Maripau Wealth Management Llc Portfolio Stock Holdings

Maripau Wealth Management Llc disclosed 166 stock positions valued at approximately $227.5 million in its latest SEC 13F filing. The largest holdings include ALPHABET INC, ALPHABET INC, and AMAZON COM INC. The filing reflects positions held as of March 31, 2026 and was filed on May 15, 2026.

Report Period
March 31, 2026
No. of Stocks
166
Portfolio Value
$227.5M
Holdings by Sector
Maripau Wealth Management Llc Portfolio Holdings in Q1 2026

153 holdings in the latest reporting period.

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CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
ALPHABET INCSPLGOther8.41%249,970+22,668+9.97%$19,132,710
ALPHABET INCPSFFOther8.41%596,870+18,673+3.23%$19,126,339
AMAZON COM INCVEAOther5.39%191,494+9,557+5.25%$12,270,924
AMERICAN BITCOIN CORP.ACIOOther3.80%206,200+13,404+6.95%$8,652,150
AMERICAN CENTY ETF TRBKAGOther2.72%146,567+10,591+7.79%$6,185,108
AMERICAN TOWER CORPDRSKOther2.44%203,026+4,398+2.21%$5,548,712
AMPHENOL CORPIBITOther2.25%133,140-2,769-2.04%$5,115,220
APPLE INCVOOOther2.21%8,430+2,736+48.05%$5,037,185
BERKSHIRE HATHAWAY INC DELSPYOther2.14%7,479+148+2.02%$4,864,028
BLACKROCK ETF TRUSTVTIOther1.99%14,089+3,305+30.65%$4,519,964
BLACKROCK ETF TRUSTRSPOther1.99%23,537+1,787+8.22%$4,517,173
BLACKROCK ETF TRUSTAAPLTechnology1.68%15,040+1,152+8.29%$3,817,121
BLACKROCK ETF TRUSTVBOther1.63%14,144+688+5.11%$3,704,681
BLACKROCK ETF TRUSTDMBSOther1.61%73,982-1,962-2.58%$3,653,240
BLACKROCK ETF TRUSTNVDATechnology1.55%20,204-649-3.11%$3,523,584
BLACKROCK ETF TRUST IIIVVOther1.48%5,162+849+19.68%$3,371,620
BOEING COSCHDOther1.35%99,857+9,066+9.99%$3,063,604
BONDBLOXX ETF TRUSTVWOOther1.27%53,576+1,747+3.37%$2,895,806
BONDBLOXX ETF TRUSTQQQMOther1.25%11,969+715+6.35%$2,844,187
BROADCOM INCOSCVOther1.24%71,421+5,144+7.76%$2,816,856
BROADRIDGE FINL SOLUTIONS INADMEOther1.17%53,799+4,495+9.12%$2,659,275
CALAMOS ETF TRAMZNConsumer Cyclical1.17%12,761+2,434+23.57%$2,657,769
CALAMOS ETF TRFRDMOther1.16%48,289+792+1.67%$2,638,971
CALAMOS ETF TRIDUBOther1.01%92,785+5,787+6.65%$2,288,997
CHEMED CORP NEWMSFTTechnology0.97%5,951+567+10.53%$2,202,968
COPART INCDUBSOther0.96%60,657+4,601+8.21%$2,187,306
COSTCO WHOLESALE CORPORATIONSCHPOther0.90%76,674+1,180+1.56%$2,040,308
DBX ETF TRJUCYOther0.89%91,716+2,491+2.79%$2,031,509
DIAMONDBACK ENERGY INCIUSBOther0.89%43,832-314-0.71%$2,024,585
DIMENSIONAL ETF TRUSTFELCOther0.84%52,456+1,971+3.90%$1,902,587
DIMENSIONAL ETF TRUSTIVEOther0.81%8,768-1,082-10.98%$1,851,420
DIMENSIONAL ETF TRUSTBUFROther0.76%51,083+12,247+31.54%$1,725,073
DIMENSIONAL ETF TRUSTIVWOther0.72%14,469+156+1.09%$1,636,610
DIMENSIONAL ETF TRUSTVUGOther0.72%3,736-168-4.30%$1,631,802
DIMENSIONAL ETF TRUSTDYNFOther0.71%27,884-7,185-20.49%$1,622,265
DISNEY WALT COVGTOther0.65%2,127+137+6.88%$1,483,832
DOUBLELINE ETF TRUSTSMHOther0.65%3,867+60+1.58%$1,482,787
DOUBLELINE ETF TRUSTGMEConsumer Cyclical0.63%62,242+19+0.03%$1,434,052
EA SERIES TRUSTVTVOther0.62%7,228+294+4.24%$1,418,070
ELI LILLY &COGOOGLCommunication Services0.62%4,902-451-8.43%$1,409,606
ETF SER SOLUTIONSWMTConsumer Defensive0.60%10,952-2,597-19.17%$1,361,078
ETF SER SOLUTIONSQQQOther0.59%2,327+915+64.80%$1,343,022
ETF SER SOLUTIONSBRK-BFinancial Services0.54%2,544+363+16.64%$1,218,963
ETF SER SOLUTIONSGOVTOther0.53%52,792+32,383+158.67%$1,209,465
ETF SER SOLUTIONSEFVOther0.51%15,500-5,646-26.70%$1,152,454
ETF SER SOLUTIONSIEMGOther0.49%16,054-9,094-36.16%$1,119,801
ETF SER SOLUTIONSMBBOther0.49%11,637+554+5.00%$1,104,905
ETF SER SOLUTIONSMETACommunication Services0.48%1,898+160+9.21%$1,085,705
EXXON MOBIL CORPGLDOther0.47%2,499-81-3.14%$1,075,480
FIDELITY COVINGTON TRUSTQUALOther0.47%5,584-228-3.92%$1,071,111
FIDELITY WISE ORIGIN BITCOINCOSTConsumer Defensive0.44%1,002+322+47.35%$998,371
FIRST TR EXCH TRADED FD IIIDFATOther0.42%15,364+5,565+56.79%$959,482
FIRST TR EXCHANGE TRAD FD VITSLAConsumer Cyclical0.40%2,453+229+10.30%$911,806
FIRST TR EXCHANGE-TRADED FDJPMFinancial Services0.39%2,985-20-0.67%$877,953
FIRST TR EXCHANGE-TRADED FDBNDXOther0.38%17,790+273+1.56%$854,823
FIRST TR EXCHNG TRADED FD VIBUFFOther0.37%16,874+2,035+13.71%$833,744
GAMESTOP CORPBSVOther0.36%10,461-40-0.38%$820,278
GENERAL DYNAMICS CORPVFinancial Services0.35%2,653+128+5.07%$801,872
GEVO INCMSTRTechnology0.34%6,252+717+12.95%$780,220
GLOBAL X FDSSCHZOther0.34%33,599+142+0.42%$780,175
INNOVATOR ETFS TRUSTVGLTOther0.33%13,378+1,059+8.60%$740,555
INVESCO EXCH TRADED FD TR IIIAUMOther0.32%15,405+1,543+11.13%$719,412
INVESCO EXCHANGE TRADED FD TPGFOther0.31%51,404-10,021-16.31%$707,314
INVESCO EXCHANGE TRADED FD TFANGEnergy0.29%3,373-189-5.31%$667,074
ISHARES GOLD TRGOOGCommunication Services0.27%2,173+412+23.40%$623,299
ISHARES INCVFMVOther0.27%4,651+888+23.60%$619,586
ISHARES SILVER TRSPDWOther0.27%13,480+2,368+21.31%$615,362
ISHARES TRPWRIndustrials0.26%1,096-66-5.68%$601,820
ISHARES TRJEPIOther0.26%10,315+1,117+12.14%$584,676
ISHARES TRIAGGOther0.26%11,600+501+4.51%$580,476
ISHARES TRFBTCOther0.24%9,432+6,566+229.10%$556,773
ISHARES TRACWXOther0.24%8,072+8,072+100.00%$552,690
ISHARES TRFConsumer Cyclical0.24%46,606+749+1.63%$537,835
ISHARES TRVHTOther0.23%1,951-51-2.55%$531,416
ISHARES TRTLHOther0.23%5,216+469+9.88%$525,349
ISHARES TRIXUSOther0.23%6,020-327-5.15%$521,573
ISHARES TRIMCGOther0.23%6,614+219+3.42%$520,987
ISHARES TRVMBSOther0.23%11,054-199-1.77%$518,972
ISHARES TRAMTReal Estate0.23%2,977+241+8.81%$513,818
ISHARES TRXLUOther0.22%11,119+601+5.71%$510,235
ISHARES TRBINCOther0.22%9,590-3,175-24.87%$498,013
ISHARES TRSPEMOther0.21%10,177+2,641+35.05%$477,403
ISHARES TRAVGOTechnology0.21%1,516+40+2.71%$469,110
ISHARES TREFGOther0.20%4,119+4,119+100.00%$458,733
ISHARES TRAPHTechnology0.20%3,581+3,581+100.00%$452,410
ISHARES TRSPMOOther0.20%4,006+62+1.57%$449,146
ISHARES TRXLCOther0.19%3,938+43+1.10%$436,565
ISHARES TRNFLXCommunication Services0.19%4,525+684+17.81%$435,040
ISHARES TRAVEMOther0.19%5,292+602+12.84%$426,449
J P MORGAN EXCHANGE TRADED FWFCFinancial Services0.18%5,215+280+5.67%$415,177
JOHNSON &JOHNSONPGRFinancial Services0.18%2,091+189+9.94%$414,569
JPMORGAN CHASE &COBIVOther0.18%5,316-47-0.88%$410,293
LINDE PLCIWYOther0.18%1,638-241-12.83%$407,600
LOCKHEED MARTIN CORPLINOther0.18%815+6+0.74%$403,874
META PLATFORMS INCBLVOther0.17%5,782-30-0.52%$397,688
MICRON TECHNOLOGY INCXOMEnergy0.17%2,319-1,032-30.80%$393,380
MICROSOFT CORPVYMOther0.17%2,620+877+50.32%$388,036
NETFLIX INC.LLYHealthcare0.17%411-30-6.80%$378,033
NVIDIA CORPORATIONVNQOther0.17%4,259+1,215+39.91%$377,730
OPENDOOR TECHNOLOGIES INCBRTechnology0.17%2,317+245+11.82%$376,486