13F

Investor

Slow Capital, Inc.

CIK 0001716984 · filed 2026-04-24 · SEC filing

13F book

$770M

Positions

104

5 new · 14 sold

Largest name

6.4%

Broadcom Inc. · AVGO

Est. mark

−$46.4M

Price effect on 99 names still held. Flow −$21M.
NameTickerSharesValueWeightEst. markChange
Broadcom Inc.AVGO159.7K$49.4M6.4%−$5.84MCut−$7.82M
Nvidia CorpNVDA229.2K$40M5.2%−$2.77MCut−$6.28M
Netflix IncNFLX346.3K$33.3M4.3%$761.4KAdded$3.42M
Alphabet Inc114.2K$32.8M4.3%−$2.77MAdded−$1.23M
Amazon Com IncAMZN143.4K$29.9M3.9%−$3.16MAdded−$2.45M
Tesla, Inc.TSLA77.5K$28.8M3.7%−$6.05MCut−$6.67M
Mercadolibre IncMELI15.3K$26.5M3.4%−$4.31MAdded−$3.95M
Intuitive Surgical IncISRG49.2K$22.7M2.9%−$5.1MAdded−$4.75M
Ishares Tr201.7K$21.4M2.8%−$193.6KCut−$323.5K
Apple Inc.AAPL79.8K$20.3M2.6%−$1.4MAdded−$843.8K
Costco Whsl Corp New18.7K$18.6M2.4%$2.39MAdded$3.23M
Ishares Tr278.3K$15.8M2.1%−$167KCut−$348.3K
Cloudflare, Inc.NET75.9K$15.7M2.0%$450.2KAdded$6.01M
Ishares Tr141.3K$15M2.0%−$28.1KAdded$77.3K
Ishares Tr138.7K$13.8M1.8%−$79.6KAdded$728.5K
Ross Stores, Inc.ROST54.6K$11.8M1.5%$1.99MCut$1.65M
GRAIL, Inc.GRAL228.3K$11.8M1.5%−$5.51MAdded−$2.11M
Spotify Technology S.A.SPOT24.3K$11.8M1.5%−$2.13MAdded−$1.1M
Analog Devices IncADI34.8K$11.1M1.4%$1.64MCut$1.34M
Crowdstrike Hldgs Inc22.7K$8.87M1.2%−$1.65MAdded−$1.01M
Micron Technology IncMU25.8K$8.72M1.1%$1.35MCut−$3.72M
Regeneron Pharmaceuticals, Inc.REGN11.2K$8.67M1.1%$8.73KCut−$237.5K
Ishares Tr77K$8.5M1.1%$32.5KAdded$556.6K
Beone Medicines Ltd28.5K$8.46M1.1%−$186.7KAdded$167K
On Semiconductor CorpON134.7K$8.34M1.1%$1.05MCut$933.4K
Walmart Inc.WMT66.6K$8.28M1.1%$783.5KAdded$1.51M
Deere & CoDE14.4K$8.14M1.1%$1.41MCut$1.33M
Mettler Toledo International Inc/MTD6.05K$7.63M1.0%−$588.4KAdded$1.46M
Caterpillar IncCAT10.6K$7.54M1.0%$1.44MCut$1.28M
Uber Technologies, IncUBER104.8K$7.54M1.0%New
Synopsys IncSNPS18.6K$7.38M1.0%−$1.36MCut−$1.6M
Tjx Cos Inc New44.4K$7.1M0.9%$238.8KAdded$1.07M
Arm Holdings Plc45.7K$6.92M0.9%$1.12MAdded$4.01M
Vanguard Bd Index Fds87.2K$6.84M0.9%−$32.5KAdded$454.4K
Datadog, Inc.DDOG56.1K$6.63M0.9%−$1.01MCut−$1.29M
Berkshire Hathaway Inc Del13.8K$6.61M0.9%−$289.5KAdded$401.5K
Chubb Limited19.9K$6.48M0.8%$274.4KCut$125.1K
Symbotic Inc.SYM121.5K$6.46M0.8%−$765.5KCut−$824.7K
Illumina, Inc.ILMN52.2K$6.43M0.8%−$412.2KCut−$533.2K
Microsoft CorpMSFT17K$6.3M0.8%−$1.86MAdded−$1.63M
Alphabet Inc21.1K$6.06M0.8%−$569.1KCut−$707.5K
Veeva Sys Inc33K$5.8M0.8%−$1.23MAdded$46.5K
Alnylam Pharmaceuticals, Inc.ALNY17.5K$5.78M0.8%New
Fortinet, Inc.FTNT70.2K$5.74M0.7%$155.7KAdded$388.4K
Asml Holding N V4.34K$5.74M0.7%$1.08MAdded$1.13M
Advanced Micro Devices IncAMD27K$5.5M0.7%−$290.1KCut−$475.2K
Vertex Pharmaceuticals Inc12.3K$5.5M0.7%−$77.4KAdded$352.7K
Repligen CorpRGEN43.5K$5.13M0.7%−$1.92MAdded−$1.69M
Ishares Tr49.5K$5.12M0.7%$48.3KAdded$362.4K
Guardant Health, Inc.GH53.7K$4.96M0.6%New
Travelers Companies, Inc.TRV16.8K$4.9M0.6%$24.8KAdded$471.3K
Amgen IncAMGN13.3K$4.68M0.6%$308.7KAdded$566.6K
Snowflake Inc.SNOW30.9K$4.66M0.6%−$2.01MAdded−$1.78M
Ishares 0-3 Month46.3K$4.66M0.6%$13KCut−$3.87M
Samsara Inc.IOT144.9K$4.59M0.6%−$454.5KAdded$307.1K
Illinois Tool Wks Inc16.8K$4.39M0.6%$186.5KAdded$1M
Crispr Therapeutics AgCRSP91.2K$4.34M0.6%−$373.2KAdded$321K
Texas Instrs Inc22.2K$4.3M0.6%$389.3KAdded$1.03M
Sherwin Williams CoSHW13.4K$4.28M0.6%−$42KAdded$373.4K
Biontech SeBNTX47.7K$4.24M0.6%−$232.7KAdded$734.6K
Taiwan Semiconductor Mfg Ltd12.3K$4.17M0.5%$398.8KAdded$592.6K
Dynatrace, Inc.DT108.2K$4M0.5%−$370.5KAdded$1.48M
Thermo Fisher Scientific Inc.TMO8.06K$3.96M0.5%−$649KAdded−$319.5K
Cadence Design System Inc14.1K$3.91M0.5%−$382.1KAdded$465.9K
Eli Lilly & CoLLY4.21K$3.87M0.5%−$583.4KAdded−$178.7K
MongoDB, Inc.MDB15.7K$3.84M0.5%−$2.75MCut−$2.75M
Lowes Cos Inc16.1K$3.81M0.5%−$65.9KAdded$553.4K
Moodys Corp8.53K$3.72M0.5%−$548.1KAdded−$31.6K
Union Pac Corp14.5K$3.51M0.5%$144.2KAdded$558.4K
Rubrik, Inc.RBRK59.8K$2.93M0.4%−$661.6KAdded$1.09M
Vertiv Holdings CoVRT11.5K$2.87M0.4%New
Ishares Tr27.2K$2.72M0.4%−$137KCut−$241.8K
Rockwell Automation, IncROK7.39K$2.65M0.3%−$150.1KAdded$716.9K
Honeywell Intl Inc11.7K$2.64M0.3%$360.8KCut$323.8K
GeneDx Holdings Corp.WGS40.5K$2.6M0.3%−$2.55MAdded−$2.44M
Aptiv PlcAPTV36.9K$2.56M0.3%−$235.6KAdded−$132.9K
Ishares Tr11.3K$2.05M0.3%$64.3KCut−$187.5K
GE Vernova Inc.GEV2.15K$1.87M0.2%$332.6KAdded$881.7K
Ishares Tr8.43K$1.57M0.2%−$158.5KCut−$345.3K
First Solar, Inc.FSLR7.8K$1.54M0.2%−$499.2KCut−$10M
Vanguard Index Fds17.1K$1.52M0.2%$3.58KCut−$7.93K
SoFi Technologies, Inc.SOFI92.6K$1.47M0.2%−$953.3KHeld
J P Morgan Exchange Traded F28.3K$1.43M0.2%−$4.2KCut−$100.3K
Exxon Mobil Corp8.4K$1.43M0.2%$414.5KCut$363.2K
Zscaler, Inc.ZS10.1K$1.42M0.2%New
Ishares Tr27.3K$1.38M0.2%$1.09KCut−$1.06M
Ishares Tr13.2K$1.33M0.2%$49.4KCut−$156.4K
Ishares Tr10.1K$1.16M0.1%−$64.1KCut−$1M
Barclays Bank Plc18.1K$870.1K0.1%$190.3KCut$173.7K
Vanguard Intl Equity Index F18.8K$837.6K0.1%−$24.8KAdded$19.4K
Vanguard Intl Equity Index F10.8K$811.9K0.1%$16.7KCut−$305.5K
Ishares Tr11.4K$769.5K0.1%$17.4KHeld
Spdr Series Trust26K$759.5K0.1%−$2.6KCut−$564.5K
Ishares Tr1.15K$747.9K0.1%−$36.1KAdded−$32.2K
Vanguard Index Fds2.43K$727.5K0.1%−$38.7KCut−$294K
Select Sector Spdr Tr14.5K$718.1K0.1%−$78.5KHeld
Ishares Tr13.7K$692.9K0.1%$2.33KCut−$565.3K
Select Sector Spdr Tr3.53K$517.4K0.1%−$28.9KHeld
Schwab Strategic Tr17.2K$441.8K0.1%−$21.9KCut−$231.5K
Applied Matls Inc1.28K$436.8K0.1%$108.4KHeld
Chevron Corp NewCVX2K$413.8K0.1%$109KHeld
Vanguard Index Fds1.35K$387.4K0.1%−$4.13KCut−$153.6K
Ishares Tr3.01K$201.9K0.0%$7.11KCut−$21.5K
ImmunityBio, Inc.IBRX10K$76.7K0.0%$56.9KHeld

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.