Répartition sectorielle

04
Technology 9,8%
Financials 6,3%
Communication Services 4,0%
Retail 3,8%
Energy 1,9%
Industrials 1,6%
Healthcare 1,3%
Consumer Discretionary 0,5%
Utilities 0,5%
Consumer products 0,3%
Consumer Staples 0,2%
Real Estate 0,2%
Autre/Non mappé 69,5%

Portefeuille complet 71 positions

05
Type Série Tendance 8 trimestres
DFAC Dimensional ETF Trust $14 529 511 12,49% 327 536 $2 411 377 Hausse ×2
IVV iShares Trust $9 247 660 7,95% 12 348 $1 296 944 Hausse ×2
IYK iShares Trust $7 292 929 6,27% 100 371 $383 958 Hausse ×2
PHO Invesco Water Resources ETF $6 862 595 5,90% 99 343 $398 124 Hausse ×2
AGG iShares Trust $6 801 792 5,85% 68 719 $-190 667 Baisse ×1
DFAX Dimensional ETF Trust $5 881 932 5,05% 159 662 $1 017 209 Hausse ×2
AAPL Apple Inc. - Common Stock $5 838 465 5,02% 20 177 $716 641 Baisse ×1
VWO VANGUARD INTERNATIONAL EQUITY INDEX FUNDS $4 325 378 3,72% 72 464 $523 851 Hausse ×2
XAR SPDR SERIES TRUST $3 994 415 3,43% 14 075 $619 379 Hausse ×2
BNDX Vanguard Total International Bond ETF $3 971 141 3,41% 81 998 $113 518 Hausse ×2
SPY SPY $3 295 429 2,83% 4 413 $364 444 Baisse ×2
BRK-B (déposé en tant que BRKB) Berkshire Hathaway Inc. Class B $3 016 102 2,59% 6 028 $112 867 Baisse ×2
NVDA NVIDIA Corporation - Common Stock $2 941 978 2,53% 14 703 $210 215 Baisse ×2
DFCF Dimensional ETF Trust $2 333 596 2,01% 55 285 $653 529 Hausse ×2
GOOGL Alphabet Inc. - Class A Common Stock $2 089 261 1,80% 5 846 $355 425 Baisse ×2
COST Costco Wholesale Corporation - Common Stock $1 974 372 1,70% 2 111 $-147 905 Baisse ×1
AMZN Amazon.com, Inc. - Common Stock $1 936 751 1,66% 8 126 $-46 188 Baisse ×2
CVX Chevron Corporation Common Stock $1 702 102 1,46% 10 268 $-407 874 Hausse ×2
JPM JP Morgan Chase & Co. Common Stock $1 548 422 1,33% 4 730 $167 189 Hausse ×2
BRK-A (déposé en tant que BRKA) Berkshire Hathaway Inc. Class A $1 497 700 1,29% 2 $61 420
MSFT Microsoft Corporation - Common Stock $1 441 856 1,24% 3 865 $-287 Baisse ×1
DFAI Dimensional ETF Trust $1 275 753 1,10% 30 927 $82 837 Hausse ×1
RTX RTX Corporation Common Stock $1 244 029 1,07% 6 557 $-18 282 Hausse ×2
CSCO Cisco Systems, Inc. - Common Stock $1 099 344 0,94% 9 359 $369 064 Baisse ×1
MDY State Street SPDR S&P MIDCAP 400 ETF Trust $998 568 0,86% 1 420 $124 388 Hausse ×2
GLD SPDR Gold Shares $958 451 0,82% 2 602 $-161 078
IBM International Business Machines Corporation Common Stock $921 188 0,79% 3 276 $137 826 Hausse ×2
VYM VANGUARD WHITEHALL FUNDS $899 981 0,77% 5 695 $-62 509 Baisse ×1
GOOG Alphabet Inc. - Class C Capital Stock $775 210 0,67% 2 194 $147 370 Hausse ×1
VCEB VANGUARD WORLD FUND $755 619 0,65% 12 040 $1 215 Hausse ×2
DFIC Dimensional ETF Trust $745 200 0,64% 20 000 $34 600
VTES VANGUARD WELLINGTON FUND $730 931 0,63% 7 215 $2 038 Hausse ×1
V Visa Inc. $694 161 0,60% 2 023 $266 177 Hausse ×2
HD Home Depot, Inc. (The) Common Stock $553 492 0,48% 1 569 $67 620 Hausse ×2
CGGR Capital Group Growth ETF $534 776 0,46% 11 330 $-320 071 Baisse ×1
VTEI VANGUARD MUNICIPAL BOND FUNDS $533 335 0,46% 5 282 $6 036 Hausse ×1
VT VANGUARD INTERNATIONAL EQUITY INDEX FUNDS $523 180 0,45% 3 333 $62 619 Hausse ×2
BND Vanguard Total Bond Market ETF $519 813 0,45% 7 081 $-20 231 Baisse ×1
XOM Exxon Mobil Corporation Common Stock $469 045 0,40% 3 431 $-111 097 Hausse ×2
JEPI J.P. Morgan Exchange-Traded Fund Trust $433 540 0,37% 7 676 $-27 042 Baisse ×1
META Meta Platforms, Inc. - Class A Common Stock $422 179 0,36% 749 $-23 107 Baisse ×1
SBUX Starbucks Corporation - Common Stock $408 019 0,35% 3 993 $58 515 Hausse ×2
IHI iShares Trust $397 207 0,34% 8 039 $-31 674
SYK Stryker Corporation Common Stock $393 245 0,34% 1 249 $-21 021 Baisse ×1
NOBL ProShares Trust $378 242 0,33% 6 735 $130 212 Hausse ×2
ITOT iShares Trust $371 096 0,32% 2 259 $49 720 Hausse ×2
JNJ Johnson & Johnson Common Stock $369 018 0,32% 1 453 $5 047 Baisse ×1
SRE DBA Sempra Common Stock $363 519 0,31% 3 921 $-17 385 Hausse ×2
DFAS Dimensional ETF Trust $356 257 0,31% 4 327 $152 397 Hausse ×1
CR Crane Company Common Stock $338 620 0,29% 1 518 $79 042
AXP American Express Company Common Stock $325 417 0,28% 962 $34 799 Hausse ×2
NUMG Nushares ETF Trust $321 019 0,28% 6 836 $38 881 Baisse ×1
MRVL Marvell Technology, Inc. - Common Stock $313 584 0,27% 1 053 Hausse ×1
PRU Prudential Financial, Inc. Common Stock $306 189 0,26% 2 837 $30 348 Hausse ×1
CHD Church & Dwight Company, Inc. Common Stock $294 128 0,25% 3 036 $10 808
AMGN Amgen Inc. - Common Stock $289 577 0,25% 800 $1 733 Baisse ×1
ABBV AbbVie Inc. Common Stock $275 161 0,24% 1 093 $37 342
NEE NextEra Energy, Inc. Common Stock $272 538 0,23% 3 105 $-15 867
TIP iShares Trust $271 653 0,23% 2 482 $9 292 Hausse ×1
ESGD iShares ESG Aware MSCI EAFE ETF $259 904 0,22% 2 528 $18 177
DE Deere & Company Common Stock $253 732 0,22% 400 $28 412
VTEC VANGUARD CALIFORNIA TAX-FREE FUNDS $253 255 0,22% 2 517 $49 233 Hausse ×2
DIS Walt Disney Company (The) Common Stock $244 769 0,21% 2 543 $-5 840 Baisse ×1
KO Coca-Cola Company (The) Common Stock $241 490 0,21% 2 971 $26 578 Hausse ×1
NVS Novartis AG Common Stock $235 881 0,20% 1 505 $5 975
IDRV iShares Trust $233 359 0,20% 6 125 $6 103 Hausse ×2
VAW VANGUARD WORLD FUND $228 790 0,20% 1 000 $3 450
VDC VANGUARD WORLD FUND $225 490 0,19% 1 000 $900
PSA Public Storage Common Stock $217 852 0,19% 684 Hausse ×1
TSLA Tesla, Inc. - Common Stock $200 626 0,17% 477
EXG Eaton Vance Tax-Managed Global Diversified Equity Income Fund Common Shares of Beneficial Interest $113 256 0,10% 11 545 $13 276

Plus gros nouveaux paris

09

Nouvelles positions ouvertes ce trimestre, par ordre décroissant.

TitreValeurActions% du portefeuille
MRVL $313 584 1 053 0,27%
PSA $217 852 684 0,19%
TSLA $200 626 477 0,17%

Principaux mouvements (T/T)

10
TitreMouvementΔ ActionsΔ Valeur
DFAC A acheté plus +16K +$2.4M
IVV A acheté plus +176 +$1.3M
DFAX A acheté plus +16K +$1.0M
AAPL Réduit -4 +$717K
DFCF A acheté plus +15K +$654K
XAR A acheté plus +786 +$619K
VWO A acheté plus +2K +$524K
CVX A acheté plus +70 -$408K
PHO A acheté plus +3K +$398K
IYK A acheté plus +2K +$384K

Positions clôturées

11

Inclut les événements d'entreprise (fusions, retraits de la cote) — toutes les sorties ne sont pas des ventes

Les positions clôturées reflètent les changements de déclaration 13F ; pour les gestionnaires d'indices, il s'agit souvent de décisions mécaniques (radiation, fusions et acquisitions, rééquilibrage d'indices), et non de décisions actives.

TitreTrimestreActions avantValeur avantPrix depuis la sortie
CGDV 30 juin 2026 29 502 $1 255 034
CGGO 30 juin 2026 28 261 $943 068
CGDG 30 juin 2026 22 902 $822 191
TSLA 31 mars 2026 477 $214 516 -0,3%
HDV 30 juin 2026 1 515 $205 645 3,2%