13F

Investor

17 CAPITAL PARTNERS, LLC

CIK 0001727407 · filed 2026-05-13 · SEC filing

13F book

$194.2M

Positions

170

23 new · 11 sold

Largest name

13.0%

Meta Platforms, Inc. · META

Est. mark

−$10.9M

Price effect on 147 names still held. Flow $12M.
NameTickerSharesValueWeightEst. markChange
Meta Platforms, Inc.META44.1K$25.2M13.0%−$3.87MAdded−$3.83M
Ishares 0-3 Month67.7K$6.82M3.5%$7.95KAdded$3.97M
Alphabet Inc20.6K$5.94M3.1%−$525.1KCut−$625K
Microsoft CorpMSFT10.7K$3.95M2.0%−$1.18MAdded−$1.09M
Ishares Tr30.7K$3.47M1.8%−$228.6KAdded$693.4K
Alphabet Inc11.3K$3.24M1.7%−$299.2KAdded−$246.7K
Apple Inc.AAPL11.8K$2.99M1.5%−$189.9KAdded$135.2K
Parker-Hannifin CorpPH3.09K$2.76M1.4%$50.3KCut−$1.08M
Ishares Tr25.7K$2.62M1.4%−$7.44KCut−$433.3K
Blackrock Etf Trust25K$2.51M1.3%$6.39KAdded$141K
Corteva, Inc.CTVA29.9K$2.5M1.3%$498.6KCut$347K
Nvidia CorpNVDA13.3K$2.33M1.2%−$153.5KAdded−$40.9K
Ishares Tr10.9K$2.31M1.2%−$9.25KAdded$176.1K
Vanguard Index Fds3.31K$1.98M1.0%−$21.5KAdded$1.52M
First Tr Exchange Traded Fd28.8K$1.96M1.0%−$32.9KAdded$44K
Capital One Finl Corp10.4K$1.9M1.0%−$624.1KHeld
Amgen IncAMGN5.04K$1.77M0.9%$123.7KCut$112.9K
Martin Marietta Matls Inc3.01K$1.77M0.9%−$102.4KHeld
General Dynamics CorpGD4.97K$1.71M0.9%$32.3KAdded$51.1K
Mitsubishi Ufj Finl Group In98.8K$1.68M0.9%$109.7KCut$55.8K
Ishares Tr4.54K$1.62M0.8%−$73.2KAdded$277
Wells Fargo Co New20.2K$1.61M0.8%−$274.6KCut−$350.6K
Ecolab Inc.ECL6.02K$1.6M0.8%$20.9KAdded$35.5K
Ameriprise Finl Inc3.52K$1.56M0.8%−$161.5KHeld
Vanguard Admiral Fds Inc13.6K$1.56M0.8%$47.7KAdded$192.7K
Coca Cola CoKO20.3K$1.54M0.8%$123.2KAdded$140.3K
Uber Technologies, IncUBER20.7K$1.49M0.8%−$200.3KAdded−$186K
Ishares Tr5.93K$1.47M0.8%$10.2KAdded$99.5K
Advanced Micro Devices IncAMD7.21K$1.47M0.8%−$75KAdded−$29.2K
Chevron Corp NewCVX6.97K$1.44M0.7%New
Us Bancorp Del27.2K$1.42M0.7%−$36.7KHeld
Amazon Com IncAMZN6.67K$1.39M0.7%−$150.3KCut−$593.5K
Sony Group Corp66.1K$1.37M0.7%−$323.9KHeld
Teledyne Technologies IncTDY2.25K$1.36M0.7%$212.2KCut$209.2K
Motorola Solutions, Inc.MSI3.11K$1.35M0.7%New
Vanguard World Fd11.1K$1.34M0.7%−$129.4KAdded−$27.2K
Ishares Tr13.8K$1.31M0.7%−$9.91KCut−$2M
Ishares Tr1.96K$1.28M0.7%−$60.4KAdded−$23.1K
Pnc Finl Svcs Group Inc6.15K$1.28M0.7%−$3.87KAdded$16.9K
Ishares Tr2.92K$1.25M0.6%−$125.3KAdded−$18.2K
Fidelity Covington Trust24.7K$1.24M0.6%−$105.5KAdded$12K
Vanguard World Fd1.76K$1.23M0.6%−$92.7KAdded−$20.2K
Qualcomm Inc9.39K$1.21M0.6%−$392.6KAdded−$379.8K
Invesco Qqq Tr2.06K$1.19M0.6%−$76.6KCut−$114K
Atmos Energy CorpATO6.42K$1.19M0.6%$109.8KCut−$331.6K
Microchip Technology Inc.18.1K$1.17M0.6%$16.1KCut$11.8K
Lennar Corp13.4K$1.17M0.6%−$214.4KHeld
Totalenergies SeTTE12.8K$1.16M0.6%$326.1KHeld
Rpm Intl Inc11.7K$1.16M0.6%−$53.6KHeld
Ishares Tr24.9K$1.15M0.6%−$4.75KAdded$517K
Air Prods & Chems Inc3.92K$1.14M0.6%$170.4KHeld
American Intl Group Inc15K$1.13M0.6%−$154.1KCut−$155.2K
Xcel Energy Inc14K$1.11M0.6%$76.6KAdded$96.5K
Goldman Sachs Etf Tr8.67K$1.09M0.6%−$56.8KAdded$46K
Ishares Tr3.29K$1.08M0.6%$82.1KAdded$184.3K
Netflix IncNFLX11.2K$1.08M0.6%$26.8KCut$20.3K
Vanguard Index Fds3.75K$1.08M0.6%New
Sherwin Williams CoSHW3.32K$1.06M0.5%−$11.5KAdded−$3.44K
Danaher Corporation5.48K$1.04M0.5%−$215.3KHeld
Synopsys IncSNPS2.59K$1.03M0.5%−$189.7KHeld
Autodesk, Inc.ADSK4.28K$1.02M0.5%−$236.3KAdded−$212.4K
Procter And Gamble CoPG7.07K$1.02M0.5%$7.99KHeld
Mastercard IncMA2.04K$1.02M0.5%−$140.4KAdded−$108K
Oshkosh CorpOSK6.91K$1.02M0.5%$149.2KCut$146.7K
Ishares Inc14.5K$1.01M0.5%$19.9KAdded$485.8K
Select Sector Spdr Tr7.49K$994.8K0.5%−$73KAdded$45.3K
Cullen Frost Bankers Inc7.11K$974.6K0.5%$74.3KHeld
Marvell Technology, Inc.MRVL9.81K$971.7K0.5%$129.9KAdded$187.3K
Vaneck Etf Trust2.51K$962K0.5%$54.1KAdded$125K
Alcon IncALC12.7K$960.3K0.5%−$44.1KHeld
J P Morgan Exchange Traded F14.1K$958.6K0.5%−$3.04KAdded$58.4K
Ishares Tr9.53K$945.6K0.5%−$5.01KAdded$124.8K
Adobe Inc.ADBE3.83K$931.7K0.5%−$409.8KHeld
Wesco Intl Inc3.4K$931.7K0.5%$71.1KAdded$331.1K
Merck & Co., Inc.MRK7.7K$926.7K0.5%$114.3KAdded$126.3K
T-Mobile Us Inc4.41K$925.6K0.5%$30.6KAdded$37.7K
Spdr Series Trust3.56K$909.3K0.5%−$72.4KAdded$19.3K
Blackstone Inc.BX7.9K$908.5K0.5%−$309.3KHeld
Ark Etf Tr7.38K$889.6K0.5%−$187.8KAdded−$133.1K
Lowes Cos Inc3.77K$889.6K0.5%−$18KAdded−$1.01K
Medtronic PlcMDT9.85K$853.5K0.4%−$87.4KAdded−$38.4K
Ishares Gold Tr9.58K$844.5K0.4%$55.6KAdded$198.9K
Mccormick & Co Inc16.7K$844.2K0.4%New
American Wtr Wks Co Inc New6.08K$826.7K0.4%$33.7KAdded$39.2K
GE Vernova Inc.GEV943$823.1K0.4%New
Intuitive Surgical IncISRG1.77K$814.6K0.4%−$183.6KAdded−$172K
Edwards Lifesciences CorpEW10K$803.7K0.4%−$34.7KAdded$231.6K
Verizon Communications IncVZ15.6K$784.3K0.4%$141.8KAdded$174.4K
Spdr S&P 500 Etf Tr1.21K$784.3K0.4%−$38.1KCut−$353.8K
Ishares Tr8.52K$771.7K0.4%$7.8KAdded$119.8K
Vanguard Scottsdale Fds11.2K$768.7K0.4%−$1.82KAdded$447.2K
Generac Hldgs Inc3.7K$722.9K0.4%New
Goldman Sachs Physical Gold15.6K$721.4K0.4%$49.6KAdded$142.1K
Broadcom Inc.AVGO2.3K$712.8K0.4%−$51KAdded$230.7K
Vanguard Malvern Fds14K$700.3K0.4%$5.74KAdded$121.4K
Select Sector Spdr Tr4.74K$695.5K0.4%−$38.9KCut−$554.6K
Crowdstrike Hldgs Inc1.76K$687.1K0.4%−$133.6KAdded−$112.1K
Vanguard Scottsdale Fds11.4K$668.1K0.3%−$1.91KAdded$78.5K
Schwab Strategic Tr13.5K$662.3K0.3%$50.4KCut−$797.2K
Eli Lilly & CoLLY698$642K0.3%−$29.9KAdded$434.6K
Ishares Tr6.88K$638K0.3%−$8.25KAdded$91.2K
Ishares Tr7.71K$636.9K0.3%−$1.64KAdded$92.1K
Vanguard Index Fds1.94K$622.7K0.3%−$24.1KAdded$64.8K
ServiceNow, Inc.NOW5.79K$605.9K0.3%−$281.9KCut−$306.4K
Palo Alto Networks IncPANW3.77K$604.7K0.3%−$88.3KAdded−$76.3K
Idexx Labs Inc1.07K$604K0.3%−$123.2KCut−$387.1K
Neurocrine Biosciences IncNBIX4.58K$604K0.3%−$43.7KAdded−$10.8K
Vanguard Index Fds2.92K$601.3K0.3%−$8.64KAdded$56.8K
Vanguard Bd Index Fds8.68K$597.3K0.3%−$5.73KAdded$59.1K
Corpay, Inc.CPAY2.02K$589K0.3%−$17.5KAdded$59.6K
Ishares Tr12.6K$581.6K0.3%$8.37KAdded$94.1K
Vanguard Whitehall Fds6.13K$577.7K0.3%New
Hagerty, Inc.HGTY54.8K$576.7K0.3%−$159.4KCut−$162.5K
Ishares Tr1.51K$561.6K0.3%−$23.3KAdded$3.35K
Equity Lifestyle Pptys IncELS8.94K$557.7K0.3%$16.2KHeld
Invesco Exch Traded Fd Tr Ii23.5K$543.8K0.3%New
Ishares Tr4.37K$543K0.3%New
Taiwan Semiconductor Mfg Ltd1.58K$535.3K0.3%$54KCut−$20.5K
Spdr Series Trust27.5K$527.1K0.3%New
Goldman Sachs Etf Tr11.1K$510.4K0.3%−$4.56KAdded$41.5K
Wisdomtree Tr10.1K$508K0.3%New
Pepsico IncPEP3.21K$499.3K0.3%$30.4KAdded$128.4K
Vanguard Charlotte Fds10.4K$497.8K0.3%−$2.32KAdded$82K
Veeva Sys Inc2.76K$484.5K0.3%−$131.2KCut−$341K
Ishares Tr13.9K$483K0.2%−$27.6KAdded$26.4K
Axon Enterprise, Inc.AXON1.08K$459.5K0.2%−$155KCut−$160.7K
Vertex Pharmaceuticals Inc1.01K$453.2K0.2%−$6.75KAdded$4.41K
Ishares Tr4.15K$452.7K0.2%−$4.08KAdded$78.1K
Ishares Tr7.82K$443.8K0.2%$12.9KAdded$104.9K
Select Sector Spdr Tr10.7K$438.4K0.2%New
Intuit Inc.INTU952$411.6K0.2%−$216.7KAdded−$212.4K
Berkshire Hathaway Inc Del852$408.3K0.2%−$19.7KAdded−$14.5K
American Express CoAXP1.34K$406.2K0.2%−$90.6KHeld
Select Sector Spdr Tr6.25K$383K0.2%New
Advanced Drain Sys Inc Del2.75K$377.1K0.2%New
Invesco Currencyshares Swiss3.39K$374K0.2%−$3.45KAdded$50K
Wisdomtree Tr3.42K$373.1K0.2%$23.4KAdded$51.8K
Wisdomtree Tr19.6K$372.7K0.2%$1.29KAdded$56K
Ishares Tr3.78K$354.9K0.2%−$8.25KAdded$16.9K
First Tr Exchange Traded Fd9.6K$345.9K0.2%$1.89KAdded$29.4K
Airbnb, Inc.ABNB2.73K$344.2K0.2%New
Asml Holding N V257$339.5K0.2%$56.7KAdded$97.7K
Blackrock Enhanced Large Cap16K$336.8K0.2%−$32.4KAdded$14.5K
Visa Inc.V1.1K$331.6K0.2%−$53.2KCut−$109.3K
United Airls Hldgs Inc3.6K$331.5K0.2%−$71.1KHeld
Ishares Tr4.11K$326.6K0.2%−$4.05KAdded$21.7K
Shell Plc3.49K$324.2K0.2%$68KCut−$181.8K
Ishares Tr3.18K$324.1K0.2%$9.64KAdded$35.5K
Vanguard Scottsdale Fds3.85K$318.5K0.2%−$3.25KAdded$46.1K
Public Storage Oper Co1.15K$312.1K0.2%$12.8KAdded$20.9K
Hershey CoHSY1.45K$301.4K0.2%New
Spotify Technology S.A.SPOT614$297.7K0.2%−$58.8KHeld
Bank America Corp5.96K$290.3K0.1%−$37.2KCut−$82.6K
Astrazeneca Plc OrdAZN1.43K$281.4K0.1%New
J P Morgan Exchange Traded F4.94K$279.8K0.1%−$2.5KAdded$24.1K
AbbVie Inc.ABBV1.28K$277.5K0.1%−$11.5KAdded$37.8K
Oracle Corp1.86K$273.2K0.1%−$81.6KAdded−$59.5K
Monolithic Pwr Sys Inc249$272.2K0.1%$41.9KAdded$69.2K
Ishares Inc2.92K$247K0.1%$9.44KAdded$41.1K
Home Depot, Inc.HD736$242.1K0.1%−$10.7KAdded$849
Wisdomtree Tr4.42K$231.4K0.1%−$2.95KAdded$25.8K
Walmart Inc.WMT1.77K$220.2K0.1%New
Anheuser Busch Inbev Sa/Nv3.15K$218.5K0.1%New
Costco Whsl Corp New215$214.2K0.1%New
Caterpillar IncCAT300$212.5K0.1%New
Vanguard Star Fds2.7K$208K0.1%New
Deere & CoDE363$204.5K0.1%New
Schwab Strategic Tr6.65K$204.1K0.1%$21.6KCut−$954.5K
Nokia Corp19.2K$154.1K0.1%$25KAdded$51K
Brandywine Rlty Tr17.1K$46.2K0.0%−$3.58KCut−$6.03K

Positions as of Q1 2026. 13F filings arrive up to 45 days after quarter-end and omit shorts. Values are quarter-end marks, as filed. Estimated mark is the price effect on shares still held — not realized P&L or investment advice.