Desglose por sector

04
Technology 6,3%
Health Care 3,0%
Retail 2,3%
Consumer Staples 2,0%
Industrials 1,8%
Communication Services 1,2%
Consumer products 0,7%
Financials 0,4%
Consumer Discretionary 0,2%
Materials 0,2%
Energy 0,2%
Otro/No mapeado 81,6%

Cartera completa 80 posiciones

05
Tipo Racha Tendencia 8T
NEAR iShares U.S. ETF Trust $8 759 621 6,75% 172 910 $480 883 Subir ×2
MINT PIMCO ETF Trust $6 978 068 5,38% 69 220 $259 654 Subir ×2
BSV VANGUARD BOND INDEX FUNDS $6 837 049 5,27% 87 735 $737 087 Subir ×2
GVI iShares Trust $5 811 354 4,48% 54 775 $748 049 Subir ×2
VTI VANGUARD INDEX FUNDS $5 605 695 4,32% 15 148 $1 175 787 Subir ×2
BOND PIMCO ETF Trust $5 595 764 4,31% 60 685 $1 097 741 Subir ×2
ICSH iShares U.S. ETF Trust $5 266 137 4,06% 104 115 $753 496 Subir ×1
LDUR PIMCO ETF Trust $5 118 003 3,94% 53 530 $684 857 Subir ×2
ISTB iShares Core 1-5 Year USD Bond ETF $4 446 720 3,43% 92 160 $299 366 Subir ×2
AVSF AMERICAN CENTURY ETF TRUST $4 125 002 3,18% 88 580 $417 551 Subir ×2
SYK Stryker Corporation Common Stock $3 881 662 2,99% 12 329 $-135 564 Subir ×2
AVEM AMERICAN CENTURY ETF TRUST $3 681 769 2,84% 38 157 $811 143 Subir ×2
IEFA iShares Trust $3 623 682 2,79% 37 520 $423 435 Subir ×2
QUAL iShares Trust $3 614 451 2,78% 16 472 $768 241 Subir ×2
AVUS AMERICAN CENTURY ETF TRUST $3 394 376 2,61% 26 502 $505 193 Bajar ×2
AAPL Apple Inc. - Common Stock $2 718 537 2,09% 9 395 $208 583 Bajar ×1
AVDE AMERICAN CENTURY ETF TRUST $2 509 642 1,93% 28 135 $196 101
LRGF iShares Trust $2 397 849 1,85% 31 705 $608 301 Subir ×2
AVUV AMERICAN CENTURY ETF TRUST $2 359 212 1,82% 18 910 $368 127 Subir ×2
IQLT iShares Trust $2 348 026 1,81% 47 387 $287 561 Subir ×2
VOE VANGUARD INDEX FUNDS $2 126 213 1,64% 10 759 $198 201 Subir ×1
NVDA NVIDIA Corporation - Common Stock $1 936 871 1,49% 9 680 $353 882 Subir ×2
IAU iShares Gold Trust Shares $1 924 750 1,48% 25 490 $-175 144 Subir ×1
IVLU iShares Trust $1 896 872 1,46% 45 358 $241 982 Subir ×2
AVDV AMERICAN CENTURY ETF TRUST $1 805 951 1,39% 17 525 $128 492 Subir ×2
COST Costco Wholesale Corporation - Common Stock $1 557 558 1,20% 1 665 $-76 833 Subir ×1
MSFT Microsoft Corporation - Common Stock $1 536 842 1,18% 4 120 $134 744 Subir ×2
INTF iShares Trust $1 524 736 1,17% 37 225 $318 337 Subir ×2
AVGV AMERICAN CENTURY ETF TRUST $1 375 056 1,06% 16 200 $1 142 524 Subir ×1
VBR VANGUARD INDEX FUNDS $1 314 333 1,01% 5 409 $181 766 Subir ×1
PM Philip Morris International Inc Common Stock $1 311 959 1,01% 7 252 $145 457 Subir ×1
AVLV AMERICAN CENTURY ETF TRUST $1 245 016 0,96% 13 650 $245 184 Subir ×2
QQQ Invesco QQQ Trust, Series 1 $1 226 106 0,94% 1 665 $371 938 Subir ×1
SPEM SPDR INDEX SHARES FUNDS $1 079 354 0,83% 20 845 $131 532
GOOGL Alphabet Inc. - Class A Common Stock $826 239 0,64% 2 312 $248 060 Subir ×2
AVIV AMERICAN CENTURY ETF TRUST $814 923 0,63% 10 526 $58 412 Subir ×1
DE Deere & Company Common Stock $792 912 0,61% 1 250 $98 537
VT VANGUARD INTERNATIONAL EQUITY INDEX FUNDS $791 028 0,61% 5 040 $114 710
AMD Advanced Micro Devices, Inc. - Common Stock $788 876 0,61% 1 358 $520 693 Bajar ×1
EMR Emerson Electric Company Common Stock $787 325 0,61% 5 500 $109 175
AMZN Amazon.com, Inc. - Common Stock $684 274 0,53% 2 871 $165 220 Subir ×2
VGT VANGUARD WORLD FUND $669 312 0,52% 5 600 $268 092 Subir ×1
PYLD PIMCO Multisector Bond Active Exchange-Traded Fund $660 348 0,51% 24 900 $78 987 Subir ×1
MO Altria Group, Inc. $592 364 0,46% 8 233 $40 588
VSS VANGUARD INTERNATIONAL EQUITY INDEX FUNDS $575 502 0,44% 3 730 $47 856
PG Procter & Gamble Company (The) Common Stock $572 043 0,44% 3 901 $-7 126 Bajar ×2
CAT Caterpillar, Inc. Common Stock $559 072 0,43% 525 $225 357 Subir ×1
CSCO Cisco Systems, Inc. - Common Stock $553 941 0,43% 4 716 $238 077 Subir ×1
TSM Taiwan Semiconductor Manufacturing Company Ltd. $508 612 0,39% 1 065 $179 136 Subir ×2
AVES AMERICAN CENTURY ETF TRUST $492 000 0,38% 7 500 $61 098 Subir ×1
HD Home Depot, Inc. (The) Common Stock $429 212 0,33% 1 217 $46 512 Subir ×1
DELL Dell Technologies Inc. Class C Common Stock $406 867 0,31% 943 Subir ×1
ACWI iShares MSCI ACWI ETF $384 576 0,30% 2 450 $117 538 Subir ×2
MGK VANGUARD WORLD FUND $383 727 0,30% 4 365 Subir ×1
MDLZ Mondelez International, Inc. - Class A Common Stock $382 727 0,29% 6 617 $-733 Subir ×1
VXUS Vanguard Total International Stock ETF $343 755 0,26% 4 021 $62 027 Subir ×1
SGOV iShares Trust $342 278 0,26% 3 400 $-251 616 Bajar ×2
WMT Walmart Inc. - Common Stock $325 962 0,25% 2 878 $-25 272 Subir ×1
BRK-B (presentado como BRKB) Berkshire Hathaway Inc. Class B $324 253 0,25% 648 $-56 899 Bajar ×1
MCD McDonald's Corporation Common Stock $317 074 0,24% 1 173 $-34 342 Subir ×1
VO VANGUARD INDEX FUNDS $300 687 0,23% 3 732 $38 579 Subir ×1
CL Colgate-Palmolive Company Common Stock $299 427 0,23% 3 266 $19 433
PANW Palo Alto Networks, Inc. - Common Stock $298 734 0,23% 876 Subir ×1
VGK VANGUARD INTERNATIONAL EQUITY INDEX FUNDS $286 693 0,22% 3 238 $28 074
APD Air Products and Chemicals, Inc. Common Stock $285 850 0,22% 975 $8 868 Subir ×1
XOM Exxon Mobil Corporation Common Stock $271 116 0,21% 1 983 $-20 726 Subir ×1
KO Coca-Cola Company (The) Common Stock $260 552 0,20% 3 206 $22 742 Subir ×1
VEA VANGUARD TAX-MANAGED FUNDS $254 861 0,20% 3 577 $43 959 Subir ×1
MMM 3M Company Common Stock $250 960 0,19% 1 550 $30 054
SUSA iShares Trust $245 337 0,19% 1 590 $40 879
TRV The Travelers Companies, Inc. Common Stock $242 308 0,19% 734 $28 112
VUG VANGUARD INDEX FUNDS $228 960 0,18% 2 658 Subir ×1
EFA iShares Trust $225 420 0,17% 2 170 Subir ×1
IWD iShares Trust $206 066 0,16% 850 Subir ×1
BIL SPDR SERIES TRUST $205 182 0,16% 2 239 $0
T AT&T Inc. $166 603 0,13% 150 840 Subir ×1
NBB Nuveen Taxable Municipal Income Fund Common Shares of Beneficial Interest $157 800 0,12% 10 000 $4 900
GBAB Guggenheim Taxable Municipal Bond & Investment Grade Debt Trust Common Shares of Beneficial Interest $144 600 0,11% 10 000 $4 700
BLW Blackrock Limited Duration Income Trust $124 900 0,10% 10 000 $3 300
PCN Pimco Corporate & Income Strategy Fund Common Stock $119 500 0,09% 10 000 $4 500

Mayores apuestas nuevas

09

Nuevas posiciones abiertas este trimestre, las mayores primero.

ValorValorAcciones% de la cartera
DELL $406 867 943 0,31%
MGK $383 727 4 365 0,30%
PANW $298 734 876 0,23%
VUG $228 960 2 658 0,18%
EFA $225 420 2 170 0,17%
IWD $206 066 850 0,16%
T $166 603 150 840 0,13%

Principales movimientos (trimestre a trimestre)

10
ValorMovimientoAcciones ΔValor Δ
VTI Compró más +935 +$1.2M
BOND Compró más +12K +$1.1M
AVEM Compró más +1K +$811K
QUAL Compró más +1K +$768K
ICSH Compró más +15K +$753K
GVI Compró más +7K +$748K
BSV Compró más +10K +$737K
LDUR Compró más +7K +$685K
LRGF Compró más +4K +$608K
AMD Reducido -10 +$521K

1 position hidden — reported move looks larger than the position itself (data completeness check)

Posiciones cerradas

11

Incluye eventos corporativos (fusiones, exclusiones de cotización) — no todas las salidas son ventas

Las posiciones cerradas reflejan cambios en los informes 13F; para los gestores de índices, estos suelen ser mecánicos (exclusión de cotización, fusiones y adquisiciones, reequilibrio de índices), no decisiones activas.

ValorTrimestreAcciones anterioresValor anteriorPrecio desde la eliminación
LLY 30 de junio de 2026 1 327 $1 176 558 -4,7%
JPM 30 de junio de 2026 3 016 $855 850 1,5%
XLK 30 de junio de 2026 3 250 $414 378 4,9%
CVX 30 de junio de 2026 1 000 $210 710 24,7%
AGG 31 de marzo de 2026 2 100 $209 748