13F

Investor

EJMK Ventures LLC

CIK 0002113915 · filed 2026-03-03 · SEC filing

13F book

$162.5M

Positions

175

Largest name

8.9%

Vanguard Index Fds

Est. mark

Need a prior quarter to estimate
NameTickerSharesValueWeightEst. markChange
Vanguard Index Fds23.1K$14.5M8.9%Held
Vanguard Tax-Managed Fds120.3K$7.51M4.6%Held
Apple Inc.AAPL25.1K$6.84M4.2%Held
Microsoft CorpMSFT11.1K$5.37M3.3%Held
Zacks Trust132K$4.59M2.8%Held
Nvidia CorpNVDA23.9K$4.45M2.7%Held
Invesco Qqq Tr6.2K$3.81M2.3%Held
Alphabet Inc10.8K$3.38M2.1%Held
Broadcom Inc.AVGO9.67K$3.35M2.1%Held
American Centy Etf Tr73.7K$3.09M1.9%Held
Amazon Com IncAMZN13.2K$3.04M1.9%Held
Jpmorgan Chase & Co.8.58K$2.76M1.7%Held
Ishares Tr35.6K$2.35M1.4%Held
Zacks Trust59.5K$2.2M1.4%Held
Ishares Tr21.6K$2.16M1.3%Held
Spdr S&P 500 Etf Tr3.1K$2.12M1.3%Held
Vanguard Bd Index Fds24.6K$1.92M1.2%Held
American Centy Etf Tr31.9K$1.86M1.1%Held
Flexshares Tr39.7K$1.82M1.1%Held
AbbVie Inc.ABBV7.81K$1.78M1.1%Held
Visa Inc.V4.99K$1.75M1.1%Held
Spdr Series Trust19.8K$1.59M1.0%Held
Wisdomtree Tr32.7K$1.46M0.9%Held
Tesla, Inc.TSLA3.16K$1.42M0.9%Held
Tjx Cos Inc New8.17K$1.25M0.8%Held
Meta Platforms, Inc.META1.89K$1.25M0.8%Held
Flexshares Tr30.1K$1.23M0.8%Held
Johnson & JohnsonJNJ5.73K$1.19M0.7%Held
Abbott LabsABT9.43K$1.18M0.7%Held
Oracle Corp5.97K$1.16M0.7%Held
Alphabet Inc3.68K$1.16M0.7%Held
Ryan Specialty Holdings, Inc.RYAN22K$1.14M0.7%Held
American Centy Etf Tr11.9K$1.12M0.7%Held
Costco Whsl Corp New1.25K$1.08M0.7%Held
American Centy Etf Tr10.6K$1.08M0.7%Held
Mcdonalds CorpMCD3.42K$1.05M0.6%Held
Ishares Tr11.5K$1.03M0.6%Held
Taiwan Semiconductor Mfg Ltd3.33K$1.01M0.6%Held
Zacks Trust33.8K$1.01M0.6%Held
Ishares Tr9.94K$946.1K0.6%Held
Eli Lilly & CoLLY840$902.8K0.6%Held
Flexshares Tr11.1K$895.4K0.6%Held
Aercap Holdings Nv6.21K$893.3K0.5%Held
S&P Global Inc.SPGI1.71K$892.1K0.5%Held
Berkshire Hathaway Inc Del1.74K$874.6K0.5%Held
AstraZeneca PLCAZN9.25K$850.3K0.5%Held
Sap Se3.48K$845.8K0.5%Held
Zacks Trust31.5K$836.5K0.5%Held
Mastercard IncMA1.46K$830.6K0.5%Held
Ishares Tr5.57K$827.6K0.5%Held
Ishares Tr15.5K$819.2K0.5%Held
Exxon Mobil Corp6.73K$810K0.5%Held
Walmart Inc.WMT7.22K$804.1K0.5%Held
Wisdomtree Tr17.9K$787K0.5%Held
Goldman Sachs Group Inc893$785K0.5%Held
Nasdaq, Inc.NDAQ8.06K$783K0.5%Held
Spdr Series Trust2.4K$770.2K0.5%Held
Ishares Tr7.78K$748.4K0.5%Held
Stryker CorpSYK2.12K$745.1K0.5%Held
Netflix IncNFLX7.76K$727.2K0.4%Held
Flexshares Tr7.72K$715.6K0.4%Held
Flexshares Tr2.78K$691.8K0.4%Held
Vanguard Intl Equity Index F12.8K$690.4K0.4%Held
Vanguard Scottsdale Fds11.9K$664.1K0.4%Held
Palantir Technologies Inc.PLTR3.67K$652.2K0.4%Held
Schwab Strategic Tr26.6K$649.1K0.4%Held
Waste Mgmt Inc Del2.9K$638.3K0.4%Held
Cisco Sys Inc8.18K$630K0.4%Held
Ishares Tr11.8K$618.3K0.4%Held
Home Depot, Inc.HD1.76K$606.4K0.4%Held
Ishares Tr11.6K$602.2K0.4%Held
RTX CorpRTX3.25K$597K0.4%Held
Merck & Co., Inc.MRK5.67K$596.5K0.4%Held
Advanced Micro Devices IncAMD2.74K$585.9K0.4%Held
Ishares Tr4.85K$583K0.4%Held
Bank America Corp10.6K$581.5K0.4%Held
Invesco Exchange Traded Fd T7.8K$548.9K0.3%Held
American Centy Etf Tr11.8K$544.2K0.3%Held
Chevron Corp NewCVX3.57K$544K0.3%Held
Schwab Strategic Tr16.4K$536.6K0.3%Held
Wisdomtree Tr10.8K$531.4K0.3%Held
Procter And Gamble CoPG3.7K$530.7K0.3%Held
UBS Group AGUBS11.4K$527.8K0.3%Held
Amgen IncAMGN1.6K$522.7K0.3%Held
Vanguard Scottsdale Fds8.83K$518.7K0.3%Held
Ishares Tr6.28K$517.6K0.3%Held
Coca-Cola Europacific Partne5.47K$496.6K0.3%Held
Applied Matls Inc1.91K$490.3K0.3%Held
Spdr Series Trust14.4K$488.5K0.3%Held
Hewlett Packard Enterprise C19.9K$478K0.3%Held
Wisdomtree Tr9.43K$474.6K0.3%Held
Norfolk Southn Corp1.51K$437.4K0.3%Held
Vanguard Scottsdale Fds9.2K$433.2K0.3%Held
Ferrari N.V.RACE1.13K$416.5K0.3%Held
American Express CoAXP1.12K$414.4K0.3%Held
Morgan Stanley2.3K$409K0.3%Held
Prologis Inc.3.1K$396.3K0.2%Held
Pepsico IncPEP2.75K$394.2K0.2%Held
Amphenol Corp New2.89K$391.1K0.2%Held
Mondelez Intl Inc7.2K$387.4K0.2%Held
EXPAND ENERGY CorpEXE3.48K$384.7K0.2%Held
Vanguard Bd Index Fds5.16K$382.3K0.2%Held
Spdr Series Trust3.58K$382.2K0.2%Held
Qualcomm Inc2.23K$382K0.2%Held
Nextera Energy Inc4.75K$381.4K0.2%Held
First Tr Inter Duratn Pfd &20.1K$374.3K0.2%Held
Csx CorpCSX10.3K$373.3K0.2%Held
Target CorpTGT3.8K$371.6K0.2%Held
Mercadolibre IncMELI183$368.6K0.2%Held
Spdr Series Trust4.02K$367.6K0.2%Held
Wisdomtree Tr7.8K$362K0.2%Held
Vanguard Scottsdale Fds4.47K$356.1K0.2%Held
Coca Cola CoKO4.96K$346.4K0.2%Held
Spdr Series Trust2.47K$344K0.2%Held
General Dynamics CorpGD1.02K$343.7K0.2%Held
Simon Ppty Group Inc New1.82K$337.9K0.2%Held
Vanguard Scottsdale Fds3.63K$335.3K0.2%Held
Eog Res Inc3.14K$329.4K0.2%Held
Constellation Energy CorpCEG927$327.5K0.2%Held
Disney Walt Co2.88K$327.3K0.2%Held
Spdr Series Trust12.8K$322.9K0.2%Held
Chubb Limited1.03K$322.7K0.2%Held
L3harris Technologies Inc1.08K$316.5K0.2%Held
Pnc Finl Svcs Group Inc1.51K$316K0.2%Held
Intuit Inc.INTU476$315.3K0.2%Held
Marsh & Mclennan Cos Inc1.68K$311.1K0.2%Held
ServiceNow, Inc.NOW2.03K$310.7K0.2%Held
Ge Aerospace1.01K$310.2K0.2%Held
Spdr Series Trust6.59K$308.6K0.2%Held
Synopsys IncSNPS644$302.5K0.2%Held
Altria Group, Inc.MO5.24K$301.9K0.2%Held
Ecolab Inc.ECL1.14K$299.3K0.2%Held
Colgate Palmolive CoCL3.79K$299.2K0.2%Held
Salesforce, Inc.CRM1.12K$295.6K0.2%Held
Ishares Tr4.11K$293.6K0.2%Held
Motorola Solutions, Inc.MSI763$292.5K0.2%Held
Wells Fargo Co New3.12K$290.9K0.2%Held
Schwab Strategic Tr8.72K$284.5K0.2%Held
Flexshares Tr4.44K$283.3K0.2%Held
Deere & CoDE607$282.6K0.2%Held
International Business Machs943$279.4K0.2%Held
Lam Research CorpLRCX1.62K$277.7K0.2%Held
Essex Ppty Tr Inc1.06K$277.6K0.2%Held
Invesco Exchange Traded Fd T4.68K$277.4K0.2%Held
Booz Allen Hamilton Hldg Cor3.18K$268.2K0.2%Held
American Wtr Wks Co Inc New2.04K$266.9K0.2%Held
Vanguard Admiral Fds Inc2.17K$262.8K0.2%Held
Micron Technology IncMU905$258.3K0.2%Held
Invesco Exch Traded Fd Tr Ii3.03K$255.2K0.2%Held
Ishares Tr2.49K$253.4K0.2%Held
Philip Morris Intl Inc1.56K$250.4K0.2%Held
Zoetis Inc.ZTS1.99K$250.1K0.2%Held
Bristol-Myers Squibb Co4.61K$248.8K0.2%Held
Lowes Cos Inc1.03K$248.4K0.2%Held
Relx Plc6.12K$247.5K0.2%Held
Thermo Fisher Scientific Inc.TMO427$247.4K0.2%Held
Verizon Communications IncVZ5.98K$243.5K0.1%Held
Caterpillar IncCAT423$242.3K0.1%Held
Honeywell Intl Inc1.23K$239K0.1%Held
Vanguard World Fd800$230.3K0.1%Held
Vanguard Bd Index Fds3.28K$228.3K0.1%Held
Sempra2.56K$226.3K0.1%Held
Union Pac Corp977$226K0.1%Held
Cme Group Inc.CME816$222.8K0.1%Held
Fedex CorpFDX767$221.6K0.1%Held
Unitedhealth Group IncUNH658$217.2K0.1%Held
Nucor CorpNUE1.32K$216K0.1%Held
Take-Two Interactive Softwar828$212K0.1%Held
Schwab Charles Corp2.09K$209K0.1%Held
Totalenergies SeTTE3.18K$207.8K0.1%Held
Boston Scientific CorpBSX2.13K$202.6K0.1%Held
Intuitive Surgical IncISRG357$202.2K0.1%Held
Kinder Morgan Inc Del7.35K$201.9K0.1%Held
Vertiv Holdings CoVRT1.24K$201.4K0.1%Held
FS Credit Opportunities Corp.FSCO27.2K$171.1K0.1%Held

Positions as of Q4 2025. 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.