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Vista Capital Partners, Inc.

All holdings · as of Dec 31, 2025

152 positions

CompanyClassValueShares% of portfolio
iShares Russell Midcap ETF$956.6K9,9370.1%
FlexShares Quality Dividend ETF$950.5K11,7620.1%
MICRON TECHNOLOGY INC$942.4K3,3020.1%
On Holding AG Ord Class A$924.3K19,8870.1%
Pacific West Bancorp Ord$886.8K74,2070.1%
CHEVRON CORP$841.7K5,5230.1%
iShares Emerging Markets Dividend ETF$840.0K26,9570.1%
Tesla Inc$830.2K1,8460.1%
Meta Platforms Inc$830.0K1,2570.1%
THERMO FISHER SCIENTIFIC INC.$809.5K1,3970.1%
iShares Russell Microcap Index Fund$787.4K4,9930.1%
DFA Tax-Managed US Marketwide Value II$767.6K16,4760.1%
SOUTHERN CO$761.3K8,7310.1%
DFA U.S. Small Cap Value ETF$760.4K23,1200.1%
DFA U.S. Vector Equity ETF$755.6K12,6390.1%
iShares Barclays Agg. Bond Index Fund$746.0K7,4690.1%
EXXON MOBIL CORP$701.8K5,8320.1%
Vanguard Emerging Markets Fund$692.4K12,8790.1%
iShares MSCI UAE ETF$671.7K7,1340.1%
iShares Core MSCI Emerging Markets ETF$656.8K9,7710.1%
BANK OF AMERICA CORP /DE$655.4K11,9160.1%
Air Products & Chemicals, Inc.$653.6K2,6460.1%
CAPITAL ONE FINANCIAL CORP$650.3K2,6830.1%
ADOBE INC.$641.2K1,8320.1%
CUMMINS INC$640.1K1,2540.1%
Ishares Trust S&p Smallcap 600/barra Value Index F$618.8K5,4410.1%
Cameco Corp$596.1K6,5150.1%
iShares MSCI UAE ETF$595.5K4,0050.1%
Vanguard Int-Term Treasury Fund$594.2K9,9150.1%
PORTLAND GENERAL ELECTRIC CO /OR$581.9K12,1260.1%
INTEL CORP$545.5K14,7820.1%
CATERPILLAR INC$544.8K9510.1%
Ishares Silver TRUST$525.7K8,1610.1%
Avantis International Equity Fund$521.8K6,3390.1%
iShares MSCI EAFE Index Fund$520.8K5,4230.1%
iShares International Treasury Fund$515.3K12,3700.1%
Parker-Hannifin Corp$511.6K5820.1%
Schwab U.S. TIPS Fund$506.1K19,1040.0%
PUBLIC SERVICE ENTERPRISE GROUP INC$501.6K6,2460.0%
Diamonds TRUST Series I$500.0K1,0400.0%
ORACLE CORP$498.2K2,5560.0%
WELLS FARGO & COMPANY/MN$497.5K5,3380.0%
AbbVie Inc.$490.8K2,1480.0%
Schwab U.S. Large Cap Value Fund$490.0K16,5500.0%
Visa Inc$469.3K1,3380.0%
Technology Select Sector SPDR ETF$461.3K3,2040.0%
Walmart Inc.$456.0K4,0930.0%
ALLSTATE CORP$436.7K2,0980.0%
COLGATE PALMOLIVE CO$435.2K5,5080.0%
AMPHENOL CORP /DE$431.4K3,1920.0%
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