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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 Q1 2024 · Filed April 17, 2024 · Accession 0001716984-24-000003

Total Value
$624.1M
Positions
127
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (127)

#IssuerTicker / CUSIPSharesValue% of Filing
1BROADCOM INCAVGO23,005$30.5M4.89%
2ISHARES TR464288414281,710$30.3M4.86%
3NVIDIA CORPORATIONNVDA32,566$29.4M4.72%
4ISHARES TR464288158240,009$25.1M4.03%
5AMAZON COM INCAMZN129,603$23.4M3.75%
6ISHARES TR464288356392,661$22.6M3.62%
7NETFLIX INCNFLX30,304$18.4M2.95%
8MERCADOLIBRE INCMELI11,215$17.0M2.72%
9APPLE INCAAPL98,447$16.9M2.71%
10INTUITIVE SURGICAL INCISRG39,986$16.0M2.56%
11ALPHABET INCGOOG102,396$15.5M2.48%
12TESLA INCTSLA79,330$13.9M2.23%
13COSTCO WHSL CORP NEW22160K10516,736$12.3M1.96%
14REGENERON PHARMACEUTICALSREGN12,040$11.6M1.86%
15J P MORGAN EXCHANGE TRADED F46641Q654173,144$8.8M1.41%
16ISHARES TR46428722686,497$8.5M1.36%
17MICROSOFT CORPMSFT20,042$8.4M1.35%
18ILLUMINA INCILMN59,082$8.1M1.30%
19HONEYWELL INTL INC43851610634,781$7.1M1.14%
20ISHARES TR46436E71865,693$6.6M1.06%
21ISHARES TR46428729183,193$6.2M1.00%
22BERKSHIRE HATHAWAY INC DELBRK-A14,282$6.0M0.96%
23FORTINET INCFTNT81,049$5.5M0.89%
24MONGODB INCMDB15,329$5.5M0.88%
25VERTEX PHARMACEUTICALS INCVRTX12,910$5.4M0.86%
26ADVANCED MICRO DEVICES INCAMD29,566$5.3M0.86%
27MICRON TECHNOLOGY INCMU44,843$5.3M0.85%
28FIRST SOLAR INCFSLR30,789$5.2M0.83%
29ISHARES TR46428717648,288$5.2M0.83%
30ROSS STORES INCROST34,485$5.1M0.81%
31SPOTIFY TECHNOLOGY S ASPOT18,641$4.9M0.79%
32SHERWIN WILLIAMS COSHW13,908$4.8M0.77%
33EXACT SCIENCES CORP30063P10569,802$4.8M0.77%
34CRISPR THERAPEUTICS AGCRSP67,569$4.6M0.74%
35WALMART INCWMT75,504$4.6M0.73%
36CATERPILLAR INCCAT12,149$4.5M0.71%
37TJX COS INC NEW87254010943,699$4.4M0.71%
38ASML HOLDING N VASMLF4,560$4.4M0.71%
39THERMO FISHER SCIENTIFIC INCTMO7,340$4.3M0.68%
40VANGUARD BD INDEX FDS92193782755,118$4.2M0.68%
41BIONTECH SEBNTX45,613$4.2M0.67%
42TRAVELERS COMPANIES INCTRV18,121$4.2M0.67%
43AMGEN INCAMGN14,486$4.1M0.66%
44MODERNA INCMRNA38,083$4.1M0.65%
45SERVICENOW INCNOW5,306$4.0M0.65%
46SNOWFLAKE INCSNOW24,995$4.0M0.65%
47HUBSPOT INCHUBS6,386$4.0M0.64%
48ON SEMICONDUCTOR CORPON52,926$3.9M0.62%
49SAMSARA INCIOT102,205$3.9M0.62%
50AUTODESK INCADSK14,629$3.8M0.61%
51ALPHABET INCGOOG24,521$3.7M0.60%
52WOLFSPEED INCWOLF122,252$3.6M0.58%
53ISHARES TR46428872925,676$3.6M0.57%
54ISHARES TR46428760638,739$3.5M0.57%
55STARBUCKS CORPSBUX38,502$3.5M0.56%
56UNIVERSAL DISPLAY CORPOLED20,873$3.5M0.56%
57ANALOG DEVICES INCADI17,471$3.5M0.55%
58ISHARES TR46428874520,238$3.4M0.54%
59EQUINIX INCEQIX4,093$3.4M0.54%
60LOWES COS INC54866110713,176$3.4M0.54%
6110X GENOMICS INCTXG87,765$3.3M0.53%
62CADENCE DESIGN SYSTEM INCCDNS10,468$3.3M0.52%
63CHUBB LIMITEDCB12,519$3.2M0.52%
64ADOBE INCADBE6,388$3.2M0.52%
65ALIGN TECHNOLOGY INCALGN9,808$3.2M0.52%
66TEXAS INSTRS INC88250810418,371$3.2M0.51%
67ISHARES TR46428727537,882$3.2M0.51%
68ENPHASE ENERGY INCENPH25,775$3.1M0.50%
69ISHARES TR46429B74731,110$3.1M0.50%
70MOBILEYE GLOBAL INCMBLY94,484$3.0M0.49%
71ACCENTURE PLC IRELANDACN8,704$3.0M0.48%
72ILLINOIS TOOL WKS INC45230810911,140$3.0M0.48%
73METTLER TOLEDO INTERNATIONALMTD2,200$2.9M0.47%
74MOODYS CORPMCO7,286$2.9M0.46%
75SOLAREDGE TECHNOLOGIES INCSEDG39,681$2.8M0.45%
76UNION PAC CORPUNP11,436$2.8M0.45%
77OKTA INCOKTA26,758$2.8M0.45%
78VEEVA SYS INCVEEV12,026$2.8M0.45%
79LAUDER ESTEE COS INC51843910418,035$2.8M0.45%
80COGNEX CORPCGNX65,304$2.8M0.44%
81AMERICAN TOWER CORP NEW03027X10013,951$2.8M0.44%
82WORKDAY INCWDAY10,008$2.7M0.44%
83CLOROX CO DELCLX17,723$2.7M0.43%
84REPLIGEN CORPRGEN14,607$2.7M0.43%
85DEERE & CODE6,275$2.6M0.41%
86INTEL CORPINTC58,242$2.6M0.41%
87STAAR SURGICAL COSTAA65,646$2.5M0.40%
88JOHNSON & JOHNSONJNJ15,079$2.4M0.38%
89SCHRODINGER INCSDGR85,343$2.3M0.37%
90APTIV PLCAPTV28,121$2.2M0.36%
91NIKE INCNKE23,708$2.2M0.36%
92CISCO SYS INCCSCO43,678$2.2M0.35%
93UNITED PARCEL SERVICE INCUPS12,314$1.8M0.29%
94VANGUARD INDEX FDS92290855319,906$1.7M0.28%
95ISHARES TR46428873728,160$1.7M0.28%
96ISHARES TR46428729120,781$1.6M0.25%
97ISHARES TR46428732516,365$1.5M0.24%
98AIR PRODS & CHEMS INCAIIR6,228$1.5M0.24%
99VANGUARD INTL EQUITY INDEX F92204277520,882$1.2M0.20%
100EXXON MOBIL CORPXOM9,745$1.1M0.18%
101VANGUARD INTL EQUITY INDEX F92204267626,226$1.1M0.18%
102ISHARES TR46428727512,280$1.0M0.17%
103VANGUARD INDEX FDS9229086374,093$981,3040.16%
104ISHARES TR46428760610,712$977,4700.16%
105ISHARES TR4642887296,944$970,0080.16%
106ISHARES TR4642887455,611$941,9750.15%
107SCHWAB STRATEGIC TR80852420114,970$929,0390.15%
108ISHARES TR4642872001,715$901,5900.14%
109ISHARES TR4642878876,502$850,0370.14%
110J P MORGAN EXCHANGE TRADED F46641Q30814,098$753,4990.12%
111BARCLAYS BANK PLCVXZ23,061$717,1980.11%
112VANGUARD INDEX FDS9229086292,656$663,6760.11%
113BLACKSTONE INCBX3,380$444,0120.07%
114TORO COTORO4,822$443,4600.07%
115CARLYLE GROUP INCCGABL8,727$409,3840.07%
116ISHARES TR4642886954,485$401,1540.06%
117APOLLO GLOBAL MGMT INC03769M1063,390$381,2080.06%
118ISHARES TR4642887116,130$361,9410.06%
119ISHARES TR46428868710,976$353,7570.06%
120CHEVRON CORP NEWCVX2,000$315,4800.05%
121SPDR SER TR78468R6223,003$285,8860.05%
122ISHARES TR4642885133,619$281,3050.05%
123APPLIED MATLS INC0382221051,278$263,5620.04%
124WEYERHAEUSER CO MTN BEWY6,418$230,4710.04%
125PUBLIC STORAGEPSA-PS739$214,3550.03%
126ISHARES TR46434V8784,030$203,7570.03%
127SCHWAB STRATEGIC TR8085245082,487$202,5170.03%