Live Markets
Wednesday, July 29, 2026·George Town, KY·29°·Partly Cloudy
Markets Open · NYSE·Newsletter·Masthead·
VOL. XII · NO. 117Established MMXIV · George Town, Grand CaymanAtlantic Edition · $4.50

The Cayman Journal

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

PETREDIS INVESTMENT ADVISORS LLC

Quarter ended Q1 2024 · Filed May 20, 2024 · Accession 0001085146-24-002659

Total Value
$641.2M
Positions
94
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (94)

#IssuerTicker / CUSIPSharesValue% of Filing
1SELECT SECTOR SPDR TR81369Y6051,508,433$48.5M7.56%
2VANGUARD WORLD FD921910816194,263$39.7M6.20%
3APPLE INCAAPL232,641$38.4M5.98%
4MICROSOFT CORPMSFT128,970$37.2M5.80%
5VANGUARD WORLD FD921910840334,585$33.8M5.27%
6SELECT SECTOR SPDR TR81369Y803189,031$28.5M4.45%
7VANGUARD ADMIRAL FDS INC921932703163,393$24.0M3.74%
8ALPHABET INCGOOG207,023$21.5M3.35%
9AMAZON COM INCAMZN162,008$16.7M2.61%
10UNITEDHEALTH GROUP INCUNH31,707$15.0M2.34%
11SPDR SER TR78468R663152,278$14.0M2.18%
12NVIDIA CORPORATIONNVDA43,542$12.1M1.89%
13GOLDMAN SACHS ETF TRNVGLF114,101$11.4M1.78%
14META PLATFORMS INCMETA45,919$9.7M1.52%
15SELECT SECTOR SPDR TR81369Y852166,385$9.6M1.50%
16CHEVRON CORP NEWCVX58,845$9.6M1.50%
17VANGUARD INDEX FDS92290875147,230$9.0M1.40%
18SELECT SECTOR SPDR TR81369Y40758,473$8.7M1.36%
19COSTCO WHSL CORP NEW22160K10516,631$8.3M1.29%
20SELECT SECTOR SPDR TR81369Y20963,470$8.2M1.28%
21HOME DEPOT INCHD27,708$8.2M1.28%
22VANGUARD ADMIRAL FDS INC92193250532,331$7.5M1.16%
23TESLA INCTSLA34,532$7.2M1.12%
24VANGUARD TAX-MANAGED FDS921943858156,541$7.1M1.10%
25VALERO ENERGY CORPVLO48,924$6.8M1.07%
26BOEING COBA-PA31,273$6.6M1.04%
27VISA INCV28,233$6.4M0.99%
28JOHNSON & JOHNSONJNJ37,903$5.9M0.92%
29AMETEK INCAME39,798$5.8M0.90%
30FASTENAL COFAST103,791$5.6M0.87%
31EOG RES INCEOG48,674$5.6M0.87%
32GENERAL ELECTRIC CO36960430153,935$5.2M0.80%
33PROCTER AND GAMBLE CO74271810933,350$5.0M0.77%
34MASTERCARD INCORPORATEDMA13,578$4.9M0.77%
35LOCKHEED MARTIN CORPLMT10,069$4.8M0.74%
36MICRON TECHNOLOGY INCMU76,292$4.6M0.72%
37SELECT SECTOR SPDR TR81369Y88664,531$4.4M0.68%
38TJX COS INC NEW87254010955,665$4.4M0.68%
39APPLIED MATLS INC03822210535,187$4.3M0.67%
40WEC ENERGY GROUP INCWEC45,302$4.3M0.67%
41SPDR SER TR78464A87055,349$4.2M0.66%
42MERCK & CO INCMRK39,616$4.2M0.66%
43BHP GROUP LTDBHPLF65,283$4.1M0.65%
44THERMO FISHER SCIENTIFIC INCTMO7,154$4.1M0.64%
45SALESFORCE INCCRM20,470$4.1M0.64%
46LILLY ELI & COLLY11,437$3.9M0.61%
47HONEYWELL INTL INC43851610620,481$3.9M0.61%
48ABBOTT LABSABLZF37,598$3.8M0.59%
49ADVANCED MICRO DEVICES INCAMD38,395$3.8M0.59%
50AMPHENOL CORP NEW03209510144,547$3.6M0.57%
51ABBVIE INCABBV22,061$3.5M0.55%
52CISCO SYS INCCSCO63,276$3.3M0.52%
53SERVICENOW INCNOW6,624$3.1M0.48%
54MERCADOLIBRE INCMELI2,326$3.1M0.48%
55ADOBE SYSTEMS INCORPORATEDADBE7,938$3.1M0.48%
56INTUITIVE SURGICAL INCISRG11,773$3.0M0.47%
57ISHARES TR46428867927,059$3.0M0.47%
58PFIZER INCPFE72,854$3.0M0.46%
59MARRIOTT INTL INC NEW57190320216,844$2.8M0.44%
60NETFLIX INCNFLX8,005$2.8M0.43%
61CANADIAN NATL RY CO13637510222,904$2.7M0.42%
62DANAHER CORPORATION23585110210,716$2.7M0.42%
63LINDE PLCLIN6,728$2.4M0.37%
64DISNEY WALT CO25468710622,926$2.3M0.36%
65ACCENTURE PLC IRELANDACN7,858$2.2M0.35%
66BOOKING HOLDINGS INCBKNG827$2.2M0.34%
67LYONDELLBASELL INDUSTRIES NLYB22,870$2.1M0.33%
68NIKE INCNKE17,462$2.1M0.33%
69ALPHABET INCGOOG20,158$2.1M0.33%
70BECTON DICKINSON & COBDX8,288$2.1M0.32%
71CSX CORPCSX67,898$2.0M0.32%
72ACTIVISION BLIZZARD INC00507V10923,519$2.0M0.31%
73CROWDSTRIKE HLDGS INCCRWD14,612$2.0M0.31%
74BRISTOL-MYERS SQUIBB COCELG-RI28,502$2.0M0.31%
75PAYPAL HLDGS INCPYPL25,636$1.9M0.30%
76INTUITINTU4,341$1.9M0.30%
77STARBUCKS CORPSBUX18,211$1.9M0.30%
78QUALCOMM INCQCOM14,816$1.9M0.29%
79SYSCO CORPSYY22,981$1.8M0.28%
80UNITED PARCEL SERVICE INCUPS8,799$1.7M0.27%
81VANGUARD INTL EQUITY INDEX F92204285836,799$1.5M0.23%
82GE HEALTHCARE TECHNOLOGIES IGEHC17,862$1.5M0.23%
83MEDTRONIC PLCMDT16,792$1.4M0.21%
84AUTODESK INCADSK5,469$1.1M0.18%
85ISHARES TR46428824018,000$877,8600.14%
86VANGUARD INTL EQUITY INDEX F92204277516,300$871,5610.14%
87ISHARES TR4642876223,684$829,7470.13%
88ISHARES TR4642876142,623$640,8780.10%
89VANGUARD WORLD FDS92204A4057,013$546,2430.09%
90AMGEN INCAMGN1,540$372,2950.06%
91ISHARES TR4642875982,268$345,3260.05%
92EXXON MOBIL CORPXOM2,496$273,7110.04%
93ISHARES TR4642878042,624$253,7410.04%
94PREDICTIVE ONCOLOGY INCAGPU35,000$11,4380.00%