13F

Investor

Ceeto Capital Group, LLC

CIK 0001722439 · filed 2026-05-14 · SEC filing

13F book

$325.9K

Positions

164

4 new · 26 sold

Largest name

21.7%

Apple Inc. · AAPL

Est. mark

−$13.9K

Price effect on 160 names still held. Flow −$2.88K.
NameTickerSharesValueWeightEst. markChange
Apple Inc.AAPL278.6K$70.7K21.7%−$5.01KAdded−$4.62K
Nvidia CorpNVDA95.3K$16.6K5.1%−$1.15KCut−$2.27K
Popular Inc79.9K$10.8K3.3%$771Cut−$3.02K
Microsoft CorpMSFT27.8K$10.3K3.2%−$3KAdded−$2.48K
Amazon Com IncAMZN30K$6.25K1.9%−$590Added$201
Berkshire Hathaway Inc Del11.7K$5.6K1.7%−$273Cut−$441
Alphabet Inc19.5K$5.58K1.7%−$525Held
Visa Inc.V17.5K$5.28K1.6%−$819Added−$653
Alphabet Inc17.8K$5.11K1.6%−$381Added$424
Meta Platforms, Inc.META8.61K$4.93K1.5%−$757Cut−$2.08K
Morgan Stanley28.5K$4.68K1.4%−$369Cut−$1.17K
Walmart Inc.WMT36.7K$4.57K1.4%$472Held
AbbVie Inc.ABBV20.3K$4.41K1.4%−$214Added−$38
RTX CorpRTX20.4K$3.93K1.2%$194Held
International Business Machs15.5K$3.77K1.2%−$583Added$558
Jpmorgan Chase & Co.12.6K$3.7K1.1%−$344Added−$254
Ondas Hldgs IncONDS408K$3.69K1.1%−$294Cut−$343
Merck & Co., Inc.MRK29.9K$3.61K1.1%$449Held
Broadcom Inc.AVGO11.7K$3.61K1.1%−$371Added$93
Home Depot, Inc.HD10.2K$3.36K1.0%−$155Held
Exxon Mobil Corp19.1K$3.23K1.0%$939Held
Amgen IncAMGN8.88K$3.12K1.0%$218Held
Darden Restaurants IncDRI15.5K$3.04K0.9%$187Held
Regeneron Pharmaceuticals, Inc.REGN3.84K$2.97K0.9%$3Held
American Express CoAXP9.61K$2.9K0.9%−$614Added−$463
Boeing Co14.4K$2.86K0.9%−$253Added−$173
Spdr S&P 500 Etf Tr4.32K$2.82K0.9%−$137Cut−$315
Eli Lilly & CoLLY3.03K$2.79K0.9%−$423Added−$147
Chevron Corp NewCVX12.5K$2.59K0.8%$682Held
Oracle Corp17.3K$2.55K0.8%−$574Added$206
Netflix IncNFLX25.4K$2.44K0.7%$31Added$1.22K
Mcdonalds CorpMCD7.74K$2.41K0.7%$40Held
Disney Walt Co24.6K$2.37K0.7%−$417Added−$273
Mastercard IncMA4.65K$2.32K0.7%−$332Held
Lowes Cos Inc9.75K$2.3K0.7%−$47Held
Pepsico IncPEP13.9K$2.15K0.7%$143Held
Vertex Pharmaceuticals Inc4.76K$2.12K0.7%−$32Held
Procter And Gamble CoPG14.3K$2.07K0.6%$16Added$88
Johnson & JohnsonJNJ8.47K$2.07K0.6%$318Held
Costco Whsl Corp New2.08K$2.07K0.6%$279Held
Bank America Corp41.9K$2.04K0.6%−$262Held
Bristol-Myers Squibb Co33.3K$2.02K0.6%$223Held
Unitedhealth Group IncUNH7.33K$1.98K0.6%−$418Added−$337
Kimberly Clark CorpKMB19.1K$1.87K0.6%−$79Added$48
Huntington Ingalls Inds Inc4.9K$1.86K0.6%$176Added$366
Abbott LabsABT17.7K$1.82K0.6%−$367Added−$213
3M COMMM11.4K$1.66K0.5%−$170Held
Kroger CoKR22.9K$1.66K0.5%$226Cut−$161
Pfizer IncPFE58.3K$1.64K0.5%$186Held
Cisco Sys Inc20.5K$1.59K0.5%$10Added$165
Ishares Tr30.5K$1.55K0.5%$1Added$511
Wells Fargo Co New19.5K$1.55K0.5%−$265Held
American Intl Group Inc19.7K$1.48K0.5%−$173Added$53
Chubb Limited4.5K$1.47K0.5%$62Held
L3harris Technologies Inc4.2K$1.45K0.4%$217Held
Coca Cola CoKO18.4K$1.41K0.4%$122Held
Waste Mgmt Inc Del5.85K$1.34K0.4%$59Held
Advanced Micro Devices IncAMD6.6K$1.34K0.4%−$32Added$701
Palo Alto Networks IncPANW8.3K$1.33K0.4%−$143Added$226
ServiceNow, Inc.NOW12.7K$1.33K0.4%−$273Added$468
Spdr Series Trust43K$1.32K0.4%$2Added$310
ConocophillipsCOP10K$1.32K0.4%$384Held
Salesforce, Inc.CRM7.03K$1.31K0.4%−$553Held
General Dynamics CorpGD3.7K$1.27K0.4%$24Held
Citigroup Inc11.2K$1.26K0.4%−$36Held
Micron Technology IncMU3.5K$1.18K0.4%$100Added$641
Align Technology IncALGN6.8K$1.17K0.4%$104Held
Vistra Corp.VST7.6K$1.14K0.4%−$43Added$498
Tjx Cos Inc New7K$1.12K0.3%$43Held
Ge Aerospace3.9K$1.11K0.3%−$94Held
Rollins IncROL20.3K$1.08K0.3%−$133Held
Northrop Grumman Corp1.5K$1.02K0.3%$168Held
Ishares Tr1.56K$1.02K0.3%−$50Held
Dollar Gen Corp New8.15K$9680.3%−$114Held
Automatic Data Processing In4.7K$9630.3%−$254Cut−$332
Regions Financial Corp New35.5K$9340.3%−$35Held
Dominion Energy, IncD15K$9270.3%$48Held
Applied Matls Inc2.7K$9230.3%$229Held
Fiserv IncFISV16.4K$9150.3%−$187Cut−$254
Phillips 66PSX5K$9110.3%$266Held
Marsh & Mclennan Cos Inc5K$8670.3%−$61Held
Intuit Inc.INTU2K$8650.3%−$414Added−$327
Gilead Sciences, Inc.GILD6.2K$8640.3%$103Held
Rockwell Automation, IncROK2.4K$8610.3%−$73Held
Nucor CorpNUE5K$8480.3%$30Held
Comcast Corp New29K$8330.3%−$34Held
Clorox Co Del7.95K$8240.3%$22Held
Target CorpTGT6.79K$8230.3%$160Cut$79
Progressive Corp4K$7930.2%−$117Cut−$145
Verizon Communications IncVZ15.8K$7920.2%$150Held
Us Bancorp Del15K$7880.2%−$20Held
Uber Technologies, IncUBER10.8K$7770.2%−$105Held
Tesla, Inc.TSLA2K$7440.2%−$155Held
Kimco Rlty Corp32.5K$7300.2%$71Held
Generac Hldgs Inc3.7K$7230.2%$219Cut−$54
Allegion plcALLE4.9K$7120.2%−$68Held
General Mls IncGIS19.1K$7090.2%−$177Held
Pimco Etf Tr7K$7040.2%New
GE Vernova Inc.GEV804$7020.2%$176Cut$111
Medtronic PlcMDT7.99K$6960.2%−$76Held
Barrick Mng Corp17K$6930.2%−$47Held
Qualcomm Inc5.3K$6830.2%−$224Held
Toll Brothers, Inc.TOL5K$6820.2%$6Held
Philip Morris Intl Inc3.9K$6510.2%$20Held
Newmont Corp6K$6500.2%$51Held
Freeport-Mcmoran IncFCX11K$6470.2%$88Held
Yum Brands IncYUM4K$6220.2%$17Held
Ishares Tr5.5K$6070.2%$1Held
Lockheed Martin CorpLMT1K$6040.2%$120Cut−$122
Goldman Sachs Group Inc700$5920.2%−$23Held
Honeywell Intl Inc2.5K$5650.2%$77Held
Flanigans Enterprises IncBDL17.6K$5490.2%$49Held
Etf Opportunities Trust11K$5240.2%−$19Held
Dell Technologies Inc.DELL3K$4920.2%$114Cut−$641
T-Mobile Us Inc2.3K$4830.1%$16Held
Colgate Palmolive CoCL5.5K$4690.1%$34Held
First Horizon Corporation20K$4590.1%−$22Held
Schwab Strategic Tr20K$4540.1%−$5Held
DoorDash, Inc.DASH3K$4500.1%−$229Held
Mondelez Intl Inc7.68K$4450.1%$29Cut$28
Corteva, Inc.CTVA5.13K$4290.1%$85Held
Fortinet, Inc.FTNT5.25K$4290.1%$12Cut−$385
Lincoln Natl Corp Ind12K$4260.1%−$108Held
Ishares Tr8K$4260.1%−$5Held
Nextdecade CorpNEXT55K$4210.1%$131Cut$36
Ishares Tr8K$4200.1%−$3Held
Ameriprise Finl Inc901$4000.1%−$42Held
Kemper Corp12.9K$3950.1%−$128Held
Johnson Ctls Intl Plc3K$3950.1%$34Cut−$206
Adobe Inc.ADBE1.58K$3840.1%−$62Added$181
Vertiv Holdings CoVRT1.5K$3760.1%$133Held
Spdr Series Trust12.5K$3760.1%−$2Held
Cvs Health CorpCVS5.2K$3730.1%−$40Held
Csx CorpCSX9K$3690.1%$43Held
Schwab Strategic Tr15K$3640.1%−$2Held
Nebius Group N.V.NBIS3.5K$3630.1%$70Cut−$56
Pimco Mun Income Fd Ii43.8K$3330.1%$1Held
Vanguard Scottsdale Fds4K$3310.1%−$4Held
Vanguard Scottsdale Fds3K$3010.1%$2Held
At&T Inc10.2K$2960.1%$42Held
Metlife Inc4K$2830.1%−$33Held
Dow Inc.DOW6.72K$2800.1%$123Held
Eaton Corp PlcETN773$2760.1%$30Held
Vanguard Growth Etf628$2740.1%−$32Held
Deckers Outdoor CorpDECK2.73K$2730.1%−$10Held
Ishares Tr2.54K$2700.1%−$2Held
Vanguard Index Fds1K$2620.1%New
Altria Group, Inc.MO3.9K$2610.1%$32Held
Blackrock Muniholdings Fd In22.4K$2540.1%New
NIKE, Inc.NKE4.61K$2450.1%−$51Cut−$115
Lyondellbasell Industries N3K$2420.1%$112Held
German Amern Bancorp Inc5.62K$2350.1%$15Held
Slb Limited/NvSLB4.5K$2330.1%$59Held
Intel CorpINTC5K$2210.1%$36Held
Burke Herbert Finl Svcs Corp3.54K$2200.1%$0Held
Texas Instrs Inc1.1K$2140.1%$23Held
Caterpillar IncCAT300$2130.1%New
Southstate Bk Corp2.26K$2090.1%−$4Held
Vanguard Index Fds1.02K$2000.1%$5Held
Schwab Charles Corp2.13K$2000.1%−$12Held
Ge Healthcare Technologies I2.79K$1990.1%−$30Held
Nuveen Mun High Income Oppor10K$1040.0%$2Held
Pimco High Income Fd20K$940.0%−$4Held
Gogo Inc.GOGO20K$800.0%−$13Held

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.