Garde Capital

SEATTLE, WAfiles as Garde Capital, Inc.

$2.2bn in 224 US stocks at the end of 30 June 2026. The top 10 are 53.0% of the money. It changed about 16.2% of the portfolio this quarter.

Value
$2.2bn
Stocks
224
Top 10 share
53.0%
Turnover
16.2%

What changed this quarter

New

Bought for the first time this quarter.

  • Vanguard BD Index FDSBND
    5.9% of the fund
  • Vanguard Scottsdale FDSVMBS
    2.1% of the fund
  • Vanguard MUN BD FDSVTEB
    2.1% of the fund
  • Schwab Strategic TRSCHP
    1.7% of the fund
  • Ishares TRMUB
    1.6% of the fund
  • Ishares TRAGG
    0.9% of the fund
  • Ishares TREAGG
    0.4% of the fund
  • Vanguard Scottsdale FDSVGSH
    0.3% of the fund
  • Ishares TRHYGW
    <0.1% of the fund
  • Ishares TRTIP
    <0.1% of the fund
  • Ishares TRSUB
    <0.1% of the fund
  • Schwab Strategic TRSCHZ
    <0.1% of the fund
  • Vanguard BD Index FDSBSV
    <0.1% of the fund
  • IntelINTC
    <0.1% of the fund
  • Vanguard Scottsdale FDSVCSH
    <0.1% of the fund
  • DaveDAVE
    <0.1% of the fund
  • Dell TechnologiesDELL
    <0.1% of the fund
  • Marvell TechnologyMRVL
    <0.1% of the fund
  • Morgan StanleyMS
    <0.1% of the fund
  • Ishares TRIGM
    <0.1% of the fund
  • Vanguard Whitehall FDSVWOB
    <0.1% of the fund
  • Royal Bank of CanadaRY
    <0.1% of the fund
  • Global X FDSPAVE
    <0.1% of the fund
  • TwilioTWLO
    <0.1% of the fund
  • DeereDE
    <0.1% of the fund

Added

Bought more of a stock they already held.

  • Vanguard Intl Equity Index FVGK
    4.2% of the fund
    +4%
  • Ishares TRIEF
    2.7% of the fund
    +5%
  • Vanguard Malvern FDSVTIP
    2.6% of the fund
    +5%
  • MicrosoftMSFT
    2.4% of the fund
    +2%
  • Vanguard Index FDSVNQ
    1.7% of the fund
    +2%
  • Schwab Strategic TRSCHG
    1.5% of the fund
    +10%
  • Invesco QQQ TRQQQ
    1.2% of the fund
    +5%
  • AlphabetGOOG
    0.8% of the fund
    +4%
  • State STR Spdr S&P 500 ETF TSPY
    0.6% of the fund
    +64%
  • Vanguard Scottsdale FDSVGIT
    0.5% of the fund
    +4%
  • Vanguard Admiral FDSVOOV
    0.5% of the fund
    +95%
  • Meta PlatformsMETA
    0.4% of the fund
    +31%
  • TeslaTSLA
    0.3% of the fund
    +8%
  • Vanguard Admiral FDSVOOG
    0.1% of the fund
    +64%
  • Spdr Series TrustSPIP
    0.1% of the fund
    +5%
  • American Exceptionalism Acquisition Corp. AAEXA
    0.1% of the fund
    +14%
  • Micron TechnologyMU
    0.1% of the fund
    +100%
  • JPMorgan ChaseJPM
    <0.1% of the fund
    +27%
  • BroadcomAVGO
    <0.1% of the fund
    +10%
  • Palantir TechnologiesPLTR
    <0.1% of the fund
    +36%
  • Fidelity Wise Origin BitcoinFBTC
    <0.1% of the fund
    +218%
  • Vanguard Intl Equity Index FVEU
    <0.1% of the fund
    +20%
  • BoeingBA
    <0.1% of the fund
    +16%
  • Global X FDSCOPX
    <0.1% of the fund
    +4%
  • Goldman Sachs BDCGSBD
    <0.1% of the fund
    +4%

Cut

Sold some of their stake.

  • Vanguard Index FDSVOO
    1.6% of the fund
    -8%
  • Ishares TRIUSV
    1.1% of the fund
    -2%
  • Vanguard Instl Index FDVBIL
    0.9% of the fund
    -17%
  • Schwab Strategic TRSCHF
    0.8% of the fund
    -2%
  • Vanguard Specialized FundsVIG
    0.6% of the fund
    -6%
  • Vanguard World FDVSGX
    0.4% of the fund
    -4%
  • Vanguard Index FDSVBR
    0.4% of the fund
    -30%
  • Ishares TRIJR
    0.3% of the fund
    -2%
  • Zillow GroupZ
    0.3% of the fund
    -21%
  • Ishares TRIUSG
    0.2% of the fund
    -2%
  • Ishares Bitcoin Trust ETFIBIT
    0.1% of the fund
    -7%
  • Zillow GroupZG
    <0.1% of the fund
    -36%
  • T-Mobile USTMUS
    <0.1% of the fund
    -34%
  • Charles SchwabSCHW
    <0.1% of the fund
    -4%
  • Uber TechnologiesUBER
    <0.1% of the fund
    -13%
  • Ishares TRIWM
    <0.1% of the fund
    -8%
  • Ishares TRIWO
    <0.1% of the fund
    -5%
  • OracleORCL
    <0.1% of the fund
    -13%
  • Ishares TREFA
    <0.1% of the fund
    -10%
  • Ishares Ethereum TRETHA
    <0.1% of the fund
    -12%
  • NetflixNFLX
    <0.1% of the fund
    -8%
  • McDonald'sMCD
    <0.1% of the fund
    -3%
  • AmgenAMGN
    <0.1% of the fund
    -2%
  • Ishares TRIVV
    <0.1% of the fund
    -7%
  • SalesforceCRM
    <0.1% of the fund
    -36%

Sold out

Sold their entire stake.

Holdings

  • Vanguard Index FDSVTV
    Share
    10.7%
    Value
    $238m
    Shares
    1,093,987

    Held

  • Vanguard Index FDSVUG
    Share
    10.3%
    Value
    $230m
    Shares
    2,670,986

    Held

  • Vanguard Index FDSVV
    Share
    6.6%
    Value
    $148m
    Shares
    430,875

    Held

  • Vanguard BD Index FDSBND
    Share
    5.9%
    Value
    $133m
    Shares
    1,807,800

    New

  • Vanguard Index FDSVTI
    Share
    4.3%
    Value
    $95m
    Shares
    257,161

    Held

  • Vanguard Intl Equity Index FVGK
    Share
    4.2%
    Value
    $93m
    Shares
    1,046,545

    +4%

  • Vanguard Intl Equity Index FVPL
    Share
    3.2%
    Value
    $72m
    Shares
    621,511

    Held

  • Ishares TRIEF
    Share
    2.7%
    Value
    $61m
    Shares
    640,024

    +5%

  • Vanguard Malvern FDSVTIP
    Share
    2.6%
    Value
    $58m
    Shares
    1,156,378

    +5%

  • MicrosoftMSFT
    Share
    2.4%
    Value
    $54m
    Shares
    144,563

    +2%

  • Vanguard Index FDSVB
    Share
    2.3%
    Value
    $51m
    Shares
    167,731

    Held

  • Vanguard Scottsdale FDSVMBS
    Share
    2.1%
    Value
    $48m
    Shares
    1,020,835

    New

  • Vanguard MUN BD FDSVTEB
    Share
    2.1%
    Value
    $46m
    Shares
    905,827

    New

  • Schwab Strategic TRSCHP
    Share
    1.7%
    Value
    $39m
    Shares
    1,471,972

    New

  • Vanguard Index FDSVNQ
    Share
    1.7%
    Value
    $37m
    Shares
    384,725

    +2%

  • Vanguard Index FDSVOO
    Share
    1.6%
    Value
    $36m
    Shares
    52,059

    -8%

  • Ishares TRMUB
    Share
    1.6%
    Value
    $36m
    Shares
    330,129

    New

  • Vanguard Tax-Managed FDSVEA
    Share
    1.6%
    Value
    $35m
    Shares
    486,096

    Held

  • Schwab Strategic TRSCHG
    Share
    1.5%
    Value
    $34m
    Shares
    994,564

    +10%

  • Vanguard Intl Equity Index FVWO
    Share
    1.4%
    Value
    $32m
    Shares
    535,023

    Held

  • Vanguard World FDESGV
    Share
    1.4%
    Value
    $31m
    Shares
    234,927

    Held

  • AppleAAPL
    Share
    1.4%
    Value
    $31m
    Shares
    105,802

    Held

  • Amazon.comAMZN
    Share
    1.2%
    Value
    $26m
    Shares
    110,781

    Held

  • Invesco QQQ TRQQQ
    Share
    1.2%
    Value
    $26m
    Shares
    35,751

    +5%

  • Ishares TRIUSV
    Share
    1.1%
    Value
    $26m
    Shares
    232,407

    -2%

  • Ishares TRAGG
    Share
    0.9%
    Value
    $21m
    Shares
    208,346

    New

  • Schwab Strategic TRSCHV
    Share
    0.9%
    Value
    $20m
    Shares
    582,638

    Held

  • Ishares TRIEUR
    Share
    0.9%
    Value
    $20m
    Shares
    262,598

    Held

  • Vanguard Instl Index FDVBIL
    Share
    0.9%
    Value
    $19m
    Shares
    252,241

    -17%

  • AlphabetGOOGL
    Share
    0.8%
    Value
    $19m
    Shares
    52,896

    Held

  • Schwab Strategic TRSCHF
    Share
    0.8%
    Value
    $19m
    Shares
    677,996

    -2%

  • AlphabetGOOG
    Share
    0.8%
    Value
    $19m
    Shares
    52,558

    +4%

  • Vanguard Index FDSVBK
    Share
    0.7%
    Value
    $15m
    Shares
    40,289

    Held

  • State STR Spdr S&P 500 ETF TSPY
    Share
    0.6%
    Value
    $14m
    Shares
    18,695

    +64%

  • Vanguard Specialized FundsVIG
    Share
    0.6%
    Value
    $14m
    Shares
    57,369

    -6%

  • Vanguard Scottsdale FDSVGIT
    Share
    0.5%
    Value
    $12m
    Shares
    205,494

    +4%

  • Vanguard Admiral FDSVOOV
    Share
    0.5%
    Value
    $12m
    Shares
    54,713

    +95%

  • Ishares TRIPAC
    Share
    0.5%
    Value
    $11m
    Shares
    138,788

    Held

  • Ishares TREAGG
    Share
    0.4%
    Value
    $10m
    Shares
    209,602

    New

  • Vanguard World FDVSGX
    Share
    0.4%
    Value
    $10m
    Shares
    120,137

    -4%

  • Schwab Strategic TRSCHE
    Share
    0.4%
    Value
    $10m
    Shares
    271,769

    Held

  • NvidiaNVDA
    Share
    0.4%
    Value
    $10m
    Shares
    48,743

    Held

  • Vanguard Index FDSVBR
    Share
    0.4%
    Value
    $10m
    Shares
    39,800

    -30%

  • Meta PlatformsMETA
    Share
    0.4%
    Value
    $8m
    Shares
    14,317

    +31%

  • Ishares TRIWF
    Share
    0.4%
    Value
    $8m
    Shares
    63,908

    Held

  • Ishares TRIJR
    Share
    0.3%
    Value
    $7m
    Shares
    49,016

    -2%

  • Ishares TRIWB
    Share
    0.3%
    Value
    $7m
    Shares
    17,363

    Held

  • Schwab Strategic TRSCHA
    Share
    0.3%
    Value
    $7m
    Shares
    191,298

    Held

  • Ishares TRCMF
    Share
    0.3%
    Value
    $7m
    Shares
    116,793

    Held

  • Vanguard Scottsdale FDSVGSH
    Share
    0.3%
    Value
    $7m
    Shares
    112,570

    New

  • Zillow GroupZ
    Share
    0.3%
    Value
    $7m
    Shares
    206,709

    -21%

  • TeslaTSLA
    Share
    0.3%
    Value
    $6m
    Shares
    15,239

    +8%

  • Ishares TRICF
    Share
    0.3%
    Value
    $6m
    Shares
    88,739

    Held

  • CaterpillarCAT
    Share
    0.3%
    Value
    $6m
    Shares
    5,482

    Held

  • Ishares TRIUSG
    Share
    0.2%
    Value
    $6m
    Shares
    29,323

    -2%

  • Berkshire HathawayBRK-B
    Share
    0.2%
    Value
    $5m
    Shares
    10,718

    Held

  • Ishares TRSUSA
    Share
    0.2%
    Value
    $5m
    Shares
    34,525

    Held

  • Ishares TRESGD
    Share
    0.2%
    Value
    $5m
    Shares
    49,875

    Held

  • Taiwan Semiconductor ManufacturingTSM
    Share
    0.2%
    Value
    $5m
    Shares
    10,204

    Held

  • Ishares Gold TRIAU
    Share
    0.2%
    Value
    $5m
    Shares
    63,769

    Held

  • Vanguard World FDVGT
    Share
    0.2%
    Value
    $4m
    Shares
    37,546

    Held

  • Dimensional ETF TrustDFSI
    Share
    0.2%
    Value
    $4m
    Shares
    94,113

    Held

  • Costco WholesaleCOST
    Share
    0.2%
    Value
    $4m
    Shares
    4,213

    Held

  • Ishares TRESGU
    Share
    0.2%
    Value
    $4m
    Shares
    21,854

    Held

  • Ishares TRIVE
    Share
    0.2%
    Value
    $3m
    Shares
    15,042

    Held

  • Vanguard Admiral FDSVOOG
    Share
    0.1%
    Value
    $3m
    Shares
    40,062

    +64%

  • Spdr Series TrustSPIP
    Share
    0.1%
    Value
    $3m
    Shares
    127,494

    +5%

  • American Exceptionalism Acquisition Corp. AAEXA
    Share
    0.1%
    Value
    $3m
    Shares
    266,790

    +14%

  • Micron TechnologyMU
    Share
    0.1%
    Value
    $3m
    Shares
    2,558

    +100%

  • Ishares Bitcoin Trust ETFIBIT
    Share
    0.1%
    Value
    $3m
    Shares
    75,113

    -7%

  • Eli LillyLLY
    Share
    <0.1%
    Value
    $2m
    Shares
    1,852

    Held

  • JPMorgan ChaseJPM
    Share
    <0.1%
    Value
    $2m
    Shares
    6,432

    +27%

  • SnowflakeSNOW
    Share
    <0.1%
    Value
    $2m
    Shares
    8,213

    Held

  • Vanguard Scottsdale FDSVONG
    Share
    <0.1%
    Value
    $2m
    Shares
    16,176

    Held

  • BroadcomAVGO
    Share
    <0.1%
    Value
    $2m
    Shares
    5,346

    +10%

  • Ishares TRESML
    Share
    <0.1%
    Value
    $2m
    Shares
    35,993

    Held

  • Select Sector Spdr TRXLK
    Share
    <0.1%
    Value
    $2m
    Shares
    10,549

    Held

  • Ishares TRIWV
    Share
    <0.1%
    Value
    $2m
    Shares
    4,628

    Held

  • Zillow GroupZG
    Share
    <0.1%
    Value
    $2m
    Shares
    62,553

    -36%

  • IsharesIEMG
    Share
    <0.1%
    Value
    $2m
    Shares
    23,682

    Held

  • Ishares TRIYR
    Share
    <0.1%
    Value
    $2m
    Shares
    18,679

    Held

  • T-Mobile USTMUS
    Share
    <0.1%
    Value
    $2m
    Shares
    11,255

    -34%

  • Charles SchwabSCHW
    Share
    <0.1%
    Value
    $2m
    Shares
    19,108

    -4%

  • Palantir TechnologiesPLTR
    Share
    <0.1%
    Value
    $2m
    Shares
    15,040

    +36%

  • American ExpressAXP
    Share
    <0.1%
    Value
    $2m
    Shares
    5,179

    Held

  • Fidelity Wise Origin BitcoinFBTC
    Share
    <0.1%
    Value
    $2m
    Shares
    34,083

    +218%

  • IsharesEZU
    Share
    <0.1%
    Value
    $2m
    Shares
    23,972

    Held

  • Ishares TRIWD
    Share
    <0.1%
    Value
    $2m
    Shares
    6,771

    Held

  • Vanguard Intl Equity Index FVEU
    Share
    <0.1%
    Value
    $2m
    Shares
    19,399

    +20%

  • QualcommQCOM
    Share
    <0.1%
    Value
    $2m
    Shares
    8,771

    Held

  • Spdr Series TrustSPHY
    Share
    <0.1%
    Value
    $2m
    Shares
    66,817

    Held

  • Uber TechnologiesUBER
    Share
    <0.1%
    Value
    $2m
    Shares
    21,171

    -13%

  • Ishares TRIEFA
    Share
    <0.1%
    Value
    $1m
    Shares
    15,494

    Held

  • Dimensional ETF TrustDFUV
    Share
    <0.1%
    Value
    $1m
    Shares
    26,598

    Held

  • Chipotle Mexican GrillCMG
    Share
    <0.1%
    Value
    $1m
    Shares
    42,552

    Held

  • Expedia GroupEXPE
    Share
    <0.1%
    Value
    $1m
    Shares
    5,538

    Held

  • Texas InstrumentsTXN
    Share
    <0.1%
    Value
    $1m
    Shares
    4,745

    Held

  • BoeingBA
    Share
    <0.1%
    Value
    $1m
    Shares
    6,317

    +16%

  • Peloton InteractivePTON
    Share
    <0.1%
    Value
    $1m
    Shares
    229,498

    Held

  • Global X FDSCOPX
    Share
    <0.1%
    Value
    $1m
    Shares
    17,213

    +4%

Showing the largest 100 of 224.

Over time and by industry

Value over time

Jun '25
 
Dec '25
 
Jun '26

Value is up 19.4% since 30 June 2025.

Where the money is

Technology5.7%
Media & telecom2.2%
Retail & consumer1.8%
Financial services0.8%
Industrials0.5%
Everyday goods0.3%
Health care0.2%
Energy0.1%
Utilities0.0%
Materials0.0%
Other88.3%

From the fund's 13F filings. They list US stocks and options only, 45 days after each quarter, and leave out cash, bonds, shorts and foreign shares.