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Portfolio (Quarterly) Guide ↗

Gryphon Financial Partners LLC

· CIK 0001729094
13F Portfolio $935M AUM 350 positions Filed Jan 8, 2026 EDGAR ↗ ← All Funds
Q4 2025 Q3 2025 · All 30 New 202 Added 46 Reduced 21 Exited
Page 1 of 11  ·  202 positions
# Ticker Company Sector Shares Value ↓ % Port Chg Shares Chg % Period Price ① Since Period ①
1 AAPL APPLE INC Technology 167,567.0 $45.6M 4.87% +3K +2.0% $271.86 +12.2%
2 NVDA NVIDIA CORPORATION Technology 142,559.0 $26.6M 2.85% +6K +4.2% $186.50 +17.7%
3 SPY SPDR S&P 500 ETF TR Financial Services 38,440.0 $26.2M 2.80% +4K +10.2% $681.91 +8.9%
4 MSFT MICROSOFT CORP Technology 53,850.0 $26.0M 2.79% +3K +5.9% $483.62 -13.3%
5 ABBV ABBVIE INC Healthcare 88,980.0 $20.3M 2.17% +1K +1.2% $228.49 -6.1%
6 META META PLATFORMS INC Communication Services 29,253.0 $19.3M 2.07% +533.0 +1.9% $660.08 -8.0%
7 AMZN AMAZON COM INC Consumer Cyclical 67,960.0 $15.7M 1.68% +5K +7.5% $230.82 +16.3%
8 ABT ABBOTT LABS Healthcare 120,246.0 $15.1M 1.61% +2K +1.4% $125.29 -29.9%
9 BERKSHIRE HATHAWAY INC DEL 28,037.0 $14.1M 1.51% +661.0 +2.4% $502.65
10 GOOGL ALPHABET INC Communication Services 44,386.0 $13.9M 1.49% +3K +7.5% $313.00 +23.9%
11 JPM JPMORGAN CHASE & CO. Financial Services 34,656.0 $11.2M 1.20% +5K +16.4% $322.22 -6.0%
12 PG PROCTER AND GAMBLE CO Consumer Defensive 70,103.0 $10.0M 1.07% +2K +2.5% $143.31 -0.6%
13 AVGO BROADCOM INC Technology 26,066.0 $9.0M 0.96% +2K +7.3% $346.10 +19.8%
14 WMT WALMART INC Consumer Defensive 62,840.0 $7.0M 0.75% +2K +3.9% $111.41 +17.4%
15 IJH ISHARES TR 90,940.0 $6.0M 0.64% +15K +19.0% $66.00 +10.5%
16 LLY ELI LILLY & CO Healthcare 5,203.0 $5.6M 0.60% +224.0 +4.5% $1074.63 -3.1%
17 MA MASTERCARD INCORPORATED Financial Services 9,323.0 $5.3M 0.57% +500.0 +5.7% $570.90 -12.5%
18 TSLA TESLA INC Consumer Cyclical 11,628.0 $5.2M 0.56% +660.0 +6.0% $449.73 -7.2%
19 EFA ISHARES TR 53,061.0 $5.1M 0.55% +8K +18.4% $96.03 +8.5%
20 IWR ISHARES TR 48,271.0 $4.6M 0.50% +9K +24.4% $96.27 +9.1%
Page 1 of 11  ·  202 positions

Period Price is the implied market price on the last day of the reporting period, calculated as reported value ÷ shares held. It is not the fund's purchase price or cost basis — the fund may have initiated or added to the position at any point during the quarter at a different price. Since Period shows the price change from that quarter-end snapshot to today's last price — it reflects stock movement after the report date, not the fund's actual return.

Sector Allocation
Technology 30.9%
Financial Services 15.9%
Communication Services 14.4%
Healthcare 13.0%
Consumer Cyclical 6.5%
Industrials 5.5%
Consumer Defensive 5.0%
Energy 4.7%
Utilities 2.2%
Basic Materials 1.0%