13F

Investor

Garde Capital, Inc.

CIK 0001616328 · filed 2026-04-29 · SEC filing

13F book

$1.67B

Positions

198

25 new · 8 sold

Largest name

12.7%

Vanguard Index Fds

Est. mark

−$70.7M

Price effect on 173 names still held. Flow $53.1M.
NameTickerSharesValueWeightEst. markChange
Vanguard Index Fds—1.08M$211.8M12.7%$5.62MCut$3.56M
Vanguard Growth Etf—441.6K$192.9M11.6%−$22.6MCut−$27M
Vanguard Index Fds—430.9K$128.8M7.7%−$6.87MCut−$6.92M
Vanguard Intl Equity Index F—1.01M$83M5.0%−$1.17MAdded−$113.3K
Vanguard Index Fds—258.3K$82.9M5.0%−$3.7MAdded−$2.92M
Vanguard Intl Equity Index F—627K$61.3M3.7%$4.6MCut$4.2M
Ishares Tr—609.3K$58.1M3.5%—New
Vanguard Malvern Fds—1.1M$55M3.3%$452.6KAdded$9.3M
Microsoft CorpMSFT141.2K$52.3M3.1%−$16MCut−$20.4M
Vanguard Index Fds—168.3K$44.1M2.6%$668.1KCut$244.1K
Vanguard Index Fds—56.5K$33.8M2.0%−$1.67MCut−$2.12M
Vanguard Index Fds—375.9K$33.3M2.0%$78.4KAdded$284.2K
Vanguard Tax-Managed Fds—493.4K$31.6M1.9%$794.4KCut$450.9K
Vanguard Intl Equity Index F—524.6K$28.4M1.7%$150.2KAdded$501.3K
Apple Inc.AAPL105.3K$26.7M1.6%−$1.9MCut−$9.6M
Vanguard World Fd—237.7K$26.7M1.6%−$2.01MAdded−$1.34M
Schwab Strategic Tr—901.3K$26.3M1.6%−$3.15MCut−$3.68M
Ishares Tr—237.4K$24.3M1.5%−$68.9KCut−$472.5K
Vanguard Instl Index Fd—302.8K$22.9M1.4%—New
Amazon Com IncAMZN109.3K$22.8M1.4%−$2.46MCut−$9.36M
Invesco Qqq Tr—34.1K$19.7M1.2%−$1.27MCut−$6.51M
Ishares Tr—263.6K$18.5M1.1%−$187.1KCut−$400.2K
Schwab Strategic Tr—590.7K$18M1.1%$525.7KCut$157.9K
Schwab Strategic Tr—693.3K$17.2M1.0%$492.2KCut−$282.8K
Alphabet Inc—52.2K$15M0.9%−$1.33MCut−$1.99M
Alphabet Inc—50.4K$14.5M0.9%−$1.36MCut−$2.47M
Vanguard Specialized Funds—60.9K$13.1M0.8%−$287.5KHeld
Vanguard Index Fds—57.2K$12.4M0.7%$312.4KCut$255.7K
Vanguard Index Fds—40.5K$12.3M0.7%$5.68KCut−$23.6K
Vanguard Scottsdale Fds—198.4K$11.8M0.7%—New
Zillow Group Inc—261.8K$10.8M0.6%−$7.03MCut−$7.58M
Ishares Tr—140.3K$10.7M0.6%$462.9KCut$165.4K
Schwab Strategic Tr—276.5K$9.11M0.5%$55.3KCut−$193.5K
Vanguard World Fd—125.5K$9M0.5%$13.2KAdded$390.4K
Nvidia CorpNVDA48.6K$8.48M0.5%−$588.5KCut−$1.57M
Spdr S&P 500 Etf Tr—11.4K$7.4M0.4%−$358.9KCut−$464.6K
Ishares Tr—16K$6.83M0.4%−$751.3KCut−$808.6K
Ishares Tr—118.1K$6.72M0.4%—New
Meta Platforms, Inc.META10.9K$6.25M0.4%−$961.3KCut−$4.63M
Ishares Tr—50.1K$6.23M0.4%$207.1KCut−$1.39M
Ishares Tr—17.4K$6.21M0.4%−$293.8KCut−$323.3K
Vanguard Admiral Fds Inc—28K$5.71M0.3%−$29.7KCut−$5.5M
Schwab Strategic Tr—193.3K$5.62M0.3%$116KCut−$173.4K
Ishares Gold Tr—63.7K$5.61M0.3%$412KAdded$830.8K
Ishares Tr—87.9K$5.44M0.3%$192.7KAdded$259.4K
Tesla, Inc.TSLA14.1K$5.26M0.3%−$1.1MCut−$3.02M
Berkshire Hathaway Inc Del—10.7K$5.13M0.3%−$239KAdded$5.44K
Ishares Tr—49.5K$4.73M0.3%$25.7KAdded$112.1K
Ishares Tr—30K$4.65M0.3%−$381.7KAdded−$342.8K
Ishares Tr—34.7K$4.58M0.3%−$233.7KAdded$85.1K
Costco Whsl Corp New—4.2K$4.19M0.3%$554.6KAdded$616.3K
Zillow Group Inc—98.2K$4.06M0.2%−$2.64MCut−$3.31M
Dimensional Etf Trust—93.3K$3.95M0.2%−$38.3KAdded$269.8K
Caterpillar IncCAT5.46K$3.87M0.2%$695.9KAdded$928.3K
T-Mobile Us Inc—17.1K$3.6M0.2%$119.9KCut−$442.1K
Taiwan Semiconductor Mfg Ltd—10.3K$3.46M0.2%$349.2KCut−$257.7K
Vanguard World Fd—4.61K$3.22M0.2%−$251.4KAdded−$162.7K
Ishares Tr—15K$3.18M0.2%−$13.8KHeld
Spdr Series Trust—120.9K$3.14M0.2%$7.25KCut−$43.1K
Ishares Tr—22.1K$3.12M0.2%−$166.5KAdded−$157K
Ishares Bitcoin Trust EtfIBIT81.2K$3.12M0.2%−$911.8KCut−$4.68M
American Exceptionalism Acqu—234.2K$2.54M0.2%−$65.1KAdded$1.21M
Schwab Charles Corp—19.9K$1.87M0.1%—New
Ishares Tr—18.8K$1.78M0.1%$11.5KAdded$164.4K
Vanguard Scottsdale Fds—16.2K$1.77M0.1%−$195.1KHeld
Uber Technologies, IncUBER24.5K$1.76M0.1%−$239.2KCut−$784.3K
Ishares Tr—36.6K$1.72M0.1%$37.5KAdded$62.6K
Ishares Tr—4.63K$1.72M0.1%−$74.8KCut−$412.9K
Eli Lilly & CoLLY1.83K$1.68M0.1%−$248.5KAdded−$40.6K
Vanguard Admiral Fds Inc—4.08K$1.66M0.1%−$150.4KCut−$1.31M
Ishares Inc—23.7K$1.65M0.1%$58.9KAdded$87.7K
Palantir Technologies Inc.PLTR11.1K$1.62M0.1%−$349.1KCut−$3.4M
State Srt Spdr Prtfl Hgh—67K$1.56M0.1%−$23.5KHeld
American Express CoAXP5.16K$1.56M0.1%−$347.9KCut−$355.3K
Broadcom Inc.AVGO4.86K$1.51M0.1%−$177.9KCut−$1.18M
Ishares Inc—24K$1.5M0.1%−$35KHeld
Jpmorgan Chase & Co.—5.08K$1.49M0.1%−$142.5KCut−$443.5K
Ishares Tr—6.77K$1.45M0.1%$22.5KHeld
Select Sector Spdr Tr—10.7K$1.43M0.1%−$119KCut−$338.7K
Ishares Tr—15.5K$1.4M0.1%$10.2KAdded$547.5K
Chipotle Mexican Grill IncCMG42.5K$1.36M0.1%−$212.1KHeld
Ishares Ethereum Tr—82.7K$1.31M0.1%−$546KCut−$1.41M
Dimensional Etf Trust—26.6K$1.29M0.1%$49.7KHeld
Expedia Group, Inc.EXPE5.54K$1.28M0.1%−$290.3KCut−$311.3K
Salesforce, Inc.CRM6.82K$1.27M0.1%−$533.6KCut−$3.41M
Global X Fds—16.5K$1.26M0.1%$43.3KAdded$577.2K
Snowflake Inc.SNOW8.19K$1.24M0.1%−$561.6KCut−$1.49M
Vanguard Intl Equity Index F—16.2K$1.22M0.1%$24.4KAdded$52.1K
Netflix IncNFLX12.5K$1.2M0.1%$29.8KCut−$22.7K
Ishares Tr—4.59K$1.14M0.1%$6.96KAdded$225.7K
Oracle Corp—7.73K$1.14M0.1%−$332.7KAdded−$219.2K
Qualcomm Inc—8.76K$1.13M0.1%−$370.1KCut−$388.4K
Ishares Tr—20.7K$1.09M0.1%—New
Boeing Co—5.46K$1.09M0.1%−$98.8KCut−$338.5K
Schwab Strategic Tr—41K$1.05M0.1%−$52.1KCut−$932.6K
Starbucks CorpSBUX11.6K$1.04M0.1%$62.6KCut$48.2K
Ishares Tr—10.3K$1M0.1%$9.73KAdded$150.7K
Peloton Interactive, Inc.PTON229.5K$984.5K0.1%−$429.2KHeld
Antero Resources CorpAR22.4K$950.9K0.1%$178.8KHeld
Mcdonalds CorpMCD3.04K$944.1K0.1%$15.3KAdded$35.2K
Ishares Tr—3.01K$943.9K0.1%−$26.3KAdded$20.8K
Vanguard Index Fds—3.26K$936.5K0.1%−$9.42KAdded$37.7K
Texas Instrs Inc—4.68K$908.2K0.1%$96.6KHeld
Exxon Mobil Corp—5.28K$895.1K0.1%$260.2KCut$222.2K
Ishares Tr—17K$867.8K0.1%—New
Airbnb, Inc.ABNB6.8K$859.2K0.1%−$64.2KHeld
Goldman Sachs BDC, Inc.GSBD93.7K$831.7K0.1%−$37.5KCut−$110.5K
Ishares Tr—4.32K$818.6K0.0%$36.2KCut$17.2K
Vanguard Whitehall Fds—5.42K$802.7K0.0%$24.3KAdded$41.3K
Vanguard Scottsdale Fds—9.3K$769.5K0.0%—New
Amgen IncAMGN2.14K$754K0.0%$52.3KAdded$56.8K
Walmart Inc.WMT5.84K$725.3K0.0%$74.9KAdded$77K
Berkshire Hathaway Inc Del—1$718.1K0.0%−$36.7KHeld
Spdr Gold Tr—1.58K$681.1K0.0%$51.9KAdded$75.6K
Ishares Tr—1K$653.4K0.0%−$29.6KAdded$8.27K
Bank America Corp—13.4K$651.6K0.0%−$83.5KHeld
Ishares Tr—5.63K$637K0.0%−$53.8KAdded−$15.7K
Fidelity Wise Origin Bitcoin—10.7K$633.2K0.0%−$168.1KAdded−$111.7K
World Gold Tr—6.82K$632.4K0.0%—New
Johnson & JohnsonJNJ2.57K$629.2K0.0%$95.7KAdded$101.1K
Union Pac Corp—2.56K$621.1K0.0%$28.6KAdded$34.9K
Fedex CorpFDX1.69K$600.9K0.0%$113.1KAdded$115.6K
Visa Inc.V1.95K$589.7K0.0%−$94.5KCut−$131.3K
Ishares Tr—6.22K$576.8K0.0%−$8.83KCut−$75.7K
Vanguard Whitehall Fds—6.44K$570K0.0%—New
Ishares Tr—9.59K$567.5K0.0%$21.4KHeld
Dimensional Etf Trust—16.3K$562K0.0%—New
Vanguard World Fd—3.17K$548.9K0.0%$135.9KAdded$185.7K
Elevance Health Inc Formerly—1.85K$541.6K0.0%−$106.9KHeld
Philip Morris Intl Inc—3.24K$535.9K0.0%$16KHeld
Spdr Dow Jones Indl Average—1.15K$534.6K0.0%−$20.1KHeld
Ishares Inc—10.3K$467.9K0.0%$12.8KAdded$32.4K
Remitly Global, Inc.RELY29.7K$465.1K0.0%$55.5KHeld
Goldman Sachs Group Inc—548$463.4K0.0%−$17.9KHeld
Gallagher Arthur J & Co—2.14K$463.3K0.0%−$90.3KHeld
Schwab Strategic Tr—17.8K$446.1K0.0%−$19.9KAdded−$16.2K
Chevron Corp NewCVX2.09K$432.9K0.0%$114.1KCut$107K
Micron Technology IncMU1.28K$431.3K0.0%—New
Dbx Etf Tr—8.7K$429.8K0.0%$11.2KHeld
Home Depot, Inc.HD1.25K$412.6K0.0%−$18.8KAdded−$12.9K
Vanguard Index Fds—2K$411.6K0.0%−$6.64KHeld
Fortinet, Inc.FTNT5K$408.6K0.0%$11.6KHeld
Ishares Tr—4.19K$393.7K0.0%—New
United Sts Commodity Index F—11.4K$391.9K0.0%−$6.03KCut−$185.6K
Ishares Tr—2.14K$387.8K0.0%−$39.1KAdded−$38.9K
Schwab Strategic Tr—8.06K$377K0.0%$9.68KAdded$12.9K
Ishares Tr—2.72K$375.9K0.0%−$8.47KHeld
American Centy Etf Tr—3.39K$374.6K0.0%—New
Impinj IncPI3.55K$364.6K0.0%−$253.2KHeld
Vanguard Star Fds—4.59K$354K0.0%$6.77KAdded$48.1K
Pepsico IncPEP2.25K$349.7K0.0%$23.6KAdded$62K
Ishares Tr—7.19K$348.4K0.0%−$2.08KHeld
Sprott Asset Management Lp—7.25K$345.7K0.0%$13.9KHeld
Litman Gregory Fds Tr—11.2K$338.3K0.0%—New
Corning Inc—2.48K$337.5K0.0%—New
Idexx Labs Inc—600$337.1K0.0%−$68.8KHeld
Ishares Tr—2.37K$336.8K0.0%−$14.8KHeld
Pacer Fds Tr—5.37K$335.8K0.0%$12.4KAdded$24.3K
Spotify Technology S.A.SPOT686$332.6K0.0%−$64.8KAdded−$59.9K
Nextera Energy Inc—3.54K$328.7K0.0%$44.6KCut$27.7K
Grayscale Bitcoin Trust EtfGBTC5.91K$311.9K0.0%−$92.2KCut−$312.7K
RTX CorpRTX1.62K$311.7K0.0%$14.1KAdded$38.6K
Henry Schein IncHSIC4.19K$308.7K0.0%−$7.87KHeld
Applied Matls Inc—898$306.9K0.0%$76.2KHeld
AbbVie Inc.ABBV1.4K$304.9K0.0%−$15KAdded−$7.65K
Alibaba Group Hldg Ltd—2.36K$296.6K0.0%−$46.6KAdded−$26.9K
Profesionally Managed Portfo—5.48K$289.4K0.0%−$69.3KHeld
Ford Mtr Co—25K$288.9K0.0%−$39.5KAdded−$39.4K
Ishares Tr—896$285K0.0%−$22.3KHeld
Ishares Tr—7.61K$280.2K0.0%−$4.22KHeld
Vanguard Intl Equity Index F—2.02K$280K0.0%−$5.52KCut−$8.9K
Select Sector Spdr Tr—6.07K$278.7K0.0%$18.9KAdded$26.9K
Cadence Design System Inc—1K$277.9K0.0%−$34.7KHeld
Ishares Tr—2.07K$265.7K0.0%−$18.3KHeld
Procter And Gamble CoPG1.81K$261.1K0.0%$2.04KCut−$140.3K
Ishares Tr—1.35K$258.8K0.0%−$8.38KAdded$14.4K
Palo Alto Networks IncPANW1.61K$258.6K0.0%−$38.5KCut−$55.6K
Invesco Exchange Traded Fd T—1.34K$257K0.0%—New
Deswell Inds Inc—83K$248.3K0.0%−$39KHeld
NIKE, Inc.NKE4.64K$245.3K0.0%−$50.6KCut−$152K
Wisdomtree Tr—2.7K$241.2K0.0%$3.38KHeld
First Tr Exchange Traded Fd—2.17K$240.2K0.0%—New
Abbott LabsABT2.31K$237.7K0.0%−$37.1KAdded$32.5K
Schwab Strategic Tr—8.33K$232.1K0.0%—New
Docusign, Inc.DOCU4.84K$229.4K0.0%−$101.6KHeld
Ishares Tr—1.72K$227.8K0.0%$1.56KHeld
Schwab Strategic Tr—10.5K$226.2K0.0%$6.16KAdded$11.7K
Advanced Micro Devices IncAMD1.11K$225.4K0.0%−$11.5KAdded−$3.75K
Mondelez Intl Inc—3.86K$222.7K0.0%$14.7KHeld
Tjx Cos Inc New—1.38K$220.7K0.0%—New
Ishares Tr—2.73K$218.7K0.0%−$70KHeld
Antero Midstream CorpAM9.55K$217.8K0.0%—New
Altria Group, Inc.MO3.3K$217.7K0.0%—New
Southern Co—2.24K$215.8K0.0%—New
Ishares Tr—1.48K$213.7K0.0%$5.24KHeld
Ishares Tr—1.72K$203.1K0.0%—New
Archer Aviation Inc—12.7K$65.9K0.0%—New
Nautilus Biotechnology, Inc.NAUT11K$42.7K0.0%$21.2KCut$7.58K

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.