Universe · entity

MV CAPITAL MANAGEMENT, INC.

Institutional manager (13F) · CIK 1633366
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $855M
#IssuerValueShares
1ISHARES TR$73M340,930
2ISHARES TR$66M153,799
3ISHARES TR$64M98,557
4ABBVIE INC$59M270,562
5ISHARES TR$43M606,247
6ISHARES TR$30M266,271
7ABBOTT LABORATORIES$29M282,498
8ISHARES TR$26M286,978
9ISHARES TR$24M937,221
10ISHARES TR$21M857,584
11ISHARES TR$21M97,684
12ISHARES TR$20M871,158
13ISHARES TR$20M920,078
14ISHARES TR$20M794,471
15APPLE INC$20M78,935
16ISHARES TR$20M773,344
17NVIDIA CORPORATION$19M110,258
18ISHARES TR$19M912,123
19ISHARES TR$19M730,868
20ISHARES TR$18M751,427
21ISHARES TR$16M695,613
22ISHARES TR$15M157,477
23ISHARES TR$14M605,306
24ISHARES TR$12M459,201
25ISHARES TR$11M113,017
26MICROSOFT CORP$11M29,461
27SELECT SECTOR SPDR TR$10M73,952
28ISHARES TR$9M417,856
29FIDELITY COVINGTON TRUST$9M184,137
30MICRON TECHNOLOGY INC$9M27,176
31JPMORGAN CHASE & CO$9M28,912
32ISHARES TR$8M23,409
33ALPHABET INC$8M27,399
34WALMART INC$7M59,714
35CATERPILLAR INC$7M9,757
36LAM RESEARCH CORP$7M31,319
37ISHARES INC$6M83,587
38ISHARES TR$5M32,822
39ISHARES TR$5M92,365
40ALPHABET INC$5M17,119
41ISHARES TR$5M48,920
42TJX COS INC NEW$5M29,465
43VISA INC$5M15,306
44COSTCO WHOLESALE CORPORATION$5M4,560
45PROCTER & GAMBLE CO$4M28,531
46ISHARES INC$4M64,445
47ECOLAB INC$4M14,992
48VANGUARD INDEX FDS$4M20,159
49MONOLITHIC PWR SYS INC$4M3,567
50GARMIN LTD$4M16,654
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.