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VOL. XII · NO. 117Established MMXIV · George Town, Grand CaymanAtlantic Edition · $4.50

The Cayman Journal

Finance · Business · Technology · Caribbean & Global Affairs
13F HOLDINGS REPORT

ANDERSON HOAGLAND & CO

Quarter ended Q3 2025 · Filed October 15, 2025 · Accession 0000791191-25-000006

Total Value
$1.11B
Positions
139
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (139)

#IssuerTicker / CUSIPSharesValue% of Filing
1ISHARES GOLD TRIAU811,599$59.1M5.30%
2MICROSOFT CORPMSFT108,537$56.2M5.04%
3NVIDIA CORPORATIONNVDA277,488$51.8M4.65%
4ISHARES TR464287655181,230$43.9M3.93%
5VANGUARD WELLINGTON FD921935607298,366$43.0M3.86%
6ISHARES INC46434G764617,107$41.7M3.74%
7AMAZON COM INCAMZN170,082$37.3M3.35%
8VANGUARD INDEX FDS92290873674,968$36.0M3.23%
9VANGUARD WELLINGTON FD921935805249,722$31.8M2.86%
10JPMORGAN CHASE & CO.VYLD87,669$27.7M2.48%
11VANGUARD TAX-MANAGED FDS921943858390,596$23.4M2.10%
12VANGUARD WELLINGTON FD921935409176,868$23.2M2.08%
13VANGUARD WELLINGTON FD921935508119,040$22.8M2.05%
14VANGUARD INTL EQUITY INDEX F922042874234,213$18.7M1.68%
15VANGUARD SCOTTSDALE FDS92206C102301,187$17.7M1.59%
16ELI LILLY & COLLY22,602$17.2M1.55%
17ISHARES TR46429B697174,337$16.6M1.49%
18VANGUARD MUN BD FDS922907746324,311$16.2M1.46%
19ISHARES TR46428720024,166$16.2M1.45%
20VISA INCV46,669$15.9M1.43%
21ISHARES TR46432F842153,597$13.4M1.20%
22AMERICAN CENTY ETF TR025072885116,008$12.6M1.13%
23ISHARES TR46429B689147,756$12.5M1.12%
24SUMITOMO MITSUI FINL GROUP I86562M209733,057$12.3M1.10%
25BANK AMERICA CORP060505104232,175$12.0M1.07%
26GE AEROSPACE36960430138,468$11.6M1.04%
27VANGUARD INDEX FDS92290862939,298$11.5M1.04%
28VANGUARD INTL EQUITY INDEX F922042858196,367$10.6M0.95%
29INTERNATIONAL BUSINESS MACHSINTR37,609$10.6M0.95%
30ISHARES INC464286533165,990$10.6M0.95%
31WISDOMTREE TRWT210,537$10.6M0.95%
32ISHARES TR46435U374265,074$10.4M0.93%
33CUMMINS INCCMI23,526$9.9M0.89%
34ISHARES TR46436E71895,816$9.6M0.87%
35ISHARES TR46432F39636,625$9.4M0.84%
36CATERPILLAR INCCAT19,187$9.2M0.82%
37AMERICAN CENTY ETF TR025072372156,124$9.0M0.80%
38SOFI TECHNOLOGIES INCSOFI335,392$8.9M0.80%
39INTUITINTU12,846$8.8M0.79%
40ISHARES TR46434V860157,278$8.0M0.71%
41AMERICAN CENTY ETF TR02507280287,090$7.8M0.70%
42GE VERNOVA INCGEV12,377$7.6M0.68%
43EXXON MOBIL CORPXOM66,919$7.5M0.68%
44GENERAL MTRS CO37045V100123,237$7.5M0.67%
45AMERICAN CENTY ETF TR025072349100,815$7.3M0.65%
46COMFORT SYS USA INC1999081048,199$6.8M0.61%
47CITIGROUP INCC-PR66,625$6.8M0.61%
48IDEXX LABS INC45168D1049,897$6.3M0.57%
49UBER TECHNOLOGIES INCUBER63,975$6.3M0.56%
50VERTEX PHARMACEUTICALS INCVRTX15,767$6.2M0.55%
51ASML HOLDING N VASMLF6,174$6.0M0.54%
52ISHARES TR46428841455,450$5.9M0.53%
53BROADCOM INCAVGO17,633$5.8M0.52%
54INVESCO EXCH TRADED FD TR IIIVZ244,531$5.6M0.51%
55ISHARES TR46432F38844,790$5.6M0.50%
56MUELLER INDS INC62475610254,027$5.5M0.49%
57ISHARES TR46429B598104,022$5.4M0.49%
58DISNEY WALT CO25468710646,845$5.4M0.48%
59CAMECO CORPCCJ61,261$5.1M0.46%
60ISHARES TR46428815847,962$5.1M0.46%
61QUANTA SVCS INC74762E10212,029$5.0M0.45%
62PALO ALTO NETWORKS INCPANW23,341$4.8M0.43%
63AMERICAN CENTY ETF TR02507270359,628$4.7M0.42%
64SCHWAB STRATEGIC TR808524870164,000$4.4M0.40%
65WALMART INCWMT42,511$4.4M0.39%
66VANGUARD INDEX FDS92290876913,216$4.3M0.39%
673M COMMM27,838$4.3M0.39%
68FREEPORT-MCMORAN INCFCX109,408$4.3M0.39%
69BANCORP INC DELTBBK57,178$4.3M0.38%
70SNOWFLAKE INCSNOW18,561$4.2M0.38%
71VANGUARD MALVERN FDS92202080577,947$3.9M0.35%
72JOHNSON & JOHNSONJNJ21,198$3.9M0.35%
73AMERICAN CENTY ETF TR02507236455,726$3.8M0.34%
74D R HORTON INC23331A10922,169$3.8M0.34%
75TAKE-TWO INTERACTIVE SOFTWARTTWO14,123$3.6M0.33%
76AON PLCAON9,862$3.5M0.32%
77DELTA AIR LINES INC DELDAL61,442$3.5M0.31%
78ALPHABET INCGOOG13,932$3.4M0.30%
79COMCAST CORP NEWCCZ103,312$3.2M0.29%
80REINSURANCE GRP OF AMERICA I75935160416,598$3.2M0.29%
81ZOETIS INCZTS21,199$3.1M0.28%
82INTERACTIVE BROKERS GROUP IN45841N10743,456$3.0M0.27%
83PNC FINL SVCS GROUP INC69347510514,218$2.9M0.26%
84TOYOTA MOTOR CORPTOYOF14,615$2.8M0.25%
85CHENIERE ENERGY INCLNG11,437$2.7M0.24%
86POST HLDGS INCPOST24,931$2.7M0.24%
87ROSS STORES INCROST17,573$2.7M0.24%
88SCHLUMBERGER LTDSLB77,813$2.7M0.24%
89RANGE RES CORPRRC69,498$2.6M0.23%
90RYAN SPECIALTY HOLDINGS INCRYAN46,250$2.6M0.23%
91ISHARES TR46428918074,878$2.6M0.23%
92ABBVIE INCABBV10,345$2.4M0.21%
93VANGUARD INTL EQUITY INDEX F92204277533,526$2.4M0.21%
94ISHARES TR46428865322,575$2.3M0.21%
95CROWN CASTLE INCCCI23,723$2.3M0.21%
96BELLRING BRANDS INCBRBR58,518$2.1M0.19%
97GOLDMAN SACHS GROUP INCGSCE2,634$2.1M0.19%
98VANGUARD SCOTTSDALE FDS92206C70633,792$2.0M0.18%
99INVESCO EXCH TRADED FD TR IIIVZ71,924$2.0M0.18%
100VANGUARD INDEX FDS9229087517,424$1.9M0.17%
101CANTALOUPE INCCTLPP175,665$1.9M0.17%
102PINNACLE FINL PARTNERS INC72346Q10418,026$1.7M0.15%
103ISHARES TR46428760616,582$1.6M0.14%
104KENVUE INCKVUE95,563$1.6M0.14%
105COCA COLA COKO23,186$1.5M0.14%
106SCHWAB STRATEGIC TR80852486260,245$1.5M0.13%
107APPLE INCAAPL5,651$1.4M0.13%
108ISHARES TR46429B26761,251$1.4M0.13%
109ISHARES TR4642876142,809$1.3M0.12%
110VANGUARD BD INDEX FDS92193781915,496$1.2M0.11%
111ISHARES TR4642877058,966$1.2M0.10%
112ISHARES TR4642875985,183$1.1M0.09%
113EQT CORPEQT17,921$975,4400.09%
114VANGUARD SPECIALIZED FUNDS9219088444,498$970,6230.09%
115BERKSHIRE HATHAWAY INC DELBRK-A1,925$967,7750.09%
116SELECT SECTOR SPDR TR81369Y50610,762$961,4370.09%
117VANGUARD INSTL INDEX FD92204084510,935$826,8500.07%
118VANGUARD INDEX FDS9229086372,584$795,6250.07%
119ILLUMINA INCILMN8,372$795,0890.07%
120DIMENSIONAL ETF TRUST25434V70819,248$742,3950.07%
121ISHARES TR4642874083,565$736,2080.07%
122VANGUARD INDEX FDS9229086112,881$601,2940.05%
123KRANESHARES TRUST50076730613,703$575,6630.05%
124ISHARES TR4642876481,790$572,8720.05%
125ISHARES TR4642874813,600$512,6760.05%
126ISHARES TR4642874733,100$432,9770.04%
127EMERSON ELEC COEMR2,872$376,7490.03%
128CSW INDUSTRIALS INCCSW1,355$328,9260.03%
129VANGUARD INDEX FDS9229087441,657$309,0140.03%
130VANGUARD INTL EQUITY INDEX F9220427182,067$294,6510.03%
131SPDR SERIES TRUST78464A7974,926$292,7030.03%
132ISHARES TR46434V2824,197$289,9290.03%
133DEERE & CODE607$277,5570.02%
134RTX CORPORATIONRTX1,612$269,7360.02%
135REGENERON PHARMACEUTICALSREGN446$250,7720.02%
136ENTERPRISE PRODS PARTNERS L2937921077,720$241,4040.02%
137MCKESSON CORPMCK263$203,1780.02%
138PENNYMAC CORP70932AAF023,000$22,8970.00%
139REDWOOD TRUST INCRWTQ10,000$10,0380.00%