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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

Darden Wealth Group Inc

Quarter ended Q3 2025 · Filed November 10, 2025 · Accession 0002011221-25-000008

Total Value
$191.3M
Positions
134
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (134)

#IssuerTicker / CUSIPSharesValue% of Filing
1NVIDIA CORPORATIONNVDA183,329$34.2M17.88%
2MICROSOFT CORPMSFT17,841$9.2M4.83%
3Apple IncAAPL34,732$8.8M4.62%
4ALPHABET INC CAP STKGOOG35,657$8.7M4.53%
5AMAZON COM INCAMZN32,571$7.2M3.74%
6BROADCOM INCAVGO20,318$6.7M3.50%
7ROCKET LAB CORPRKLB105,170$5.0M2.63%
8ISHARES TR46429B65577,719$4.0M2.08%
9CROWDSTRIKE HLDGS INCCRWD7,672$3.8M1.97%
10ALPHABET INC CAP STK CL CGOOG14,513$3.5M1.85%
11EATON CORP PLC SHSETN8,478$3.2M1.66%
12ARISTA NETWORKS INC COM SHSANET20,770$3.0M1.58%
13FIRST TR EXCH TRADED FD III33739E108152,451$2.8M1.45%
14APPLOVIN CORPAPP3,603$2.6M1.35%
15ISHARES TR46428716815,653$2.2M1.16%
16META PLATFORMS INC CL AMETA2,982$2.2M1.14%
17JANUS DETROIT STR TR47103U84542,278$2.1M1.12%
18ISHARES TR46428750729,390$1.9M1.00%
19RTX CORPORATION COMRTX10,860$1.8M0.95%
20SPDR S&P 500 ETF TRSPY2,631$1.8M0.92%
21ISHARES TR46428767110,638$1.8M0.92%
22MICRON TECHNOLOGY INC COMMU10,228$1.7M0.89%
23TRANE TECHNOLOGIES PLC SHSTT4,045$1.7M0.89%
24PALO ALTO NETWORKS INC COMPANW8,346$1.7M0.89%
25ISHARES TR46428717615,260$1.7M0.89%
26MASTERCARD INCORPORATED CL AMA2,977$1.7M0.89%
27ISHARES TR46428780413,828$1.6M0.86%
28CELESTICA INC COMCLS6,347$1.6M0.82%
29BERKSHIRE HATHAWAY INC DEL CL B NEWBRK-A3,091$1.6M0.81%
30VANGUARD INDEX FDS9229087694,501$1.5M0.77%
31JPMORGAN CHASE & CO. COMVYLD4,657$1.5M0.77%
32SERIES PORTFOLIOS TR81752T52853,467$1.4M0.75%
33ISHARES TR46432F85927,203$1.3M0.69%
34BOEING CO COMBA-PA6,133$1.3M0.69%
35DIMENSIONAL ETF TRUST25434V20336,270$1.3M0.69%
36SPDR GOLD TRGLD3,625$1.3M0.67%
37ISHARES TR46432F84214,426$1.3M0.66%
38VANGUARD INDEX FDS9229086294,271$1.3M0.66%
39INVESCO QQQ TRIVZ2,050$1.2M0.64%
40ISHARES TR46428867911,116$1.2M0.64%
41VANECK ETF TRUST92189F6763,663$1.2M0.62%
42ISHARES TR46434V86023,435$1.2M0.62%
43ISHARES TR46434G10317,732$1.2M0.61%
44ASML HOLDING N V N Y REGISTRY SHSASMLF1,168$1.1M0.59%
45ABBVIE INC COMABBV4,627$1.1M0.56%
46ORACLE CORP COMORCL-PD3,751$1.1M0.55%
47HOME DEPOT INC COMHD2,482$1.0M0.53%
48TESLA INC COMTSLA2,043$908,5630.47%
49ISHARES TR46434V40720,513$888,2180.46%
50GE VERNOVA INC COMGEV1,441$886,0710.46%
51PALANTIR TECHNOLOGIES INC CL APLTR4,698$857,0090.45%
52CHEVRON CORP NEW COMCVX5,510$855,6480.45%
53COSTCO WHSL CORP NEW COM22160K105906$838,7960.44%
54VANECK ETF TRUST92189F10610,788$824,2030.43%
55SELECT SECTOR SPDR TR81369Y5068,912$796,2580.42%
56ELI LILLY & CO COMLLY1,025$782,0750.41%
57VANGUARD TAX-MANAGED FDS92194385812,507$749,4700.39%
58ISHARES TR46432F3885,889$736,4430.38%
59VANGUARD INDEX FDS9229083631,153$706,4940.37%
60ADVANCED MICRO DEVICES INC COMAMD4,269$690,6930.36%
61OKLO INC COM CL AOKLO6,136$684,9620.36%
62RUBRIK INC. CL ARBRK8,283$681,2770.36%
63VANGUARD INDEX FDS9229086372,121$652,9710.34%
64NEXTERA ENERGY INC COMNEE-PW8,454$638,1920.33%
65ISHARES TR46434V6219,200$626,3360.33%
66UNITED RENTALS INC COMURI655$625,3020.33%
67J P MORGAN EXCHANGE TRADED F46641Q33210,950$625,2450.33%
68ABRDN PLATINUM ETF TRUSTPPLT4,360$622,9570.33%
69VANGUARD CHARLOTTE FDS92203J40712,473$616,9470.32%
70ISHARES TR46429B26725,913$599,1090.31%
71QUANTA SVCS INC COM74762E1021,440$596,7650.31%
72WALMART INC COMWMT5,585$575,6780.30%
73VISA INC COM CL AV1,633$557,5960.29%
74GE AEROSPACE COM NEW3696043011,761$529,7440.28%
75MERCADOLIBRE INC COMMELI225$525,8120.27%
76PROCTER AND GAMBLE CO COM7427181093,393$521,4870.27%
77SPDR SERIES TRUST78468R5235,209$518,4000.27%
78SELECT SECTOR SPDR TR81369Y8031,833$516,8640.27%
79GILEAD SCIENCES INC COMGILD4,639$514,9380.27%
80ISHARES TR4642887602,382$498,6050.26%
81ETFIS SER TR I26923G82222,812$495,2550.26%
82BLACKROCK INC COMBLK418$487,8020.25%
83LINDE PLC SHSLIN1,017$483,0750.25%
84LAM RESEARCH CORP COM NEWLRCX3,520$471,3280.25%
85ISHARES TR46432F3392,418$470,3360.25%
86FIRST TR EXCHANGE TRADED FD33738R7044,650$449,6540.24%
87SCHWAB STRATEGIC TR80852479716,167$441,3630.23%
88JOHNSON & JOHNSON COMJNJ2,347$435,1810.23%
89AMGEN INC COMAMGN1,504$424,4290.22%
90ISHARES TR4642871502,859$416,4440.22%
91APPLIED MATLS INC COM0382221051,970$403,3380.21%
92SSGA ACTIVE ETF TR78467V6089,650$401,2470.21%
93ISHARES TR46435G5164,233$393,5840.21%
94VANGUARD INDEX FDS9229087511,510$384,1660.20%
95VANGUARD INTL EQUITY INDEX F9220428587,084$383,8110.20%
96MORGAN STANLEY COM NEWMS-PQ2,350$373,5560.20%
97BWX TECHNOLOGIES INC COMBWXT1,960$361,3650.19%
98COCA COLA CO COMKO5,331$353,5510.18%
99NEBIUS GROUP N.V. SHS CLASS ANBIS3,130$351,4050.18%
100GABELLI EQUITY TR INC COMGAB-PK57,000$347,1300.18%
101LOCKHEED MARTIN CORP COMLMT687$343,1250.18%
102BOEING COBA-PA4,900$340,8930.18%
103VANGUARD WORLD FD92204A6031,130$334,8170.18%
104SYMBOTIC INC CLASS A COMSYM6,150$331,4850.17%
105INVESCO EXCHANGE TRADED FD TIVZ1,710$324,3870.17%
106AMERICAN CENTY ETF TR0250728773,200$318,4960.17%
107ACCENTURE PLC IRELAND SHS CLASS AACN1,287$317,3740.17%
108VANGUARD SPECIALIZED FUNDS9219088441,368$295,2430.15%
109COREWEAVE INC COM CL ACRWV2,110$288,7530.15%
110DISNEY WALT CO COM2546871062,367$271,0220.14%
111ISHARES TR46434V6135,801$270,9900.14%
112ISHARES U S ETF TR46431W6482,600$265,0180.14%
113NORTHROP GRUMMAN CORP COMNOC430$262,0080.14%
114ISHARES TR464287200377$252,6970.13%
115ISHARES BITCOIN TRUST ETFIBIT3,882$252,3750.13%
116TJX COS INC NEW COM8725401091,705$246,4410.13%
117AMERICAN INTL GROUP INC COM NEW0268747843,133$246,0660.13%
118CATERPILLAR INC COMCAT515$245,7850.13%
119AEROVIRONMENT INC COMAVAV780$245,6140.13%
120ISHARES TR4642885701,907$240,2650.13%
121FIRST TR EXCHANGE TRADED FD33734X8463,160$240,2050.13%
122SITIME CORP COMSITM780$235,0220.12%
123TAIWAN SEMICONDUCTOR MFG LTD SPONSORED ADS874039100825$230,5410.12%
124DRAFTKINGS INC NEW COM CL ADKNG6,060$226,6440.12%
125APOLLO GLOBAL MGMT INC COM03769M1061,700$226,5590.12%
126FIRST TR EXCHNG TRADED FD VI33740U7037,702$212,9070.11%
127INVESCO EXCH TRD SLF IDX FDIVZ10,000$208,8000.11%
128INVESCO EXCH TRD SLF IDX FDIVZ11,000$206,9100.11%
129IES HLDGS INC COMIESC520$206,7780.11%
130INVESCO EXCH TRD SLF IDX FDIVZ10,000$205,7000.11%
131TCW ETF TRUST29287L7005,150$204,9700.11%
132INVESCO EXCH TRD SLF IDX FDIVZ12,000$202,8000.11%
133INVESCO EXCH TRD SLF IDX FDIVZ12,000$200,1600.10%
134SACHEM CAP CORP COMSCCG32,016$35,5370.02%