13F

Investor

KICKSTAND VENTURES, LLC.

CIK 0002000355 · filed 2026-05-05 · SEC filing

13F book

$475M

Positions

130

14 new · 6 sold

Largest name

13.3%

Spdr Series Trust

Est. mark

−$7.44M

Price effect on 116 names still held. Flow $7.83M.
NameTickerSharesValueWeightEst. markChange
Spdr Series Trust828.2K$63.4M13.3%−$2.98MAdded−$1.63M
Vanguard Index Fds76.7K$45.8M9.6%−$2.25MAdded−$1.86M
J P Morgan Exchange Traded F510.2K$24M5.1%−$133.8KAdded$560.7K
Schwab Strategic Tr744.3K$18.4M3.9%$522.9KAdded$717.2K
Vanguard World Fd122.1K$17.7M3.7%$456.6KAdded$685.6K
Fidelity Merrimack Str Tr375.8K$17.1M3.6%−$153.7KAdded$291.8K
Ishares Tr61.1K$11.7M2.5%−$398.4KAdded$104.6K
Invesco Exch Trd Slf Idx Fd512.1K$10M2.1%−$58.5KAdded$1.07K
Ishares Tr54K$9.79M2.1%−$976KAdded−$881.5K
Invesco Exch Trd Slf Idx Fd511.1K$9.54M2.0%−$87.3KAdded$123.9K
Schwab Us Aggregate Bond409.6K$9.51M2.0%−$61.4KCut−$1.8M
Ishares Tr28.6K$9.1M1.9%−$707.6KAdded−$641.4K
Invesco Qqq Tr15.4K$8.91M1.9%−$565.8KAdded−$450.4K
Vaneck Etf Trust22.7K$8.69M1.8%$527.6KCut$418.5K
Ishares Tr34.8K$8.62M1.8%$61.7KAdded$374.6K
Victory Portfolios Ii216.5K$8.55M1.8%$21.4KAdded$138.6K
Schwab Strategic Tr292.8K$8.53M1.8%−$976.8KAdded−$599.4K
Ishares Tr177.2K$8.19M1.7%−$61.8KAdded−$31K
Ishares Inc113.5K$7.92M1.7%$287.2KCut−$152.4K
Invesco Exch Trd Slf Idx Fd354.9K$6.93M1.5%−$16KCut−$9.27M
Ishares Tr59.9K$6.78M1.4%−$559.2KAdded−$10.8K
Ishares Tr81K$6.77M1.4%$88.3KCut$75.9K
Kraneshares Trust214.1K$6.68M1.4%−$123KAdded$624.8K
Ishares Aaa Clo Active124.5K$6.46M1.4%$11.3KCut−$133.2K
Blackrock Etf Trust108.5K$6.31M1.3%−$282.6KAdded−$219.3K
Ishares Tr84.7K$6.3M1.3%$249.1KCut−$40K
Vanguard Intl Equity Index F100.8K$5.45M1.1%$29.2KCut$11.8K
First Tr Exchange Traded Fd32.1K$5.26M1.1%$339.2KAdded$341.4K
Alps Etf Tr115.6K$5.05M1.1%−$16Added$114.9K
J P Morgan Exchange Traded F102.7K$4.73M1.0%−$22.6KAdded−$19.6K
Ishares Tr22.2K$4.69M1.0%−$19.2KAdded$265.2K
Ishares Tr38.8K$4.32M0.9%−$92.3KAdded$200.4K
Ishares Tr63.2K$4.27M0.9%$96.8KCut−$23.9K
Vaneck Etf Trust88.3K$3.58M0.8%−$490.2KCut−$494.9K
Ishares Tr87.3K$3.46M0.7%$142KAdded$148.9K
Vaneck Etf Trust120.6K$3.46M0.7%New
Vanguard Bd Index Fds44.7K$3.45M0.7%−$29.8KAdded$140.3K
Blackrock Etf Trust Ii63.3K$3.29M0.7%−$53.1KCut−$562.4K
Invesco Exch Trd Slf Idx Fd147.3K$3.19M0.7%New
World Gold Tr28.1K$2.6M0.5%$205.4KCut−$175K
Ishares Tr25.9K$2.46M0.5%−$6.95KAdded$7.11K
Bondbloxx Etf Trust50.9K$2.24M0.5%New
Bluerock Pvt Real Estate Fd132.5K$2.2M0.5%$213.3KCut$189.3K
Lumentum Hldgs Inc3.11K$2.19M0.5%$1.04MCut$855.6K
Ishares Inc26.3K$2.07M0.4%$157.3KCut$70.6K
Ishares Tr45.5K$2.01M0.4%−$9.43KAdded$13.8K
Invesco Exch Traded Fd Tr Ii17.9K$2M0.4%−$113.6KAdded$122.2K
Ishares Tr17.5K$1.99M0.4%−$134KCut−$216.9K
Bondbloxx Etf Trust41.2K$1.89M0.4%−$12.6KAdded$275.7K
Ishares Tr26.9K$1.82M0.4%−$17.7KCut−$46.2K
Exxon Mobil Corp8.79K$1.49M0.3%$433.6KCut$70.2K
Ishares Tr61.5K$1.41M0.3%−$1.11KAdded$1.19M
Ishares Tr9.84K$1.39M0.3%−$74.4KCut−$77.7K
Spdr Series Trust14.6K$1.34M0.3%$3.8KCut−$14K
Vanguard Scottsdale Fds24.1K$1.33M0.3%−$10.4KAdded$35.1K
Global X Fds25.9K$1.31M0.3%$70.8KAdded$195.3K
Microsoft CorpMSFT3.35K$1.24M0.3%−$286.6KAdded$20.6K
Ishares Inc20.3K$1.22M0.3%$52.3KCut−$78.2K
Global X Fds16.4K$1.16M0.2%$55.7KAdded$563.3K
Ark Etf Tr16K$1.08M0.2%−$121KAdded$83.4K
Blackrock Etf Trust33.1K$1.06M0.2%New
Ishares Tr2.81K$1M0.2%−$47.4KCut−$50.7K
Blackrock Etf Trust27.8K$916.4K0.2%−$7.72KAdded$182K
Bank America Corp18.4K$897K0.2%−$115KHeld
Broadcom Inc.AVGO2.87K$889.6K0.2%−$102.8KAdded−$82.7K
Wisdomtree Tr17.5K$881.6K0.2%$328Cut−$90K
Ishares Tr9.96K$880.9K0.2%−$9.95KAdded$48.3K
Nvidia CorpNVDA5K$872.7K0.2%−$52KAdded$71.1K
Invesco Exch Trd Slf Idx Fd41.5K$847.4K0.2%−$6.83KAdded$52.4K
American Centy Etf Tr10.3K$827.6K0.2%$29.3KAdded$193.6K
Blackrock Etf Trust22.4K$811.5K0.2%−$45.9KAdded$55.7K
Prudential Finl Inc8.2K$800.7K0.2%−$124.5KCut−$143K
Ishares Tr13.7K$781K0.2%$62.3KAdded$65.1K
Ishares Tr10.7K$732.3K0.2%New
J P Morgan Exchange Traded F10.7K$723.3K0.2%−$2.42KAdded$7.36K
Proshares Tr6.54K$693.8K0.1%$12.7KCut$2.33K
Wisdomtree Tr24.9K$615.3K0.1%−$27KAdded$26.6K
Ishares Tr5.06K$600.1K0.1%−$53.9KCut−$64.7K
Ishares Tr3.89K$554.6K0.1%−$23.5KAdded−$2.37K
Vanguard World Fd784$547K0.1%−$44KHeld
First Tr Exchange Traded Fd8.72K$546.4K0.1%−$56.5KAdded$86.2K
Ishares Tr836$545.8K0.1%−$26.5KCut−$45K
Blackrock Etf Trust13K$533.7K0.1%New
Monolithic Pwr Sys Inc480$525K0.1%$89.8KHeld
Ishares Tr5.51K$513K0.1%−$4.83KAdded$139.8K
Vanguard Charlotte Fds10.4K$501K0.1%−$2.82KCut−$204.4K
Ishares Tr15.5K$468.6K0.1%−$7.95KAdded$83.9K
Vanguard Whitehall Fds7.08K$464.9K0.1%−$12.3KCut−$35.4K
Invesco Exch Trd Slf Idx Fd19.6K$463K0.1%−$391Cut−$16.7K
Apple Inc.AAPL1.76K$447.1K0.1%−$30.2KAdded−$6.82K
Invesco Exch Trd Slf Idx Fd18K$424.6K0.1%−$200Cut−$8.48K
Invesco Exchange Traded Fd T7.51K$409.6K0.1%−$35.5KCut−$1.07M
3M COMMM2.79K$405.8K0.1%−$41.5KHeld
Invesco Exch Trd Slf Idx Fd16.5K$386.7K0.1%−$1.73KCut−$5.73K
Citigroup Inc3.38K$382.9K0.1%−$11.1KHeld
Kla CorpKLAC249$367.3K0.1%$64.2KHeld
Schwab Strategic Tr14.1K$361.7K0.1%New
Lam Research CorpLRCX1.66K$354K0.1%$66.8KAdded$84.9K
At&T Inc12.2K$353.1K0.1%$50.5KHeld
Ishares Tr3.35K$337.3K0.1%−$3.1KAdded$5.16K
Ishares Tr6.68K$334.2K0.1%New
Applied Matls Inc951$324.9K0.1%$80.6KHeld
Ishares Tr3.4K$319.1K0.1%−$7.98KCut−$147.1K
Alps Etf Tr5.91K$311.3K0.1%New
Ishares Tr2.95K$307.5K0.1%−$1.56KCut−$10.8K
Bny Mellon Etf Trust2.46K$306.5K0.1%−$14.7KCut−$154.8K
Select Sector Spdr Tr2.09K$306.4K0.1%−$16.2KAdded−$399
Western Digital CorpWDC1.12K$303.2K0.1%$110.1KCut−$82.7K
EMCOR Group, Inc.EME406$299.8K0.1%$51.4KHeld
Soundhound Ai Inc43.1K$296.1K0.1%−$71.5KAdded$66.1K
Palomar Hldgs Inc2.33K$279K0.1%−$35.6KHeld
Invesco Exch Trd Slf Idx Fd16.4K$274K0.1%−$3.29KHeld
Ishares Tr2.54K$269.4K0.1%−$2.44KHeld
Ishares Tr5.58K$257.9K0.1%$4.35KHeld
Rockwell Automation, IncROK712$255.5K0.1%−$21.5KCut−$76K
Bristol-Myers Squibb Co4.17K$253.2K0.1%$26KAdded$44.5K
Seagate Technology Hldngs Pl642$251.5K0.1%New
Ishares Tr2.69K$249.2K0.1%−$3.82KCut−$4.76K
Arista Networks, Inc.ANET1.93K$237.5K0.1%−$14.6KAdded$6.32K
Vanguard Index Fds711$228.1K0.0%−$10.5KCut−$12.8K
Altria Group, Inc.MO3.45K$227.4K0.0%New
Ishares Tr3.96K$224.6K0.0%$8.23KCut−$6.71K
Select Sector Spdr Tr1.37K$221.7K0.0%$9.06KCut$8.91K
Pimco Etf Tr2.27K$219.5K0.0%−$2.38KCut−$3.17K
Vistra Corp.VST1.45K$218.3K0.0%−$14.6KAdded$4.36K
Salesforce, Inc.CRM1.15K$214.8K0.0%New
Vanguard Star Fds2.67K$206K0.0%$4.46KCut−$3.38K
Expedia Group, Inc.EXPE874$201.8K0.0%New
Spdr Index Shs Fds4.29K$201.4K0.0%New
Kyndryl Hldgs Inc12.4K$162.6K0.0%−$166.5KHeld

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.