC GOOG 02079K107 $2.4M 1.19% 8,432 SH
18 MICROSOFT CORP MSFT 594918104 $2.0M 1.01% 5,535 SH
19 STATE STR SPDR S&P 500 ETF T SPY 78462F103 $1.6M 0.81% 2,526 SH
20 CROWDSTRIKE HLDGS INC CRWD 22788C105 $1.4M 0.71% 3,704 SH
21 HOWMET AEROSPACE INC HWM 443201108 $1.2M 0.58% 5,078 SH
22 META PLATFORMS INC META 30303M102 $1.1M 0.52% 1,850 SH
23 VANGUARD INDEX FDS VTI 922908769 $1.1M 0.52% 3,276 SH
24 AMGEN INC AMGN 031162100 $1.0M 0.51% 2,949 SH
25 MICRON TECHNOLOGY INC MU 595112103 $935.8K 0.46% 2,770 SH
26 MONOLITHIC PWR SYS INC MPWR 609839105 $856.1K 0.42% 783 SH
27 PAYCOM SOFTWARE INC PAYC 70432V102 $836.4K 0.41% 6,881 SH
28 SPDR GOLD TR GLD 78463V107 $827.4K 0.41% 1,923 SH
29 JPMORGAN CHASE & CO JPM 46625H100 $804.2K 0.40% 2,734 SH
30 QUANTA SVCS INC PWR 74762E102 $761.5K 0.38% 1,387 SH
31 COSTCO WHOLESALE CORPORATION COST 22160K105 $738.4K 0.36% 741 SH
32 ISHARES TR IWF 464287614 $652.9K 0.32% 1,531 SH
33 PARKER-HANNIFIN CORP PH 701094104 $636.5K 0.31% 711 SH
34 ISHARES TR ICSH 46434V878 $619.6K 0.31% 12,240 SH
35 PGIM ETF TR PULS 69344A107 $589.2K 0.29% 11,902 SH
36 ISHARES TR IBDR 46435GAA0 $560.1K 0.28% 23,107 SH
37 WALMART INC WMT 931142103 $470.9K 0.23% 3,789 SH
38 SHOPIFY INC SHOP 82509L107 $450.2K 0.22% 3,795 SH
39 CISCO SYS INC CSCO 17275R102 $425.8K 0.21% 5,487 SH
40 PHILIP MORRIS INTL INC PM 718172109 $421.9K 0.21% 2,552 SH
41 GE VERNOVA INC GEV 36828A101 $417.3K 0.21% 478 SH
42 INTUITIVE SURGICAL INC ISRG 46120E602 $406.1K 0.20% 881 SH
43 ISHARES TR IWD 464287598 $402.4K 0.20% 1,883 SH
44 HOME DEPOT INC HD 437076102 $399.1K 0.20% 1,214 SH
45 ABBVIE INC ABBV 00287Y109 $385.5K 0.19% 1,772 SH
46 FIRST SOLAR INC FSLR 336433107 $356.4K 0.18% 1,807 SH
47 ORACLE CORP ORCL 68389X105 $354.8K 0.17% 2,412 SH
48 TESLA INC TSLA 88160R101 $350.9K 0.17% 944 SH
49 ISHARES TR IVW 464287309 $335.3K 0.17% 2,965 SH
50 VISA INC V 92826C839 $318.3K 0.16% 1,053 SH
Filing History
Period Filed AUM Holdings Accession
2026-03-31 2026-04-21 $202.8M 74 0001951757-26-000682
2025-12-31 2026-02-02 $212.2M 58 0001951757-26-000343