13F

Investor

Bond & Devick Financial Network, Inc.

CIK 0001843495 · filed 2026-04-08 · SEC filing

13F book

$358.4M

Positions

188

13 new · 9 sold

Largest name

10.0%

Invesco Exchange Traded Fd T

Est. mark

−$6.68M

Price effect on 175 names still held. Flow $9.99M.
NameTickerSharesValueWeightEst. markChange
Invesco Exchange Traded Fd T311.4K$35.9M10.0%−$909.4KCut−$972.2K
Ishares Tr335.8K$32.1M9.0%$178KCut−$258.4K
J P Morgan Exchange Traded F457.3K$21.5M6.0%−$120.1KAdded$473.1K
Schwab Us Aggregate Bond843.7K$19.6M5.5%−$123.4KAdded$356.8K
Schwab Strategic Tr608.3K$15.3M4.3%−$662.2KAdded−$104.7K
Ishares Tr109.9K$13M3.6%−$82.5KCut−$184K
Nordson CorpNDSN44.4K$11.8M3.3%$1.14MCut$1.07M
J P Morgan Exchange Traded F175.4K$11.7M3.3%$419.3KCut$229K
Ishares Tr41K$10.2M2.8%−$1.1MAdded−$669.6K
Spdr Index Shs Fds256.3K$10.1M2.8%$84.6KCut$7.75K
Ishares Tr99.1K$9.45M2.6%−$68.9KAdded$249.1K
Capital Grp Fixed Incm Etf T296.2K$8.07M2.3%−$113.7KAdded$17.1K
Ishares U S Etf Tr140K$7.12M2.0%−$31.8KAdded$982.2K
Schwab Strategic Tr259.4K$6.42M1.8%$184.2KCut$112.4K
Ishares Tr143.6K$6.25M1.7%−$52.9KAdded$588.2K
Nushares Etf Tr183.7K$5.65M1.6%$164.9KAdded$393.5K
Microsoft CorpMSFT14.2K$5.27M1.5%−$1.62MCut−$1.72M
Ishares Tr109.6K$5.21M1.5%−$29.4KAdded$524.2K
Alphabet Inc16.7K$4.8M1.3%−$423.7KAdded−$413.3K
Accenture Plc Ireland20.5K$4.06M1.1%−$1.43MAdded−$1.4M
Apple Inc.AAPL14.4K$3.66M1.0%−$256KAdded−$193.3K
Berkshire Hathaway Inc Del4$2.87M0.8%−$146.6KCut−$901.4K
Fidelity Merrimack Str Tr48.7K$2.22M0.6%−$15KAdded$577.8K
Ishares Tr10.1K$2.15M0.6%$33KAdded$67.2K
Cummins IncCMI3.93K$2.11M0.6%$108.2KCut−$1.25M
Ishares Tr24.3K$2.11M0.6%$46.2KAdded$154.3K
Unitedhealth Group IncUNH7.59K$2.05M0.6%−$451.6KCut−$453K
Nushares Etf Tr55.2K$1.99M0.6%−$5.33KAdded$63.2K
Brookfield Corp46.2K$1.87M0.5%New
Ishares Tr16.1K$1.82M0.5%−$111.1KAdded$66.5K
Schwab Strategic Tr57.6K$1.77M0.5%$187.1KCut$181K
Amazon Com IncAMZN8.19K$1.7M0.5%−$147.4KAdded$196.3K
Ishares 0-3 Month16.1K$1.62M0.5%$576Added$1.41M
Putnam Etf Trust46.2K$1.56M0.4%−$141.7KAdded$18.6K
Xcel Energy Inc19.6K$1.56M0.4%$109.5KCut$103.8K
Johnson & JohnsonJNJ6.28K$1.53M0.4%$235.4KCut$214.7K
Ishares Tr10.5K$1.39M0.4%−$76.2KCut−$165K
Vanguard Index Fds5.21K$1.36M0.4%$20.7KCut−$7.95K
Invesco Exchange Traded Fd T20.2K$1.35M0.4%−$71.7KAdded−$70.6K
Amgen IncAMGN3.71K$1.31M0.4%$91.1KHeld
Spdr Index Shs Fds27.3K$1.28M0.4%$2.73KHeld
American Express CoAXP4.12K$1.25M0.3%−$278KHeld
Nushares Etf Tr27.1K$1.23M0.3%$11.4KAdded$88.1K
Schwab Strategic Tr37.4K$1.23M0.3%$7.48KCut−$13.7K
Ishares Tr1.87K$1.22M0.3%−$59.4KCut−$94.4K
Ishares Tr5.24K$1.17M0.3%−$39.7KAdded−$15.8K
Ishares Tr10.6K$1.13M0.3%−$9.69KAdded$49.2K
Costco Whsl Corp New1.1K$1.1M0.3%$147.4KAdded$148.4K
Nvidia CorpNVDA6.23K$1.09M0.3%−$69.5KAdded$15.1K
Ishares Tr8.94K$1.08M0.3%−$68.3KCut−$83K
Schwab Strategic Tr34.1K$1.04M0.3%$30.3KHeld
Exxon Mobil Corp6.12K$1.04M0.3%$302KCut$295.4K
Procter And Gamble CoPG7.18K$1.04M0.3%$7.93KAdded$32K
Berkshire Hathaway Inc Del2.14K$1.03M0.3%−$19.7KAdded$603.2K
Ishares Tr4.13K$1.02M0.3%$7.59KHeld
Ishares Tr29K$1.01M0.3%−$8.71KAdded$429.6K
Ishares Inc8.33K$995.2K0.3%$6.33KHeld
Coca Cola CoKO12.9K$984.5K0.3%$78.1KAdded$94.8K
Fair Isaac CorpFICO900$960.8K0.3%−$560.8KHeld
Ishares Tr6.43K$916K0.3%−$40.3KCut−$49.9K
Schwab Strategic Tr31.1K$905K0.3%$18.7KHeld
Ishares Tr14K$903.1K0.3%−$3.07KAdded$601K
Salesforce, Inc.CRM4.84K$902.9K0.3%−$378.4KCut−$448.6K
J P Morgan Exchange Traded F14.2K$879.2K0.2%$19.8KCut$17.6K
Jpmorgan Chase & Co.2.97K$872.5K0.2%−$83.2KHeld
Ishares Tr8.79K$853.6K0.2%$9.67KCut−$8.29K
Asml Holding N V623$822.9K0.2%$156.4KCut$124.3K
Ishares Tr13.2K$812.9K0.2%−$45.6KCut−$65.2K
Waste Mgmt Inc Del3.46K$796.2K0.2%$34.9KHeld
Ishares Tr16.9K$792.8K0.2%$17.5KCut$6.18K
Ishares Inc11.9K$768.2K0.2%$8.19KHeld
Ishares Tr9.16K$767.5K0.2%$9.16KAdded$9.66K
Ishares Inc16.8K$765.8K0.2%$21.9KAdded$22.6K
Ishares Tr7.66K$760.6K0.2%−$4.67KCut−$91.6K
Vanguard Mun Bd Fds15.1K$754.1K0.2%−$5.61KAdded$49.1K
Applied Matls Inc2.15K$733.8K0.2%$182.1KCut$177.7K
Putnam Etf Trust82.1K$716.7K0.2%New
International Business Machs2.93K$710.7K0.2%−$157.8KCut−$158.4K
Walmart Inc.WMT5.6K$695.6K0.2%$72KCut$64.8K
Invesco Exchange Traded Fd T13.6K$692.9K0.2%−$5.6KHeld
Delta Air Lines Inc DelDAL10.1K$669.5K0.2%−$29.4KHeld
Ishares Tr8.06K$665.4K0.2%−$1.93KAdded$27.1K
Deere & CoDE1.13K$633.7K0.2%$105.4KAdded$131.8K
Palo Alto Networks IncPANW3.84K$615.1K0.2%−$86.8KAdded−$54.1K
Alphabet Inc2.14K$614.5K0.2%−$57.7KHeld
Spdr Series Trust4.21K$614K0.2%$28.5KHeld
Bank America Corp12.2K$596.4K0.2%−$71.7KAdded−$34.9K
Capital Group Intl Focus Eqt20.2K$594.8K0.2%−$1.21KHeld
Schwab Strategic Tr15.1K$577K0.2%$33.2KHeld
Schwab Strategic Tr19.7K$574.4K0.2%−$68.8KHeld
Spdr Index Shs Fds11.5K$571.4K0.2%−$7.85KAdded$5.44K
Novo-Nordisk A S15.4K$566.8K0.2%−$217.9KHeld
Vanguard Bd Index Fds7.62K$561.1K0.2%−$3.26KAdded−$610
Pepsico IncPEP3.44K$534K0.1%$40.5KHeld
BlackRock, Inc.BLK540$519.3K0.1%−$53KAdded−$3K
Eaton Corp PlcETN1.42K$508.6K0.1%$55.3KAdded$58.9K
Pfizer IncPFE18.1K$507.9K0.1%$57.5KCut$52.5K
Ishares Tr5.36K$501.1K0.1%−$20.7KHeld
Fidelity Covington Trust13.4K$498K0.1%$8.12KAdded$19K
Home Depot, Inc.HD1.51K$495.9K0.1%−$23KCut−$48.4K
Unilever Plc8.7K$495.5K0.1%−$73.3KHeld
Stryker CorpSYK1.49K$490.3K0.1%−$34.1KHeld
3M COMMM3.26K$472.9K0.1%−$48.4KCut−$64.7K
Gsk Plc8.53K$470.8K0.1%$52.5KHeld
Verizon Communications IncVZ9.31K$467.2K0.1%$88.1KHeld
Ishares Tr3.96K$466.1K0.1%−$44.6KHeld
Ishares Tr15.2K$450.5K0.1%New
Millicom Intl Cellular S A6K$449.6K0.1%$117KHeld
Lam Research CorpLRCX2.01K$428.6K0.1%$85.2KHeld
Taiwan Semiconductor Mfg Ltd1.27K$427.8K0.1%$43.1KHeld
Leidos Holdings, Inc.LDOS2.71K$420.7K0.1%−$67.3KHeld
Evercore Inc.EVR1.4K$417.9K0.1%−$58.4KHeld
Invesco Exch Traded Fd Tr Ii14.2K$416.7K0.1%−$4.4KAdded$51.1K
Vanguard Scottsdale Fds3.66K$401K0.1%−$44.1KHeld
Intuit Inc.INTU904$390.9K0.1%−$208KHeld
Us Bancorp Del7.33K$381.5K0.1%−$9.9KHeld
Ishares Tr5.39K$378.4K0.1%$4.1KHeld
Spdr Series Trust4.1K$376.1K0.1%New
Pimco Etf Tr7.17K$374.1K0.1%−$1.58KHeld
Spdr Gold Tr862$370.9K0.1%$29.3KCut$7.49K
Pimco Etf Tr3.73K$369.2K0.1%$1.31KHeld
Caterpillar IncCAT517$366.5K0.1%$65.6KAdded$89.7K
Vanguard Index Fds605$361.5K0.1%−$17.9KAdded−$17.3K
Cisco Sys Inc4.62K$358.4K0.1%$2.28KAdded$44.6K
Vanguard Index Fds1.11K$355.1K0.1%−$16KHeld
Ecolab Inc.ECL1.33K$354.6K0.1%$4.67KHeld
Honeywell Intl Inc1.56K$353.7K0.1%$48.4KHeld
Merck & Co., Inc.MRK2.93K$352.1K0.1%$44KCut$12.4K
Nushares Etf Tr7.66K$345.3K0.1%$3.14KHeld
Medtronic PlcMDT3.98K$344.7K0.1%−$37.4KCut−$66.3K
Brookfield Asset Managmt Ltd7.7K$342.3K0.1%New
J P Morgan Exchange Traded F6.84K$342.1K0.1%−$3.48KAdded−$2.28K
Disney Walt Co3.53K$340.3K0.1%−$51.9KAdded$715
Eli Lilly & CoLLY364$334.8K0.1%−$55.6KAdded−$51K
Loews CorpL3.1K$330.9K0.1%New
Visa Inc.V1.09K$330.7K0.1%−$53KHeld
Pimco Equity Ser7.85K$326.7K0.1%−$2.96KCut−$34.6K
Vanguard Intl Equity Index F6.03K$326K0.1%$1.75KCut−$992
Ishares Tr2.61K$324K0.1%$10.8KHeld
NIKE, Inc.NKE6.13K$323.8K0.1%−$66.8KCut−$73.1K
Mcdonalds CorpMCD1.03K$321.4K0.1%$4.84KAdded$34.4K
Adobe Inc.ADBE1.31K$319.2K0.1%−$140.4KCut−$282.1K
Oracle Corp2.11K$311K0.1%−$100.3KAdded−$98.1K
ConocophillipsCOP2.33K$307K0.1%$89.3KHeld
Meta Platforms, Inc.META535$306.1K0.1%−$47.1KHeld
Mondelez Intl Inc5.24K$302.1K0.1%$20KCut$14.6K
Gilead Sciences, Inc.GILD2.16K$300.5K0.1%$35.9KCut$33.4K
Vanguard Bd Index Fds3.88K$299.5K0.1%−$2.72KHeld
Capital Group Dividend Growe8.34K$299.5K0.1%$2.17KCut−$4.21K
Spdr S&P 500 Etf Tr456$296.6K0.1%−$14.4KHeld
Ishares Tr6.37K$294.5K0.1%$4.97KHeld
T Rowe Price Etf Inc6.47K$291.3K0.1%−$993Held
Phillips 66PSX1.58K$287.1K0.1%$83.7KHeld
Nushares Etf Tr7.75K$284.8K0.1%$8.58KAdded$21.3K
Public Storage Oper Co1.05K$283.7K0.1%$11.8KAdded$13.2K
Stmicroelectronics N V8.15K$281.6K0.1%$70.2KHeld
First Tr Exchange-Traded Fd5.51K$280K0.1%$35.6KHeld
Totalenergies SeTTE3.02K$274.9K0.1%New
Ishares Tr3.19K$267.5K0.1%−$862Added$397
Lockheed Martin CorpLMT434$262.3K0.1%$52.4KHeld
Advanced Micro Devices IncAMD1.26K$255.7K0.1%−$12.8KAdded$433
T Rowe Price Etf Inc7.16K$254.7K0.1%−$18.8KHeld
Invesco Exchange Traded Fd T5.33K$253.6K0.1%$3.25KHeld
Sap Se1.48K$253.4K0.1%−$106.1KCut−$135.3K
Hp IncHPQ13.1K$252.4K0.1%−$40.3KCut−$64K
Ishares Tr2.73K$249.6K0.1%$14KHeld
Science Applications Intl Co2.63K$249.4K0.1%−$15.1KHeld
Ishares Tr2.98K$248.6K0.1%$2.84KAdded$33.8K
Ishares Tr574$244.8K0.1%−$26.9KHeld
Texas Instrs Inc1.23K$239.3K0.1%$25.4KAdded$25.6K
Schwab Charles Corp2.53K$238.1K0.1%−$15.1KCut−$15.8K
Managed Portfolio Series6.36K$237.1K0.1%−$5.22KHeld
Ishares Tr1.4K$236.9K0.1%$113Held
Ishares Tr663$236.4K0.1%−$11.2KHeld
Ishares Tr5.79K$234.6K0.1%−$4.88KCut−$65.3K
Becton Dickinson & CoBDX1.47K$230.7K0.1%−$54KCut−$54.2K
Sanofi Sa4.65K$224.2K0.1%New
Target CorpTGT1.82K$220.6K0.1%New
J P Morgan Exchange Traded F4.08K$219.6K0.1%−$1.23KHeld
Enterprise Prods Partners L5.72K$216.5K0.1%New
Schwab Strategic Tr8.39K$215.1K0.1%−$10.7KCut−$27.6K
Matthews Asia Fds5.7K$211.5K0.1%New
T Rowe Price Etf Inc5.21K$211K0.1%−$28.7KCut−$38.8K
Johnson Ctls Intl Plc1.6K$209.9K0.1%New
Philip Morris Intl Inc1.26K$208.5K0.1%$6.23KHeld
Ishares Tr2.27K$200.8K0.1%New
Conagra Brands Inc.CAG10K$157.2K0.0%−$15.9KHeld
Pliant Therapeutics, Inc.PLRX100.2K$126.2K0.0%$4.01KHeld

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.