13F

Investor

DecisionMap Wealth Management, LLC

CIK 0002001526 · filed 2026-04-15 · SEC filing

13F book

$154.5M

Positions

129

8 new · 13 sold

Largest name

8.9%

Ishares Tr

Est. mark

−$5.65M

Price effect on 121 names still held. Flow −$2.03M.
NameTickerSharesValueWeightEst. markChange
Ishares Tr20.9K$13.7M8.9%−$657KAdded−$511.3K
Spdr Series Trust89.5K$8.76M5.7%−$783.2KAdded−$744.9K
Ishares Tr73.5K$6.65M4.3%$75.8KAdded$314K
Spdr Series Trust84.4K$4.77M3.1%−$19.4KCut−$32.3K
Ishares Tr109.9K$4.67M3.0%$124.7KCut−$15K
Nvidia CorpNVDA25.8K$4.49M2.9%−$308.7KAdded−$267.2K
Ishares Inc64.4K$4.49M2.9%$162.9KCut−$43.3K
Apple Inc.AAPL16.1K$4.08M2.6%−$265.9KAdded$76.4K
Dimensional Etf Trust95.9K$4.05M2.6%−$29KAdded$425.8K
Fidelity Merrimack Str Tr83.9K$3.83M2.5%−$28.3KAdded$726.4K
Blackrock Etf Trust Ii72.2K$3.75M2.4%−$44KAdded$986.2K
Fidelity Wise Origin Bitcoin60.9K$3.6M2.3%−$966.6KAdded−$688.7K
Vanguard Index Fds6K$3.59M2.3%−$177.5KCut−$348.7K
Microsoft CorpMSFT7.62K$2.82M1.8%−$863.9KCut−$969.8K
Coca Cola CoKO35.2K$2.68M1.7%$216KCut$68.9K
Ishares Tr26.2K$2.6M1.7%−$16KCut−$684.5K
Ishares Tr24.6K$2.34M1.5%−$6.07KAdded$184.9K
Alphabet Inc6.75K$1.94M1.3%−$171.9KCut−$250.8K
Vanguard Index Fds5.97K$1.92M1.2%−$86.3KCut−$210.3K
Berkshire Hathaway Inc Del3.8K$1.82M1.2%−$89.1KCut−$130.8K
Tcw Etf Trust18.3K$1.79M1.2%$22.8KAdded$430.8K
Ishares Tr22.2K$1.56M1.0%New
Amazon Com IncAMZN7.27K$1.52M1.0%−$164KCut−$199.8K
Ishares Tr11.4K$1.42M0.9%$47.2KCut−$98.1K
Select Sector Spdr Tr28.8K$1.42M0.9%−$146.4KAdded−$64.6K
Fidelity Covington Trust37.3K$1.42M0.9%$8.14KAdded$20.2K
Dimensional Etf Trust29.2K$1.4M0.9%−$1.92KAdded$80.4K
Ishares Tr20.6K$1.39M0.9%$6.12KAdded$1.12M
Meta Platforms, Inc.META2.13K$1.22M0.8%−$180.6KAdded−$133.7K
Procter And Gamble CoPG8.36K$1.21M0.8%$9.48KCut−$58.2K
Johnson & JohnsonJNJ4.82K$1.18M0.8%$180.6KCut$116.9K
Paccar IncPCAR10K$1.16M0.8%$60KAdded$62.2K
Alphabet Inc3.95K$1.13M0.7%−$95.5KAdded$20.6K
Broadcom Inc.AVGO3.62K$1.12M0.7%−$132.4KCut−$189.2K
Spdr Series Trust11.4K$1.09M0.7%−$16.7KAdded$821
Visa Inc.V3.37K$1.02M0.7%−$161.4KAdded−$146.9K
Schwab Strategic Tr34.9K$1.02M0.7%−$121.8KCut−$174.6K
Rollins IncROL18.9K$1.01M0.7%−$124.4KAdded−$120.5K
Vanguard Bd Index Fds13.4K$984.3K0.6%New
Ishares Tr9.76K$983K0.6%−$9.07KAdded$12.3K
Eli Lilly & CoLLY1.06K$975.1K0.6%−$164.2KCut−$262K
Jpmorgan Chase & Co.3.28K$964.6K0.6%−$85.7KAdded−$19.5K
Tesla, Inc.TSLA2.56K$953.2K0.6%−$199.9KCut−$215.7K
Ishares Tr9.21K$952.5K0.6%$9.59KCut−$561K
Ishares Tr10.8K$934.6K0.6%$21.3KAdded$34.4K
Ishares Tr8.52K$904.2K0.6%−$8.18KCut−$27.6K
Spdr S&P 500 Etf Tr1.37K$891.9K0.6%−$43.1KCut−$351.3K
Schwab Strategic Tr34.4K$863.8K0.6%−$38.9KCut−$49.9K
Abacus Fcf Etf Tr11.5K$817.1K0.5%−$2.63KCut−$2.39M
Home Depot, Inc.HD2.4K$790.1K0.5%−$36.4KCut−$51.8K
Blackrock Etf Trust23.3K$767.4K0.5%−$7.84KAdded$21.4K
Ishares Bitcoin Trust EtfIBIT19.6K$751.2K0.5%−$219.6KHeld
Broadstone Net Lease, Inc.BNL41.1K$750.4K0.5%$37KCut−$170.6K
Vanguard Index Fds3.71K$728.9K0.5%$19.4KCut−$59.5K
Ishares Tr29.8K$722.5K0.5%−$1.17KAdded$15.6K
Ishares Tr28.5K$721.3K0.5%−$3.5KAdded$8K
RTX CorpRTX3.7K$713.7K0.5%$35KCut−$19.6K
Ishares Tr30.5K$710.4K0.5%−$4.29KAdded$18.5K
Ishares Tr32.4K$710.3K0.5%−$5.63KAdded$19.7K
Spdr Series Trust28.4K$705.5K0.5%−$3.98KCut−$225.3K
Accenture Plc Ireland3.5K$694.9K0.4%−$173.4KAdded$30.3K
Ishares Tr27.6K$670.1K0.4%$276Cut−$13.9K
Ishares Tr6.06K$668.6K0.4%$2.73KCut−$11.7K
Schwab Strategic Tr26.6K$658.5K0.4%$18.9KCut−$11.4K
Ishares Tr30.4K$636.3K0.4%−$6.68KAdded−$6.08K
Ishares Tr25.2K$636.1K0.4%−$3.4KAdded$301.9K
Honeywell Intl Inc2.79K$630.3K0.4%$86.4KCut$37.6K
Vanguard Index Fds2.17K$622.4K0.4%−$6.58KCut−$49.5K
Pepsico IncPEP3.89K$604.6K0.4%New
Asml Holding N V453$598K0.4%$113.6KCut$7.74K
General Dynamics CorpGD1.74K$598K0.4%$11.5KCut−$44.7K
Starbucks CorpSBUX6.65K$595.8K0.4%$35.8KCut−$17.9K
Ishares Tr24.6K$563.8K0.4%−$2.46KAdded$72.2K
Caterpillar IncCAT796$563.7K0.4%$107.9KCut$103.9K
Colgate Palmolive CoCL6.6K$562.5K0.4%New
Disney Walt Co5.82K$560.4K0.4%−$101.2KCut−$147.7K
Lockheed Martin CorpLMT872$527K0.3%$83.7KAdded$191.8K
C. H. Robinson Worldwide, Inc.CHRW3.13K$519.6K0.3%$16.6KCut−$23.8K
Walmart Inc.WMT4.04K$502.7K0.3%$52KCut−$406.4K
Exxon Mobil Corp2.88K$488.8K0.3%$140.1KAdded$146.9K
Medtronic PlcMDT5.41K$468.7K0.3%−$50.9KCut−$93.9K
Unilever Plc8.15K$464.3K0.3%−$68.7KCut−$73.3K
Ishares Tr4.88K$452.4K0.3%−$6.91KCut−$1.27M
Palantir Technologies Inc.PLTR2.98K$435.9K0.3%−$82.2KAdded−$28.4K
Costco Whsl Corp New424$422.5K0.3%$54.7KAdded$70.7K
Chevron Corp NewCVX2K$412.8K0.3%$108.7KCut$86.9K
Diageo Plc5.51K$410K0.3%−$64.8KAdded−$62.9K
Mastercard IncMA787$393.2K0.3%−$49.9KAdded−$6.38K
Ishares Tr2.74K$389.8K0.3%−$15.3KAdded$26.4K
Novo-Nordisk A S9.82K$360.9K0.2%−$138.8KCut−$216.7K
Ishares 0-3 Month3.57K$359.8K0.2%$1KHeld
Ishares Tr15.8K$345.7K0.2%−$1.62KHeld
Ishares Tr17.5K$345.1K0.2%−$2.19KHeld
Vanguard Index Fds1.31K$344.5K0.2%$5.1KAdded$23.4K
Strategy Inc2.75K$342.9K0.2%−$74.6KCut−$80.2K
Ishares Tr16.7K$341.1K0.2%−$2.11KHeld
Vanguard Mun Bd Fds6.7K$334.5K0.2%−$2.68KCut−$45.5K
Schwab Strategic Tr10.9K$331.6K0.2%$9.68KCut−$11K
Pimco Etf Tr6.43K$324.2K0.2%$129Cut−$53.2K
Tjx Cos Inc New1.97K$314.1K0.2%$12KCut$3.07K
Wells Fargo Co New3.85K$306.7K0.2%−$52.4KCut−$55.6K
Union Pac Corp1.25K$302.1K0.2%$14.1KCut$10.4K
Netflix IncNFLX3.14K$301.9K0.2%$7.5KCut−$36.6K
Vanguard Index Fds1.34K$290.2K0.2%$7.29KCut−$118
Goldman Sachs Group Inc339$286.8K0.2%−$11.2KCut−$31.4K
Invesco Qqq Tr490$282.8K0.2%−$16.6KAdded$7.61K
Ishares Tr2.79K$279.1K0.2%−$12.7KAdded$14.3K
Vanguard Index Fds3.13K$277.1K0.2%$548Added$49.2K
Linde PlcLIN559$277.1K0.2%$38.8KCut$32K
Ishares Tr867$275.8K0.2%−$21.6KCut−$24.7K
Ishares Tr12K$267K0.2%−$982Held
Ishares Tr11.8K$264.7K0.2%−$472Held
Ishares Tr1.46K$264K0.2%−$26.6KCut−$31.8K
AbbVie Inc.ABBV1.16K$252.3K0.2%−$12.8KCut−$50.7K
Pimco Etf Tr4.32K$225.5K0.1%−$951Cut−$7.76K
Mcdonalds CorpMCD725$225.3K0.1%$3.74KCut−$12.2K
Vanguard Tax-Managed Fds3.5K$224.6K0.1%New
International Business Machs918$222.5K0.1%−$49.4KCut−$57.1K
Stryker CorpSYK671$220.5K0.1%−$15.4KCut−$30.1K
American Express CoAXP728$220.2K0.1%−$49.1KCut−$67.2K
Micron Technology IncMU646$218.2K0.1%New
Ishares Tr2.46K$212.9K0.1%−$1.14KCut−$17.7K
Ishares Tr9.27K$212.4K0.1%$371Held
Ishares Inc3.51K$211.9K0.1%$9.05KCut−$41K
Vanguard Scottsdale Fds2.25K$211.1K0.1%$3.24KCut−$1.47K
Ishares Tr4.52K$208.6K0.1%−$1.58KCut−$29.7K
Illinois Tool Wks Inc799$208K0.1%New
Ishares Tr558$206.9K0.1%−$9.02KCut−$9.41K
Merck & Co., Inc.MRK1.71K$205.5K0.1%New

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.