Motley Fool Wealth Management, Llc Portfolio Stock Holdings

Motley Fool Wealth Management, Llc disclosed 124 stock positions valued at approximately $884.2 million in its latest SEC 13F filing. The largest holdings include AMAZON COM INC, ALPHABET INC, and META PLATFORMS INC. The filing reflects positions held as of March 31, 2026 and was filed on May 12, 2026.

Report Period
March 31, 2026
No. of Stocks
124
Portfolio Value
$884.2M
Holdings by Sector
Motley Fool Wealth Management, Llc Portfolio Holdings in Q1 2026

120 holdings in the latest reporting period.

Page 1 of 2
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
AMAZON COM INCAMZNConsumer Cyclical4.66%197,831-71,581-26.57%$41,202,289
ALPHABET INCGOOGCommunication Services4.03%124,260-97,064-43.86%$35,645,170
META PLATFORMS INCMETACommunication Services3.52%54,454-18,674-25.54%$31,154,769
NETFLIX INC.NFLXCommunication Services3.42%314,717-2,147-0.68%$30,260,084
VANGUARD INDEX FDS S&P 500 ETFVOOOther2.79%41,241-6,607-13.81%$24,643,600
MERCADOLIBRE INCMELIConsumer Cyclical2.36%12,085-4,476-27.03%$20,894,462
MASTERCARD INCORPORATEDMAFinancial Services2.17%38,418-14,280-27.10%$19,195,757
VERTEX PHARMACEUTICALS INCVRTXHealthcare2.16%42,836-16,701-28.05%$19,128,150
BOOKING HOLDINGS INCBKNGConsumer Cyclical2.08%4,363-1,664-27.61%$18,369,515
EQUINIX INCEQIXReal Estate2.02%18,202-6,720-26.96%$17,842,804
INVESCO EXCH TRD SLF IDX FD INVSCO 30BSCUOther1.98%1,049,383-341,157-24.53%$17,544,732
INVESCO EXCHNG TRAD SLF INDE BULLETSHSBSCWOther1.97%847,636-275,849-24.55%$17,451,050
THERMO FISHER SCIENTIFIC INCTMOHealthcare1.83%32,993-12,492-27.46%$16,217,263
SALESFORCE INCCRMTechnology1.66%78,533-29,288-27.16%$14,659,818
PALO ALTO NETWORKS INCPANWTechnology1.62%89,220-33,783-27.47%$14,303,800
SERVICENOW INCNOWTechnology1.61%136,047+56,772+71.61%$14,223,672
STONEX GROUP INCSNEXFinancial Services1.61%176,266+17,750+11.20%$14,215,819
NEXTERA ENERGY INCNEEUtilities1.59%150,982-62,782-29.37%$14,023,182
BIOMARIN PHARMACEUTICAL INCBMRNHealthcare1.58%247,877-82,976-25.08%$14,002,586
DEXCOM INCDXCMHealthcare1.47%206,321-70,174-25.38%$12,956,980
INVESCO EXCHNG TRAD SLF INDE INVESCOBSCXOther1.30%543,485-121,771-18.30%$11,494,702
ISHARES JPM EM LOCAL CURRENCY BONDLEMBOther1.26%273,039+27,522+11.21%$11,140,009
INVESCO EXCH TRD SLF IDX FD BULETSHS 2031BSCVOther1.22%654,597-212,729-24.53%$10,774,661
ISHARES IBONDS DEC 2029IBDUOther1.21%461,783-149,946-24.51%$10,741,076
DOUBLELINE ETF TRUSTDCREOther1.06%180,108-17,332-8.78%$9,358,387
FABRINETFNOther1.02%17,288-6,039-25.89%$9,016,131
WISDOMTREE TR JP SMALLCPDFJOther1.01%87,789-34,457-28.19%$8,959,698
DATADOG INCDDOGTechnology1.00%74,759-27,582-26.95%$8,825,335
BERKSHIRE HATHAWAY INC DELBRK-BFinancial Services0.99%18,292-7,248-28.38%$8,765,484
NVIDIA CORPORATIONNVDATechnology0.98%49,519-1,202-2.37%$8,636,136
BROWN & BROWN INCBROFinancial Services0.93%126,766-45,016-26.21%$8,266,422
INVESCO EXCH TRD SLF IDX FD BULETSHSBSCTOther0.87%410,629-130,899-24.17%$7,662,501
DOUBLELINE ETF TRUSTDMBSOther0.87%155,054-50,422-24.54%$7,656,565
ISHARES 0-5YR HY CORP BONDSHYGOther0.86%180,444-58,841-24.59%$7,634,579
ISHARES IBONDS DEC 2031IBDWOther0.86%364,416-118,308-24.51%$7,627,229
ISHARES 10plus YR CR BDIGLBOther0.86%153,266-50,036-24.61%$7,606,588
BROADRIDGE FINL SOLUTIONS INBRTechnology0.81%43,817-15,806-26.51%$7,119,409
DANAHER CORP DELDHRHealthcare0.80%37,453-13,992-27.20%$7,101,045
LIVE OAK BANCSHARES INCLOBFinancial Services0.78%209,559-73,142-25.87%$6,930,112
MICROSOFT CORPMSFTTechnology0.78%18,569-7,091-27.63%$6,873,739
AUTODESK INCADSKTechnology0.76%28,176-10,361-26.89%$6,745,433
PENUMBRA INCPENHealthcare0.73%19,701-6,714-25.42%$6,469,231
MARKEL GROUP INCMKLFinancial Services0.72%3,346-1,398-29.47%$6,404,250
VANGUARD TAX-MANAGED INTL FD FTSE DEV MKTVEAOther0.72%99,314-5,509-5.26%$6,364,017
VANGUARD BD INDEX FD INC TOTAL BNDBNDOther0.71%85,842-4,587-5.07%$6,321,400
TESLA INCTSLAConsumer Cyclical0.71%16,972-450-2.58%$6,309,341
ALPHATEC HLDGS INCATECHealthcare0.71%575,828-261,256-31.21%$6,265,004
VANGUARD INDEX FDS MID CAPVOOther0.70%21,590-934-4.15%$6,200,338
COSTAR GROUP INCCSGPReal Estate0.70%153,002-50,446-24.80%$6,172,120
HEXCEL CORP NEWHXLIndustrials0.67%73,520-25,754-25.94%$5,949,969
TOAST INCTOSTTechnology0.67%222,570-78,029-25.96%$5,900,327
ISHARES CORE MSCI EUROPEIEUROther0.64%80,414-31,505-28.15%$5,650,712
AXON ENTERPRISE INCAXONIndustrials0.62%12,926-4,589-26.20%$5,489,395
RENTOKIL INITIAL PLCRTOIndustrials0.62%173,479-68,239-28.23%$5,461,124
HOWARD HUGHES HOLDINGS INCHHHReal Estate0.62%86,126-32,297-27.27%$5,448,347
HEALTHEQUITY INCHQYHealthcare0.61%64,752-22,419-25.72%$5,411,357
WATERS CORPWATHealthcare0.59%17,577-6,631-27.39%$5,234,374
QXO INCQXOTechnology0.57%257,718-90,143-25.91%$5,004,874
STAG INDL INCSTAGReal Estate0.57%138,756-48,952-26.08%$5,003,536
HERC HLDGS INCHRIIndustrials0.55%49,241-16,944-25.60%$4,901,964
AMERICAN TOWER CORPAMTReal Estate0.54%27,840-9,977-26.38%$4,804,548
WATSCO INCWSOIndustrials0.53%12,992-4,801-26.98%$4,726,511
ULTRAGENYX PHARMACEUTICAL INRAREHealthcare0.53%222,981-74,505-25.04%$4,671,457
TAIWAN SEMICONDUCTOR MANUFACTSMTechnology0.52%13,640-9,029-39.83%$4,609,597
AON PLCAONFinancial Services0.51%14,022-5,835-29.39%$4,525,860
GXO LOGISTICS INCORPORATEDGXOIndustrials0.51%86,775-29,829-25.58%$4,499,270
BROOKFIELD ASSET MANAGMT LTDBAMFinancial Services0.50%98,935-55,296-35.85%$4,397,659
SITEONE LANDSCAPE SUPPLY INCSITEIndustrials0.49%32,455-11,141-25.56%$4,320,142
OLD DOMINION FREIGHT LINE INODFLIndustrials0.48%21,791-8,526-28.12%$4,258,042
REGENERON PHARMACEUTICALSREGNHealthcare0.48%5,485-2,307-29.61%$4,237,570
GUIDEWIRE SOFTWARE INCGWRETechnology0.45%26,642-9,283-25.84%$3,984,540
CANADIAN NATL RY COCNIIndustrials0.45%38,601-13,436-25.82%$3,966,988
SBA COMMUNICATIONS CORPSBACReal Estate0.44%22,825-7,232-24.06%$3,928,407
GOOSEHEAD INS INCGSHDFinancial Services0.44%90,909-31,564-25.77%$3,878,189
TYLER TECHNOLOGIES INCTYLTechnology0.43%11,204-3,844-25.54%$3,836,171
ICON PLCICLROther0.43%34,319-11,648-25.34%$3,797,763
WASTE CONNECTIONS INCWCNIndustrials0.43%23,343-9,083-28.01%$3,791,812
ALARM COM HLDGS INCALRMTechnology0.43%87,478-29,495-25.22%$3,778,171
FRONTDOOR INCFTDRConsumer Cyclical0.42%71,059-24,359-25.53%$3,756,162
VANGUARD INTL EQUITY INDEX F FTSE EMR MKTVWOOther0.39%64,505-3,485-5.13%$3,486,481
YUM CHINA HLDGS INCYUMCConsumer Cyclical0.38%69,441-26,757-27.81%$3,387,332
RELX PLCRELXIndustrials0.38%101,665+101,665+100.00%$3,370,194
WEST PHARMACEUTICAL SVSC INCWSTHealthcare0.38%13,322-6,155-31.60%$3,339,105
KENVUE INCKVUEConsumer Defensive0.37%187,764-67,927-26.57%$3,237,057
COSTCO WHOLESALE CORPORATIONCOSTConsumer Defensive0.36%3,210-1,192-27.08%$3,198,153
BALL CORPBALLConsumer Cyclical0.35%52,351-18,994-26.62%$3,094,452
Q2 HLDGS INCQTWOTechnology0.34%63,306-21,893-25.70%$2,994,395
PAYCHEX INCPAYXTechnology0.33%31,387-11,897-27.49%$2,891,401
MEDTRONIC PLCMDTOther0.31%31,135-12,297-28.31%$2,697,844
TRACTOR SUPPLY COTSCOConsumer Cyclical0.29%57,243-20,032-25.92%$2,593,089
CME GROUP INCCMEFinancial Services0.29%8,617-3,334-27.90%$2,545,039
CARLISLE COS INCCSLIndustrials0.27%7,144-2,614-26.79%$2,383,527
MCCORMICK & CO INCMKCConsumer Defensive0.27%47,104-19,282-29.05%$2,375,936
UFP TECHNOLOGIES INCUFPTHealthcare0.26%12,090-3,991-24.82%$2,340,662
VANGUARD INDEX FDS SMALL CPVBOther0.26%8,828-371-4.03%$2,312,273
HDFC BANK LTDHDBFinancial Services0.26%91,402-36,295-28.42%$2,274,092
FIRSTSERVICE CORP NEWFSVReal Estate0.24%15,370-5,402-26.01%$2,135,470
APPLE INCAAPLTechnology0.22%7,808-1,677-17.68%$1,981,652
VANGUARD MALVERN FDS STRMVTIPOther0.20%35,778-9,429-20.86%$1,787,112
VERRA MOBILITY CORPVRRMIndustrials0.19%115,994-36,936-24.15%$1,657,561