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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

Slow Capital, Inc.

Quarter ended Q3 2023 · Filed August 9, 2023 · Accession 0001716984-23-000004

Total Value
$576.3M
Positions
127
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (127)

#IssuerTicker / CUSIPSharesValue% of Filing
1ISHARES TR464288356642,776$36.6M6.35%
2NVIDIA CORPORATIONNVDA79,725$33.7M5.85%
3ISHARES TR464288414245,557$26.2M4.55%
4ISHARES TR464288158244,283$25.4M4.41%
5APPLE INCAAPL111,140$21.6M3.74%
6BROADCOM INCAVGO21,376$18.5M3.22%
7TESLA INCTSLA65,761$17.2M2.99%
8AMAZON COM INCAMZN129,603$16.9M2.93%
9INTUITIVE SURGICAL INCISRG39,161$13.4M2.32%
10NETFLIX INCNFLX30,350$13.4M2.32%
11ALPHABET INCGOOG102,519$12.3M2.13%
12MERCADOLIBRE INCMELI9,412$11.1M1.93%
13J P MORGAN EXCHANGE TRADED F46641Q654205,441$10.4M1.81%
14COSTCO WHSL CORP NEW22160K10516,515$8.9M1.54%
15REGENERON PHARMACEUTICALSREGN11,589$8.3M1.45%
16ISHARES TR464287291127,090$7.9M1.37%
17SOLAREDGE TECHNOLOGIES INCSEDG26,927$7.2M1.26%
18HONEYWELL INTL INC43851610633,545$7.0M1.21%
19MICROSOFT CORPMSFT20,238$6.9M1.20%
20ISHARES TR46428722670,061$6.9M1.19%
21MONGODB INCMDB15,703$6.5M1.12%
22EXACT SCIENCES CORP30063P10568,032$6.4M1.11%
23FORTINET INCFTNT82,855$6.3M1.09%
24ILLUMINA INCILMN32,986$6.2M1.07%
25FIRST SOLAR INCFSLR29,775$5.7M0.98%
26ISHARES TR46428874530,205$4.7M0.82%
27ISHARES TR46428872938,591$4.6M0.81%
28BERKSHIRE HATHAWAY INC DELBRK-A13,438$4.6M0.80%
29ISHARES TR46428760657,519$4.3M0.75%
30VERTEX PHARMACEUTICALS INCVRTX12,256$4.3M0.75%
31VANGUARD BD INDEX FDS92193782756,103$4.2M0.74%
32ISHARES TR46428717638,263$4.1M0.71%
33J P MORGAN EXCHANGE TRADED F46641Q64778,565$3.9M0.68%
34WALMART INCWMT25,081$3.9M0.68%
35ISHARES TR46428727557,481$3.9M0.68%
3610X GENOMICS INCTXG68,920$3.8M0.67%
37ROSS STORES INCROST33,937$3.8M0.66%
38THERMO FISHER SCIENTIFIC INCTMO7,269$3.8M0.66%
39ON SEMICONDUCTOR CORPON39,997$3.8M0.66%
40STARBUCKS CORPSBUX37,095$3.7M0.64%
41SNOWFLAKE INCSNOW20,548$3.6M0.63%
42CRISPR THERAPEUTICS AGCRSP63,823$3.6M0.62%
43TJX COS INC NEW87254010942,195$3.6M0.62%
44ALPHABET INCGOOG28,964$3.5M0.61%
45SHERWIN WILLIAMS COSHW13,160$3.5M0.61%
46ISHARES TR46428873755,021$3.4M0.58%
47ADOBE SYSTEMS INCORPORATEDADBE6,793$3.3M0.58%
48HUBSPOT INCHUBS6,218$3.3M0.57%
49ALIGN TECHNOLOGY INCALGN9,211$3.3M0.57%
50ANALOG DEVICES INCADI16,498$3.2M0.56%
51MOBILEYE GLOBAL INCMBLY83,429$3.2M0.56%
52EQUINIX INCEQIX4,052$3.2M0.55%
53UNIVERSAL DISPLAY CORPOLED22,037$3.2M0.55%
54ADVANCED MICRO DEVICES INCAMD27,657$3.2M0.55%
55AMGEN INCAMGN13,953$3.1M0.54%
56SCHRODINGER INCSDGR60,670$3.0M0.53%
57ASML HOLDING N VASMLF4,140$3.0M0.52%
58TRAVELERS COMPANIES INCTRV17,274$3.0M0.52%
59LOWES COS INC54866110713,099$3.0M0.51%
60AUTODESK INCADSK14,207$2.9M0.50%
61INSULET CORPPODD10,079$2.9M0.50%
62SPOTIFY TECHNOLOGY S ASPOT18,060$2.9M0.50%
63BIONTECH SEBNTX26,428$2.9M0.49%
64CATERPILLAR INCCAT11,582$2.8M0.49%
65ISHARES TR46428732532,625$2.8M0.48%
66ILLINOIS TOOL WKS INC45230810911,015$2.8M0.48%
67COGNEX CORPCGNX49,271$2.8M0.48%
68TEXAS INSTRS INC88250810415,190$2.7M0.47%
69MICRON TECHNOLOGY INCMU42,705$2.7M0.47%
70APTIV PLCAPTV26,032$2.7M0.46%
71METTLER TOLEDO INTERNATIONALMTD2,025$2.7M0.46%
72ACCENTURE PLC IRELANDACN8,454$2.6M0.45%
73AMERICAN TOWER CORP NEW03027X10013,221$2.6M0.45%
74MOODYS CORPMCO7,272$2.5M0.44%
75TWILIO INCTWLO38,405$2.4M0.42%
76JOHNSON & JOHNSONJNJ14,709$2.4M0.42%
77ISHARES TR46429B74724,251$2.4M0.41%
78CHUBB LIMITEDCB12,150$2.3M0.41%
79NIKE INCNKE20,901$2.3M0.40%
80WOLFSPEED INCWOLF40,801$2.3M0.39%
81LAUDER ESTEE COS INC51843910411,486$2.3M0.39%
82CISCO SYS INCCSCO43,367$2.2M0.39%
83DEERE & CODE5,500$2.2M0.39%
84WORKDAY INCWDAY9,660$2.2M0.38%
85STAAR SURGICAL COSTAA40,970$2.2M0.37%
86NEXTERA ENERGY INCNEE-PW28,143$2.1M0.36%
87UNION PAC CORPUNP10,175$2.1M0.36%
88UNITED PARCEL SERVICE INCUPS11,481$2.1M0.36%
89CLOROX CO DELCLX11,966$1.9M0.33%
90VERIZON COMMUNICATIONS INCVZ50,843$1.9M0.33%
91OKTA INCOKTA26,916$1.9M0.32%
92BLACKROCK INCBLK2,666$1.8M0.32%
93MODERNA INCMRNA14,912$1.8M0.31%
94DISNEY WALT CO25468710620,204$1.8M0.31%
95VANGUARD INDEX FDS92290855321,216$1.8M0.31%
96REPLIGEN CORPRGEN11,769$1.7M0.29%
97INTEL CORPINTC49,589$1.7M0.29%
98DOMINION ENERGY INCD27,973$1.4M0.25%
99AIR PRODS & CHEMS INCAIIR4,722$1.4M0.25%
100VEEVA SYS INCVEEV7,054$1.4M0.24%
101ISHARES TR46428788712,134$1.4M0.24%
102BLOCK INCBSQKZ20,200$1.3M0.23%
103J P MORGAN EXCHANGE TRADED F46641Q30825,662$1.3M0.22%
104VANGUARD INTL EQUITY INDEX F92204267627,998$1.1M0.20%
105VANGUARD INTL EQUITY INDEX F92204277519,639$1.1M0.19%
1063M COMMM10,610$1.1M0.18%
107EXXON MOBIL CORPXOM9,745$1.0M0.18%
108ISHARES TR4642872002,249$1.0M0.17%
109VMWARE INC9285634026,419$922,3640.16%
110BARCLAYS BANK PLCVXZ28,537$872,3770.15%
111SCHWAB STRATEGIC TR80852420116,252$851,1180.15%
112VANGUARD INDEX FDS9229086374,037$818,4250.14%
113ISHARES TR46428871112,222$730,6530.13%
114ISHARES TR4642886958,741$715,4320.12%
115VANGUARD INDEX FDS9229086292,547$560,7070.10%
116TORO COTORO4,820$491,5100.09%
117BLACKSTONE INCBX4,696$436,5740.08%
118J P MORGAN EXCHANGE TRADED F46641Q8378,246$413,4550.07%
119APOLLO GLOBAL MGMT INC03769M1064,866$373,7590.06%
120CARLYLE GROUP INCCGABL10,046$320,9700.06%
121CHEVRON CORP NEWCVX2,000$314,7000.05%
122PUBLIC STORAGEPSA-PS989$288,6700.05%
123ISHARES TR4642886879,153$283,0900.05%
124WEYERHAEUSER CO MTN BEWY8,313$278,5690.05%
125ISHARES TR4642885133,077$230,9910.04%
126SPDR SER TR78468R6222,492$229,3390.04%
127PROLOGIS INCPLDGP1,726$211,6600.04%