Back to Wynn Capital, LLC

Wynn Capital, LLC

All holdings · as of Dec 31, 2025

109 positions

CompanyClassValueShares% of portfolio
Salesforce Inc$202.4K7640.1%
HOME DEPOT, INC.$205.3K5970.1%
ELI LILLY & Co$209.6K1950.1%
AFLAC INC$221.1K2,0050.1%
ISHARES TR$226.7K3310.1%
S&P Global Inc.$233.1K4460.1%
Chipotle Mexican Grill Inc$238.7K6,4500.1%
VANGUARD INDEX FDS$240.0K4920.1%
KIMBERLY CLARK CORP$264.9K2,6260.1%
Uber Technologies, Inc$271.8K3,3260.1%
EQUITY RESIDENTIAL$275.0K4,3620.1%
CEMEX SAB DE CVCXADR$275.8K24,0000.1%
INTUIT INC.$301.4K4550.1%
KROGER CO$310.0K4,9610.2%
LINDE PLC$313.0K7340.2%
United Parcel Service Inc$317.0K3,1950.2%
AMBEV S.A.ABEVADR$322.7K130,6400.2%
Union Pacific Corp$323.4K1,3980.2%
GE HealthCare Technologies Inc.$328.7K4,0080.2%
DOVER Corp$334.8K1,7150.2%
Visa Inc$335.7K9570.2%
Accenture plc$346.9K1,2930.2%
SANOFI$349.4K7,2110.2%
General Motors Co$351.7K4,3250.2%
DANAHER CORP /DE$351.9K1,5370.2%
TRUIST FINANCIAL CORP$352.6K7,1660.2%
NOVO-NORDISK A S$358.4K7,0450.2%
VANGUARD BD INDEX FDS$370.4K4,7000.2%
PAYCHEX INC$370.8K3,3050.2%
SHOPIFY INC$372.6K2,3150.2%
Chubb Ltd$384.2K1,2310.2%
ISHARES TR$398.7K7,4000.2%
Polaris Inc.$405.6K6,4130.2%
DIAGEO PLC$430.8K4,9940.2%
Medtronic plc$431.7K4,4940.2%
SOUTHERN CO$438.3K5,0260.2%
Alphabet Inc.$467.0K1,4920.2%
Toast, Inc.$488.4K13,7550.2%
US BANCORP \DE$516.5K9,6800.3%
T Rowe Price Group Inc$519.3K5,0720.3%
ISHARES GOLD TR$539.5K6,6460.3%
Airbnb, Inc.$577.1K4,2520.3%
EMERSON ELECTRIC CO$584.9K4,4070.3%
ABBOTT LABORATORIES$593.7K4,7380.3%
PayPal Holdings, Inc.$608.8K10,4280.3%
EXPEDITORS INTERNATIONAL OF WASHINGTON INC$618.2K4,1490.3%
Comcast Corp.$629.1K21,0460.3%
ISHARES TR$682.2K12,9000.3%
DEERE & CO$727.7K1,5630.4%
Check Point Software Technologies Ltd$738.5K3,9800.4%
← PrevPage 1 of 3Next →