13F

Investor

Cypress Capital, LLC

CIK 0001729939 · filed 2026-04-28 · SEC filing

13F book

$351.5M

Positions

94

7 new · 6 sold

Largest name

12.6%

Vanguard Index Fds

Est. mark

−$2.16M

Price effect on 87 names still held. Flow −$3.63M.
NameTickerSharesValueWeightEst. markChange
Vanguard Index Fds138.5K$44.4M12.6%−$2MCut−$2.26M
Ishares 0-3 Month368.3K$37.1M10.5%$20.7KAdded$29.6M
Vanguard Instl Index Fd464.3K$35.1M10.0%$96.9KAdded$1.89M
Spdr Series Trust375.3K$34.4M9.8%$97.6KCut−$1.84M
Ishares Tr162.6K$17.9M5.1%$73.2KCut−$216.7K
Vanguard Scottsdale Fds218.5K$12.8M3.6%−$40.1KAdded$388.3K
Etfs Gold Tr260.3K$11.6M3.3%$921.6KCut−$1.49M
Spdr S&P 500 Etf Tr13.4K$8.71M2.5%−$422.8KCut−$9.25M
Apple Inc.AAPL29.4K$7.46M2.1%−$531.4KCut−$634.5K
Vanguard Index Fds37.3K$7.33M2.1%New
Proshares Tr66.6K$7.07M2.0%$129.2KCut−$2.27M
Wisdomtree Tr113.7K$5.72M1.6%$2.28KCut−$22.8M
Rbb Fd Inc105.6K$5.26M1.5%−$2.1KAdded$14.4K
Ishares Tr94.2K$4M1.1%$106.9KCut$66.7K
Vanguard Star Fds51K$3.93M1.1%$85.2KCut$18.5K
Ishares Inc44.6K$3.51M1.0%New
Kroger CoKR46.3K$3.35M1.0%$457.5KCut$429.2K
Alphabet Inc11.4K$3.27M0.9%−$289.5KCut−$360.5K
AbbVie Inc.ABBV14.9K$3.23M0.9%−$163.4KCut−$208.5K
Lam Research CorpLRCX14.6K$3.12M0.9%$620.9KCut$573.2K
Cisco Sys Inc40.1K$3.11M0.9%$22.4KCut−$15.1K
Merck & Co., Inc.MRK25.6K$3.08M0.9%$377KAdded$443.1K
Lockheed Martin CorpLMT5.08K$3.07M0.9%$612.7KCut$573.6K
International Business Machs12.4K$3.01M0.9%−$668.3KCut−$692.6K
Amgen IncAMGN8.36K$2.94M0.8%$205.2KCut$173.5K
Broadcom Inc.AVGO9.05K$2.8M0.8%−$331.1KCut−$358.1K
Bristol-Myers Squibb Co46.1K$2.79M0.8%$255.3KAdded$741.6K
Schwab Charles Corp28.8K$2.7M0.8%−$170.5KCut−$201.9K
Exxon Mobil Corp15.4K$2.61M0.7%$757.4KCut$743.3K
Medtronic PlcMDT30K$2.6M0.7%−$282.5KCut−$307K
Eaton Corp PlcETN7.26K$2.6M0.7%$284.4KCut$250.7K
Mcdonalds CorpMCD8.2K$2.55M0.7%$42.3KCut$9.92K
Nextpower Inc.NXT20.9K$2.52M0.7%$700.4KCut$667.1K
Home Depot, Inc.HD7.62K$2.51M0.7%−$115.9KCut−$133.8K
Ishares Tr25.8K$2.46M0.7%−$18.4KAdded−$3.08K
Visa Inc.V8.05K$2.43M0.7%−$390.1KCut−$413.3K
Alphabet Inc8.34K$2.39M0.7%−$224.6KCut−$298.6K
Lowes Cos Inc10K$2.37M0.7%−$48.9KAdded−$45.3K
Pgim Etf Tr47.7K$2.36M0.7%−$4.29KCut−$119.1K
Procter And Gamble CoPG16.1K$2.32M0.7%$17.8KAdded$68.1K
Starbucks CorpSBUX25.4K$2.27M0.6%$113.2KAdded$500.2K
NetApp, Inc.NTAP21K$2.15M0.6%−$98.8KCut−$107.9K
Vanguard Malvern Fds39.1K$1.95M0.6%$19.2KCut−$12.7K
Qualcomm Inc14.7K$1.89M0.5%−$621.3KCut−$646.1K
Tapestry, Inc.TPR12.9K$1.83M0.5%$172.2KAdded$177K
Microsoft CorpMSFT4.8K$1.78M0.5%−$543.9KAdded−$541.7K
Colgate Palmolive CoCL19.3K$1.64M0.5%$94.3KAdded$440.8K
Comcast Corp New55.6K$1.6M0.5%−$52.7KAdded$260.8K
General Mls IncGIS39.9K$1.49M0.4%−$298.2KAdded−$7.61K
Vanguard Scottsdale Fds18.4K$1.46M0.4%−$8.45KAdded$1.38K
Shopify Inc.SHOP11K$1.31M0.4%−$423.5KAdded−$300.1K
Nvidia CorpNVDA6.78K$1.18M0.3%−$82KCut−$155.3K
Fox Corp19.1K$1.12M0.3%−$280.3KCut−$342.2K
Korn FerryKFY12.4K$778.1K0.2%−$37.9KCut−$67.9K
Spdr S&P Midcap 400 Etf Tr1.26K$777.5K0.2%$13.7KAdded$141.3K
Allison Transmission Hldgs I6.42K$751.6K0.2%$123KCut$82.1K
Ishares Tr14.1K$714K0.2%$2.38KCut−$6.99M
Eli Lilly & CoLLY752$691.7K0.2%−$116KAdded−$113.3K
Schwab Strategic Tr22.4K$686K0.2%$72.7KCut$52.7K
Exelixis, Inc.EXEL15.7K$674.4K0.2%−$14.8KCut−$54.8K
Pgim Etf Tr12.8K$652.6K0.2%New
Ishares Tr6.54K$620.8K0.2%−$1.73KAdded$12.4K
Ishares Tr894$584K0.2%−$28.4KHeld
Ishares Tr2.52K$538.4K0.2%$8.39KHeld
Cal-Maine Foods IncCALM6.76K$535.5K0.2%−$2.84KCut−$8.65K
Hp IncHPQ26K$500.3K0.1%−$80KCut−$114.8K
Meta Platforms, Inc.META859$491.5K0.1%−$66.8KAdded−$9.55K
Spdr Gold Tr1.12K$482.8K0.1%$38.1KCut−$222.3K
Ionis Pharmaceuticals IncIONS6K$450.5K0.1%−$24.1KCut−$340.6K
Pgim Etf Tr10.6K$441.8K0.1%−$5.63KCut−$538.8K
Invesco Exchange Traded Fd T2.26K$434.1K0.1%$725Added$48.5K
Omnicom Group Inc.OMC4.84K$364.7K0.1%−$26.3KCut−$44.8K
Unitedhealth Group IncUNH1.3K$350.8K0.1%−$77.1KCut−$80.4K
Amazon Com IncAMZN1.65K$344K0.1%−$37.3KCut−$41.7K
ConocophillipsCOP2.6K$343.5K0.1%$84.3KAdded$137.9K
Vanguard Index Fds565$337.3K0.1%−$16.8KAdded−$15.6K
Tesla, Inc.TSLA893$332K0.1%−$69.6KCut−$117.3K
Suncor Energy Inc New4.94K$326.6K0.1%$106.8KAdded$108.7K
Gilead Sciences, Inc.GILD2.18K$303.7K0.1%$36KAdded$37.7K
Chevron Corp NewCVX1.44K$297.7K0.1%$77KAdded$82.4K
GE Vernova Inc.GEV331$288.9K0.1%$72.6KCut$62.8K
Ishares Tr590$251.6K0.1%−$27.7KHeld
Vanguard Intl Equity Index F1.81K$250.4K0.1%−$4.96KHeld
Eog Res Inc1.66K$239.3K0.1%New
Netflix IncNFLX2.47K$237.4K0.1%New
Elastic N.V.ESTC4.61K$230.7K0.1%−$117.4KHeld
Mastercard IncMA460$229.8K0.1%−$32.8KCut−$71K
Invesco Qqq Tr395$228.2K0.1%−$14.6KAdded−$14K
Capital Group Dividend Value5.25K$223.1K0.1%New
Rivian Automotive Inc14.7K$220.7K0.1%−$55.7KAdded−$15K
Capital One Finl Corp1.21K$220.6K0.1%−$60KAdded−$22K
Evercore Inc.EVR737$220K0.1%−$29KAdded−$16.1K
Illinois Tool Wks Inc845$219.9K0.1%New
Boeing Co1.01K$201K0.1%−$18KAdded−$15.2K

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.