Universe · entity

First Affirmative Financial Network

Institutional manager (13F) · CIK 1656282
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $123M
#IssuerValueShares
1SPDR SERIES TRUST$12M93,214
2SPDR SERIES TRUST$9M307,054
3NVIDIA CORPORATION$8M43,992
4APPLE INC$7M28,856
5MICROSOFT CORP$7M13,041
6VANGUARD SCOTTSDALE FDS$7M111,216
7ISHARES TR$5M42,625
8ALPHABET INC$4M17,944
9TIDAL TRUST I$4M213,200
10TAIWAN SEMICONDUCTOR MFG LTD$3M11,475
11ALPHABET INC$3M12,621
12AMAZON COM INC$3M12,970
13MASTERCARD INCORPORATED$3M4,946
14CISCO SYS INC$2M30,543
15VISA INC$2M6,028
16BROADCOM INC$2M6,054
17PROCTER AND GAMBLE CO$2M12,962
18SAP SE$2M7,291
19NETFLIX INC$2M1,455
20PIMCO ETF TR$2M16,683
21META PLATFORMS INC$2M2,210
22AMERICAN EXPRESS CO$2M4,792
23APPLIED MATLS INC$2M7,357
24CHUNGHWA TELECOM CO LTD$1M33,932
25ORACLE CORP$1M5,149
26NOVARTIS AG$1M10,962
27PROSHARES TR$1M49,284
28JOHNSON & JOHNSON$1M7,401
29ASML HOLDING N V$1M1,356
30ELI LILLY & CO$1M1,673
31EA SERIES TRUST$1M45,592
32ABBVIE INC$1M5,307
33STRYKER CORPORATION$1M3,223
34AUTOMATIC DATA PROCESSING IN$1M3,913
35UNILEVER PLC$1M18,249
36TESLA INC$1M2,416
37HOME DEPOT INC$1M2,517
38COSTCO WHSL CORP NEW$988k1,067
39AMERICAN CENTY ETF TR$974k19,392
40ASTRAZENECA PLC$973k12,685
41LINDE PLC$935k1,968
42DANAHER CORPORATION$926k4,669
43THERMO FISHER SCIENTIFIC INC$892k1,838
44ADVANCED MICRO DEVICES INC$871k5,383
45ISHARES TR$846k7,925
46INTERNATIONAL BUSINESS MACHS$841k2,980
47SALESFORCE INC$831k3,507
48INTUIT$829k1,214
49TELEFONICA S A$822k161,830
50SERVICENOW INC$821k892
All filings on EDGAR ↗

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