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First Foundation Advisors

All holdings · as of Mar 31, 2026

334 positions

CompanyClassValueShares% of portfolio
ASML HLDG NV$8.56M6,4820.3%
ISHARES TR$8.48M66,1540.3%
QUALCOMM INC/DE$8.18M63,5200.3%
ISHARES U S ETF TR$7.91M133,1990.3%
EXXON MOBIL CORP$7.88M46,4660.3%
Walt Disney Co$7.84M81,2980.3%
ISHARES TR$7.52M66,5050.3%
CME Group Inc$7.38M24,9810.3%
SUNCOR ENERGY INC NEW$7.37M111,5140.3%
VANECK ETF TRUST$7.24M319,3110.3%
Monolithic Power Systems Inc$6.95M6,3560.3%
BARCLAYS BANK PLC$6.87M142,7410.3%
iShares MSCI UAE ETF$6.84M62,7800.3%
ISHARES TR$6.47M52,0560.3%
BROOKFIELD CORP$6.41M158,4500.3%
Walmart Inc.$6.36M51,1370.3%
Medpace Holdings, Inc.$6.27M13,0610.3%
Visa Inc$6.08M20,1110.2%
CHEVRON CORP$6.00M28,9760.2%
NEXTERA ENERGY INC$5.88M63,3130.2%
ELI LILLY & Co$5.84M6,3470.2%
Broadcom Inc.$5.78M18,6870.2%
ENTERPRISE PRODUCTS PARTNERS L.P.EPDMLP$5.69M150,2790.2%
ISHARES TR$5.48M56,3680.2%
COHEN & STEERS ETF TRUST$5.41M205,8350.2%
COLUMBIA ETF TR II$5.31M130,0570.2%
SSGA ACTIVE ETF TR$5.15M128,3430.2%
Fortinet Inc$5.12M62,7100.2%
ISHARES TR$4.95M23,4350.2%
LINDE PLC$4.84M9,7710.2%
ISHARES TR$4.84M75,1920.2%
HOME DEPOT, INC.$4.78M14,5430.2%
Arista Networks, Inc.ANETCommon Stock$4.66M37,9640.2%
CINTAS CORP$4.45M26,2950.2%
AppLovin Corp$4.33M10,8840.2%
ISHARES TR$4.30M40,4970.2%
SCHWAB STRATEGIC TR$4.22M164,5610.2%
ISHARES TR$4.04M54,3640.2%
IDEXX LABORATORIES INC /DE$4.02M7,1510.2%
BROADRIDGE FINANCIAL SOLUTIONS INC$3.84M23,6200.2%
ISHARES TR$3.79M81,9590.2%
Booking Holdings Inc$3.77M8950.2%
TEXAS INSTRUMENTS INC$3.73M19,2110.2%
ADOBE INC.$3.67M15,1090.1%
VANGUARD INDEX FDS$3.60M40,5420.1%
PROCTER & GAMBLE Co$3.60M24,8900.1%
BERKSHIRE HATHAWAY INC DEL$3.59M50.1%
United Parcel Service Inc$3.59M36,4610.1%
MercadoLibre, Inc.$3.57M2,0650.1%
ISHARES TR$3.48M31,2600.1%
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