13F

Investor

Blue Edge Capital, LLC

CIK 0001599620 · filed 2026-02-12 · SEC filing

13F book

$747.4M

Positions

125

Largest name

9.4%

Vanguard Growth Etf

Est. mark

Need a prior quarter to estimate
NameTickerSharesValueWeightEst. markChange
Vanguard Growth Etf143.7K$70.1M9.4%Held
Vanguard Index Fds305.3K$58.3M7.8%Held
Vanguard World Fd97.5K$40.2M5.4%Held
Ishares Tr285.6K$35.2M4.7%Held
Ishares Tr334.9K$32.2M4.3%Held
Ishares Tr451.8K$32.1M4.3%Held
Vanguard World Fd175.9K$24.8M3.3%Held
Spdr S&P 500 Etf Tr36.1K$24.6M3.3%Held
Ishares Tr411.9K$21.3M2.9%Held
Ishares Inc234.1K$15.7M2.1%Held
Ishares Tr73.9K$15.7M2.1%Held
Apple Inc.AAPL55.9K$15.2M2.0%Held
Janus Detroit Str Tr325.4K$14.9M2.0%Held
Vanguard Intl Equity Index F268.9K$14.5M1.9%Held
Ishares Tr91.3K$13.6M1.8%Held
Amazon Com IncAMZN51.8K$12M1.6%Held
Vanguard Intl Equity Index F132K$11.9M1.6%Held
Microsoft CorpMSFT22.7K$11M1.5%Held
Blackrock Etf Trust311.1K$10.4M1.4%Held
Ishares Tr51.8K$10.3M1.4%Held
Blackrock Etf Trust163K$9.91M1.3%Held
Ishares Tr74.5K$9.8M1.3%Held
Ishares Tr129.6K$9.49M1.3%Held
Ishares Tr95.7K$9.27M1.2%Held
Janus Detroit Str Tr162.4K$8.21M1.1%Held
Invesco Exch Traded Fd Tr Ii32.4K$8.2M1.1%Held
Alphabet Inc25.1K$7.89M1.1%Held
Caterpillar IncCAT13.1K$7.51M1.0%Held
Jpmorgan Chase & Co.23.1K$7.44M1.0%Held
Alphabet Inc22.6K$7.07M0.9%Held
Visa Inc.V20.1K$7.05M0.9%Held
Meta Platforms, Inc.META10.3K$6.79M0.9%Held
Spdr Series Trust101.2K$6.7M0.9%Held
Vanguard Index Fds9.45K$5.92M0.8%Held
JPMorgan BetaBuilders Canada E60.1K$5.58M0.7%Held
Unitedhealth Group IncUNH16.8K$5.55M0.7%Held
Home Depot, Inc.HD15.9K$5.49M0.7%Held
BlackRock, Inc.BLK4.68K$5.01M0.7%Held
Exxon Mobil Corp41.6K$5.01M0.7%Held
Vanguard Index Fds14.4K$4.83M0.6%Held
Vanguard Intl Equity Index F57.3K$4.79M0.6%Held
Boeing Co21K$4.55M0.6%Held
Ishares Tr46.2K$4.39M0.6%Held
GE Vernova Inc.GEV6.65K$4.35M0.6%Held
Mkt Vctrs J P Mrgn Em163.2K$4.21M0.6%Held
Mastercard IncMA7.2K$4.11M0.5%Held
Corning Inc46.7K$4.09M0.5%Held
Citigroup Inc34.2K$3.99M0.5%Held
Global X Fds193.7K$3.66M0.5%Held
Janus Detroit Str Tr69.6K$3.62M0.5%Held
Ishares Tr31.8K$3.62M0.5%Held
Albemarle Corp25.5K$3.61M0.5%Held
Newmarket CorpNEU5.05K$3.47M0.5%Held
Johnson & JohnsonJNJ16.5K$3.42M0.5%Held
Ishares Tr39.9K$3.38M0.5%Held
Ishares Tr20.8K$2.93M0.4%Held
Moodys Corp5.39K$2.76M0.4%Held
Ishares Inc52.6K$2.32M0.3%Held
Ishares Tr99.2K$2.28M0.3%Held
General Electric CoGE6.93K$2.13M0.3%Held
Invsc Qqq Trust Srs 1 Etf3.45K$2.12M0.3%Held
Bank America Corp37.9K$2.08M0.3%Held
International Business Machs6.76K$2M0.3%Held
Merck & Co., Inc.MRK18.1K$1.9M0.3%Held
Midcap2.98K$1.8M0.2%Held
AbbVie Inc.ABBV6.37K$1.46M0.2%Held
Spdr Series Trust16.7K$1.38M0.2%Held
Ishares Tr12.9K$1.32M0.2%Held
3M COMMM8K$1.28M0.2%Held
Vanguard Scottsdale Fds15.6K$1.25M0.2%Held
Ishares Tr15K$1.25M0.2%Held
Amphenol Corp New8.11K$1.1M0.1%Held
Ishares Tr22.9K$1.05M0.1%Held
Disney Walt Co8.84K$1.01M0.1%Held
Coca Cola CoKO14.3K$998.2K0.1%Held
Berkshire Hathaway Inc Del1.96K$984.2K0.1%Held
Oracle Corp5.03K$981K0.1%Held
Nvidia CorpNVDA5.26K$980.2K0.1%Held
Dominion Energy, IncD15.7K$919.9K0.1%Held
Nucor CorpNUE5.6K$913.4K0.1%Held
Vanguard Intl Equity Index F6.45K$910.1K0.1%Held
Ishares Tr2.34K$906.8K0.1%Held
Mcdonalds CorpMCD2.88K$881.1K0.1%Held
Abbott LabsABT6.72K$842.5K0.1%Held
Intuitive Surgical IncISRG1.48K$837.6K0.1%Held
Markel Group Inc.MKL334$718K0.1%Held
Spdr Series Trust8.8K$705.8K0.1%Held
Amgen IncAMGN2.11K$690.6K0.1%Held
Ishares Tr13.5K$682.3K0.1%Held
Spdr Series Trust5.38K$655.6K0.1%Held
Blue Ridge Bankshares Inc Va152.5K$651.2K0.1%Held
Broadcom Inc.AVGO1.87K$645.8K0.1%Held
Ishares Tr25.8K$602.2K0.1%Held
Ishares Tr4.92K$587.3K0.1%Held
Advanced Drain Sys Inc Del4.01K$581.1K0.1%Held
ConocophillipsCOP6.2K$580.5K0.1%Held
Philip Morris Intl Inc3.54K$567.9K0.1%Held
Ishares Tr8.09K$533.6K0.1%Held
Ishares Tr5.66K$506.6K0.1%Held
Chevron Corp NewCVX3.29K$501.6K0.1%Held
Martin Marietta Materials IncMLM783$487.5K0.1%Held
Ishares Tr4.78K$477.6K0.1%Held
Take-Two Interactive Softwar1.75K$447.5K0.1%Held
Norfolk Southn Corp1.5K$433.1K0.1%Held
Phillips 66PSX3.3K$426K0.1%Held
Procter And Gamble CoPG2.97K$425.3K0.1%Held
Cme Group Inc.CME1.56K$424.9K0.1%Held
Verisk Analytics, Inc.VRSK1.82K$407.3K0.1%Held
Starbucks CorpSBUX4.73K$398.6K0.1%Held
Transdigm Group IncTDG296$393.6K0.1%Held
J P Morgan Exchange Traded F5.85K$385.8K0.1%Held
Lowes Cos Inc1.53K$368K0.0%Held
Hershey CoHSY2.01K$366.3K0.0%Held
Ishares Tr524$358.9K0.0%Held
Marvell Technology Group Ltd3.44K$292K0.0%Held
MSCI Inc.MSCI508$291.5K0.0%Held
Ishares Bitcoin Trust EtfIBIT5.74K$284.7K0.0%Held
NXP Semiconductors N.V.NXPI1.26K$274.1K0.0%Held
Tesla, Inc.TSLA602$270.7K0.0%Held
Vanguard Index Fds1.05K$270.1K0.0%Held
Pimco Etf Tr2.83K$263.6K0.0%Held
Ishares Tr2.02K$243.4K0.0%Held
Morgan Stanley1.32K$234.3K0.0%Held
Vanguard World Fd298$224.6K0.0%Held
Pfizer IncPFE8.51K$212K0.0%Held

Positions as of Q4 2025. 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.