CIK 1767306
Vanguard Personalized Indexing Management, LLC
Institutional 13F holdings & portfolio
Holdings
1,975
Portfolio Value
$1M+
Latest Report
Dec 31, 2025
Report Periods
4
Holdings
13F filings as of Dec 31, 2025 · Showing 1–50 of 1,975
| Ticker | Company | Shares | Value | Type |
|---|---|---|---|---|
| NVDA | NVIDIA CORPORATION | 3.6M | $1M+ | SH |
| AAPL | APPLE INC | 2.3M | $1M+ | SH |
| MSFT | MICROSOFT CORP | 1.1M | $1M+ | SH |
| GOOGL | ALPHABET INC | 1.1M | $1M+ | SH |
| AMZN | AMAZON COM INC | 1.4M | $1M+ | SH |
| AVGO | BROADCOM INC | 793K | $1M+ | SH |
| META | META PLATFORMS INC | 323K | $1M+ | SH |
| TSLA | TESLA INC | 393K | $1M+ | SH |
| GOOG | ALPHABET INC | 548K | $1M+ | SH |
| JPM | JPMORGAN CHASE & CO. | 484K | $1M+ | SH |
| LLY | ELI LILLY & CO | 134K | $1M+ | SH |
| BRK.B | BERKSHIRE HATHAWAY INC DEL | 229K | $1M+ | SH |
| V | VISA INC | 275K | $1M+ | SH |
| WMT | WALMART INC | 763K | $1M+ | SH |
| MA | MASTERCARD INCORPORATED | 135K | $1M+ | SH |
| JNJ | JOHNSON & JOHNSON | 325K | $1M+ | SH |
| ABBV | ABBVIE INC | 294K | $1M+ | SH |
| NFLX | NETFLIX INC | 703K | $1M+ | SH |
| XOM | EXXON MOBIL CORP | 537K | $1M+ | SH |
| COST | COSTCO WHSL CORP NEW | 69K | $1M+ | SH |
| PLTR | PALANTIR TECHNOLOGIES INC | 315K | $1M+ | SH |
| ORCL | ORACLE CORP | 279K | $1M+ | SH |
| BAC | BANK AMERICA CORP | 933K | $1M+ | SH |
| CSCO | CISCO SYS INC | 652K | $1M+ | SH |
| AMD | ADVANCED MICRO DEVICES INC | 227K | $1M+ | SH |
| HD | HOME DEPOT INC | 138K | $1M+ | SH |
| GE | GE AEROSPACE | 146K | $1M+ | SH |
| MU | MICRON TECHNOLOGY INC | 156K | $1M+ | SH |
| CAT | CATERPILLAR INC | 77K | $1M+ | SH |
| MRK | MERCK & CO INC | 386K | $1M+ | SH |
| PG | PROCTER AND GAMBLE CO | 274K | $1M+ | SH |
| GS | GOLDMAN SACHS GROUP INC | 45K | $1M+ | SH |
| IBM | INTERNATIONAL BUSINESS MACHS | 132K | $1M+ | SH |
| RTX | RTX CORPORATION | 213K | $1M+ | SH |
| WFC | WELLS FARGO CO NEW | 413K | $1M+ | SH |
| UNH | UNITEDHEALTH GROUP INC | 116K | $1M+ | SH |
| LRCX | LAM RESEARCH CORP | 216K | $1M+ | SH |
| AMAT | APPLIED MATLS INC | 143K | $1M+ | SH |
| KO | COCA COLA CO | 516K | $1M+ | SH |
| TSM | TAIWAN SEMICONDUCTOR MFG LTD | 118K | $1M+ | SH |
| MS | MORGAN STANLEY | 197K | $1M+ | SH |
| ISRG | INTUITIVE SURGICAL INC | 60K | $1M+ | SH |
| CVX | CHEVRON CORP NEW | 222K | $1M+ | SH |
| AXP | AMERICAN EXPRESS CO | 91K | $1M+ | SH |
| TJX | TJX COS INC NEW | 218K | $1M+ | SH |
| MCD | MCDONALDS CORP | 109K | $1M+ | SH |
| APH | AMPHENOL CORP NEW | 243K | $1M+ | SH |
| ABT | ABBOTT LABS | 255K | $1M+ | SH |
| PM | PHILIP MORRIS INTL INC | 194K | $1M+ | SH |
| CRM | SALESFORCE INC | 117K | $1M+ | SH |