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Bowman & Co S.C.

All holdings · as of Dec 31, 2025

118 positions

CompanyClassValueShares% of portfolio
VANGUARD INDEX FDS$32.93M52,50113.9%
AMERICAN CENTY ETF TR$11.51M112,9044.8%
ISHARES TR$8.79M87,9653.7%
JPMORGAN CHASE & CO$8.27M25,6503.5%
Apple Inc.$8.13M29,8873.4%
Broadcom Inc.$8.07M23,3113.4%
MICROSOFT CORP$7.27M15,0243.1%
JANUS DETROIT STR TR$7.16M141,6163.0%
ISHARES TR$5.92M66,1352.5%
VANGUARD MUN BD FDS$5.57M110,7952.3%
Walmart Inc.$4.97M44,5822.1%
Alphabet Inc.$4.42M14,1221.9%
Motorola Solutions, Inc.$3.83M9,9881.6%
Eaton Corp plc$3.61M11,3321.5%
ISHARES TR$3.55M53,7681.5%
WISDOMTREE TR$3.36M36,0541.4%
VANGUARD WHITEHALL FDS$3.26M22,7431.4%
HOME DEPOT, INC.$3.21M9,3271.4%
Trane Technologies plc$3.07M7,8951.3%
iShares MSCI UAE ETF$2.92M31,0201.2%
ANALOG DEVICES INC$2.79M10,2861.2%
Meta Platforms Inc$2.70M4,0771.1%
Chubb Ltd$2.67M8,5581.1%
VANGUARD INDEX FDS$2.67M5,4771.1%
CME Group Inc$2.51M9,1951.1%
JOHNSON & JOHNSON$2.48M11,9601.0%
Marathon Petroleum Corp$2.46M15,1011.0%
AbbVie Inc.$2.43M10,6471.0%
Johnson Controls International plc$2.32M19,4131.0%
Visa Inc$2.31M6,5801.0%
TJX Cos Inc/The$2.24M14,6050.9%
VANGUARD WORLD FD$2.03M4,9180.9%
ISHARES TR$1.97M15,9950.8%
ADVANCED MICRO DEVICES INC$1.91M8,9180.8%
Medtronic plc$1.78M18,4860.7%
DARDEN RESTAURANTS INC$1.74M9,4610.7%
Amazon.com Inc$1.71M7,4130.7%
GE Vernova Inc.$1.70M2,6050.7%
VANGUARD INDEX FDS$1.67M5,7570.7%
REALTY INCOME CORP$1.67M29,5760.7%
VANGUARD WORLD FD$1.66M11,7880.7%
CUMMINS INC$1.57M3,0710.7%
Salesforce Inc$1.55M5,8390.7%
Air Products & Chemicals, Inc.$1.54M6,2230.6%
S&P Global Inc.$1.50M2,8650.6%
UNITEDHEALTH GROUP INC$1.43M4,3110.6%
ALLSTATE CORP$1.42M6,7980.6%
FRANKLIN TEMPLETON ETF TR$1.41M56,8190.6%
VANECK ETF TRUST$1.39M79,3050.6%
VERIZON COMMUNICATIONS INC$1.38M34,0050.6%
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