13F

Investor

Gibson Capital, LLC

CIK 0001427372 · filed 2026-04-17 · SEC filing

13F book

$537.2M

Positions

87

8 new · 1 sold

Largest name

50.9%

Vanguard Index Fds

Est. mark

−$11.6M

Price effect on 79 names still held. Flow $3.68M.
NameTickerSharesValueWeightEst. markChange
Vanguard Index Fds851.6K$273.2M50.9%−$12.3MCut−$15.4M
Vanguard Index Fds1.39M$123.1M22.9%$277.1KAdded$6.26M
Ea Series Trust622.4K$15.8M2.9%$1.29MAdded$1.31M
Dimensional Etf Trust375.8K$15.4M2.9%−$879.3KHeld
Berkshire Hathaway Inc Del21$15.1M2.8%−$769.9KHeld
Vanguard Index Fds35.3K$10.5M2.0%−$562.9KHeld
Ducommun Inc Del62.2K$7.59M1.4%$1.67MCut$911.1K
Ishares Gold Tr70.3K$6.19M1.2%$491.2KCut$490.8K
Vanguard Specialized Funds27.5K$5.92M1.1%−$130KHeld
Dimensional Etf Trust90K$5.62M1.0%$262KCut$242.4K
Apple Inc.AAPL17.2K$4.36M0.8%−$298.1KAdded−$120.9K
Berkshire Hathaway Inc Del7.52K$3.6M0.7%−$174.1KAdded−$120K
Ishares Tr24.7K$3M0.6%−$188.8KCut−$191.9K
Caterpillar IncCAT4.12K$2.92M0.5%$558.2KHeld
Vanguard Index Fds4.49K$2.68M0.5%−$132.7KCut−$248.7K
Nvidia CorpNVDA13.7K$2.39M0.4%−$166.3KCut−$252.6K
American Centy Etf Tr36.6K$2.2M0.4%$61.2KCut$37.5K
Vanguard Index Fds7.21K$2.07M0.4%−$21.9KHeld
American Centy Etf Tr17K$1.7M0.3%$100.1KCut−$250.9K
Amazon Com IncAMZN6.81K$1.42M0.3%−$141.4KAdded−$26.4K
Vanguard Index Fds5.18K$1.36M0.3%$20.5KHeld
Microsoft CorpMSFT3.65K$1.35M0.3%−$411.9KAdded−$403.8K
Ishares Tr9.2K$1.31M0.2%−$57.6KAdded−$53.2K
Ishares Tr1.39K$908.7K0.2%−$44.1KHeld
Spdr Series Trust8.99K$908.2K0.2%$24.6KHeld
Ishares Tr1.93K$823K0.2%−$90.5KHeld
Chevron Corp NewCVX3.85K$796.2K0.1%$182.1KAdded$286.4K
Ishares Bitcoin Trust EtfIBIT20.5K$787.4K0.1%−$230.2KCut−$253.5K
Dimensional Etf Trust21.5K$768.5K0.1%$43.6KAdded$47.4K
Walmart Inc.WMT6.17K$766.2K0.1%$78.8KAdded$84.5K
Philip Morris Intl Inc4.34K$717.6K0.1%$21.4KHeld
Schwab Strategic Tr18.7K$716.5K0.1%$41.2KCut$28.6K
Alphabet Inc2.26K$648.7K0.1%−$53.2KAdded−$6.06K
Ishares Tr5.84K$644.5K0.1%$2.22KAdded$76.5K
Schwab Strategic Tr25K$642.3K0.1%−$31.8KHeld
Costco Whsl Corp New642$639.7K0.1%$86.1KCut$48.1K
Altria Group, Inc.MO9.56K$630.6K0.1%$79.4KAdded$80.8K
Vanguard Index Fds2.9K$629.8K0.1%$15.8KHeld
Invesco Qqq Tr1.05K$606.3K0.1%−$38.7KAdded−$24.2K
Goldman Sachs Etf Tr6.16K$569.4K0.1%−$25.8KHeld
Exxon Mobil Corp3.23K$547.8K0.1%$158.8KAdded$160K
Vanguard Tax-Managed Fds8.5K$544.5K0.1%$13.6KAdded$15.4K
Fidelity Covington Trust14.1K$529.4K0.1%−$59.5KHeld
Elbit Sys Ltd600$509.5K0.1%$162.8KHeld
Ishares Tr5.35K$495.8K0.1%−$7.59KHeld
Coca Cola CoKO6.5K$494.4K0.1%$39.9KHeld
3M COMMM3.25K$471.3K0.1%−$48.4KAdded−$47.9K
Dimensional Etf Trust11.6K$459K0.1%$16.8KAdded$16.8K
Ishares Tr2.15K$458.5K0.1%$7.15KHeld
Oracle Corp3.12K$458.2K0.1%−$148.9KAdded−$148.7K
Ea Series Trust10.9K$457.5K0.1%−$23.1KCut−$97.3K
Ishares Tr7.82K$444.1K0.1%$16.3KHeld
Ishares Tr4.36K$423.2K0.1%$4.79KHeld
Visa Inc.V1.37K$413.5K0.1%−$64.4KAdded−$52.3K
Ishares Silver Tr5.98K$407.5K0.1%$22.2KCut$1.51K
Schwab Strategic Tr16.1K$403.5K0.1%−$18.2KCut−$43K
Pinnacle Finl Partners Inc Com4.43K$381.5K0.1%New
International Business Machs1.57K$381K0.1%−$84.8KAdded−$83.8K
Home Depot, Inc.HD1.15K$378.6K0.1%−$17.2KAdded−$9.94K
Jpmorgan Chase & Co.1.28K$377.4K0.1%−$35.2KAdded−$27K
F N B Corp21.8K$364.1K0.1%−$8.27KHeld
Pnc Finl Svcs Group Inc1.7K$354.5K0.1%New
Spdr Gold Tr800$344.2K0.1%$27.2KHeld
Ishares Tr958$341.6K0.1%−$16.2KHeld
Fifth Third Bancorp7.31K$339.8K0.1%−$2.56KHeld
Merck & Co., Inc.MRK2.71K$325.9K0.1%$40.7KCut$40.6K
Spdr Index Shs Fds7K$319.6K0.1%$8.68KHeld
Eaton Corp PlcETN859$307.2K0.1%$30.5KAdded$58.8K
Meta Platforms, Inc.META535$306.1K0.1%−$32.1KAdded$65.2K
Procter And Gamble CoPG1.89K$272.6K0.1%$1.99KAdded$3.15K
Destiny Tech100 Inc.DXYZ10K$267.8K0.1%New
Vanguard Bd Index Fds3.25K$250.8K0.0%−$2.28KCut−$29.1K
Ea Series Trust4.57K$250K0.0%$15.5KHeld
Coherent Corp.COHR1K$238.2K0.0%New
Fidelity Covington Trust6.4K$238.2K0.0%$3.8KAdded$14.4K
Mastercard IncMA473$236.3K0.0%−$33.9KCut−$35K
Alphabet Inc820$235.2K0.0%−$22.1KHeld
Encompass Health CorpEHC2.43K$235.2K0.0%−$21.9KAdded−$12.2K
Palantir Technologies Inc.PLTR1.58K$231.4K0.0%−$49.8KHeld
Ishares Tr1.65K$227.6K0.0%−$5.27KAdded−$5.13K
Stryker CorpSYK682$224.1K0.0%−$15.6KHeld
Schwab Strategic Tr7.14K$219.1K0.0%New
Ishares Tr2.11K$215.3K0.0%−$610Held
Tesla, Inc.TSLA578$214.9K0.0%New
Fastenal CoFAST4.62K$214.5K0.0%New
BlackRock, Inc.BLK218$209.7K0.0%−$23.7KCut−$120K
Lockheed Martin CorpLMT336$203.1K0.0%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.