13F

Investor

DDFG, Inc

CIK 0001967640 · filed 2026-04-22 · SEC filing

13F book

$464M

Positions

86

3 new · 4 sold

Largest name

9.5%

Ishares Tr

Est. mark

−$3.2M

Price effect on 83 names still held. Flow $10.4M.
NameTickerSharesValueWeightEst. markChange
Ishares Tr—371.1K$44M9.5%−$268KAdded$1.37M
Ishares Tr—273.5K$42.4M9.1%−$3.43MAdded−$2.5M
Ishares Tr—424.2K$35.4M7.6%$438.1KAdded$2.3M
Ishares Tr—297.4K$30.4M6.6%−$81.2KAdded$1.66M
Ishares Tr—1.26M$28.8M6.2%−$137.8KAdded$1.18M
Ishares Tr—122.7K$25.9M5.6%−$110.8KAdded$329.4K
Ishares Tr—183.9K$20M4.3%−$214.5KAdded$360.9K
Ishares Tr—192K$19.9M4.3%$193.8KAdded$779.3K
Vanguard Growth Etf—34.1K$14.9M3.2%−$1.74MCut−$1.9M
Spdr Gold Tr—31K$13.3M2.9%$1.05MCut$183.2K
Ishares Tr—322.9K$12.6M2.7%$343.9KAdded$1.85M
Vanguard Specialized Funds—58K$12.5M2.7%−$273.7KCut−$837.7K
Ishares Tr—173.4K$11.4M2.5%−$594.8KCut−$13.9M
Ab Active Etfs Inc—446.3K$11.1M2.4%−$55.4KAdded$191.4K
Dimensional Etf Trust—328.6K$11.1M2.4%$423.9KCut−$330.4K
Global X Fds—136.6K$10.1M2.2%—New
Ishares Tr—100K$10.1M2.2%$284.1KAdded$2.7M
Ishares Tr—99K$9.36M2.0%$62KAdded$677K
Ishares Tr—60.3K$8.59M1.9%−$377.5KCut−$514.9K
Ishares Tr—58.5K$7.75M1.7%$52.2KAdded$224K
Ishares Tr—86.3K$6.52M1.4%$52.2KAdded$112.8K
Ishares Tr—77.6K$6.11M1.3%−$54KAdded$2.08M
Vanguard Tax-Managed Fds—94.1K$6.03M1.3%$151.5KCut$98.3K
Apple Inc.AAPL23.4K$5.94M1.3%−$423.1KCut−$505.2K
Ishares Tr—74.9K$5.26M1.1%$53.4KAdded$378.3K
Exxon Mobil Corp—30.5K$5.18M1.1%$1.5MAdded$1.51M
Vanguard Intl Equity Index F—92.3K$4.99M1.1%$26.8KCut−$88.5K
Ishares Tr—49.9K$4.23M0.9%$114.6KAdded$374.1K
Spdr Series Trust—82.4K$3.98M0.9%$115.1KAdded$287K
Ishares Inc—44.4K$3.1M0.7%$112.3KAdded$116.1K
Alphabet Inc—6.87K$1.97M0.4%−$185.1KHeld
Curtiss Wright CorpCW2.86K$1.95M0.4%$371.3KHeld
Nvidia CorpNVDA9.63K$1.68M0.4%−$116.6KCut−$169.8K
Philip Morris Intl Inc—9.32K$1.54M0.3%$46KCut$38K
Ishares Tr—52.5K$1.4M0.3%−$28.8KAdded$49.7K
Berkshire Hathaway Inc Del—2.38K$1.14M0.2%−$52KAdded$27.1K
Ishares Silver Tr—16.6K$1.13M0.2%$61.9KCut−$66.3K
Vanguard Index Fds—5.77K$1.06M0.2%$39.8KCut$30.3K
Ishares Tr—1.51K$986.3K0.2%−$47.7KAdded−$40.5K
Amgen IncAMGN2.73K$962.2K0.2%$65.7KAdded$83.7K
Mastercard IncMA1.92K$958.7K0.2%−$137KAdded−$136.5K
Teledyne Technologies IncTDY1.5K$907.5K0.2%$141.4KHeld
Advanced Micro Devices IncAMD4K$813.7K0.2%−$42.9KHeld
Microsoft CorpMSFT2.08K$768.9K0.2%−$235.6KCut−$251.6K
First Tr Exchange Traded Fd—23.7K$756.8K0.2%$39.3KCut$39K
Alps Etf Tr—14.4K$755.4K0.2%$76.3KAdded$117.1K
Amazon Com IncAMZN3.55K$739.8K0.2%−$80.1KCut−$140.1K
Arrowhead Pharmaceuticals In—10.7K$672.6K0.1%−$39.6KCut−$305.1K
Invesco Qqq Tr—1.15K$663.8K0.1%−$42.7KHeld
Nushares Etf Tr—12.9K$585.8K0.1%$5.69KAdded$15.8K
Ishares Tr—5.7K$553.8K0.1%$6.14KAdded$18.3K
Nushares Etf Tr—5.8K$527.3K0.1%−$39.5KAdded−$36.1K
Altria Group, Inc.MO7.98K$526.5K0.1%$66.4KAdded$66.6K
Ishares Tr—5.7K$515.6K0.1%$6.03KAdded$11K
Ishares Tr—5.38K$514.6K0.1%$2.73KAdded$25.1K
Vanguard Index Fds—1.95K$500.9K0.1%−$42.4KCut−$47.1K
Costco Whsl Corp New—432$430.7K0.1%$48KAdded$121.8K
Bank America Corp—8.57K$417.8K0.1%−$53.5KAdded−$53K
Walmart Inc.WMT3.11K$387.1K0.1%$40.1KCut−$8.66K
Ati IncATI2.5K$363.4K0.1%$76.7KHeld
Ishares Tr—6.1K$346.5K0.1%$12.7KCut−$2.24K
Pra Group IncPRAA19.8K$345.9K0.1%—New
Meta Platforms, Inc.META599$342.7K0.1%−$52.4KAdded−$50.7K
Unitedhealth Group IncUNH1.24K$335.1K0.1%−$73.7KHeld
Hawkins IncHWKN2.14K$328.7K0.1%$24.6KAdded$25.1K
Oracle Corp—2.21K$324.9K0.1%−$105.5KAdded−$105.2K
Vanguard Index Fds—999$320.6K0.1%−$14.3KAdded−$13.4K
Gilead Sciences, Inc.GILD2.29K$318.9K0.1%$37.8KAdded$39.4K
Palantir Technologies Inc.PLTR2.11K$308.5K0.1%−$66.4KHeld
Ishares Tr—2.47K$299.2K0.1%−$18.9KHeld
Chevron Corp NewCVX1.44K$297.2K0.1%$78.3KCut$51.7K
Ishares Tr—2.26K$280.5K0.1%$9.18KAdded$14K
Disney Walt Co—2.89K$278.5K0.1%−$50.1KAdded−$49.3K
Edwards Lifesciences CorpEW3.3K$264.3K0.1%−$17.1KHeld
Mondelez Intl Inc—4.34K$250.3K0.1%$16.5KHeld
Eli Lilly & CoLLY264$242.8K0.1%−$40.9KHeld
Ishares Tr—1.33K$240.6K0.1%−$24.2KHeld
Tesla, Inc.TSLA645$239.9K0.1%−$49.9KAdded−$48.1K
Bristol-Myers Squibb Co—3.89K$236.2K0.1%$26.1KCut$831
Merck & Co., Inc.MRK1.95K$234.8K0.1%$29.1KAdded$30.9K
Turn Therapeutics Inc.TTRX70.5K$225.7K0.0%−$38.7KAdded$19.7K
Visa Inc.V686$207.3K0.0%−$33.2KCut−$65.8K
Ishares Tr—1.35K$205.2K0.0%—New
Vaalco Energy Inc—30.3K$191.8K0.0%$81.7KHeld
UWM Holdings CorpUWMC20.9K$75.5K0.0%−$15.5KAdded−$13.9K
Sleep Number CorpSNBRQ12.7K$22.8K0.0%−$84.6KHeld

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.