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Disclosed positions
Third View Private Wealth, LLC: source evidence dated 2026-07-28T03:59:59.999Z.
- Issuer
- NVIDIA CORPORATION
- Ticker
- NVDA
- Class
- COM
- Reported value
- $59,591,986
- Reported amount
- 297,826
- Unit
- SH
- Option
- None
The displayed owner or issuer and source fields identify the receipt to verify; keep reporting and availability dates separate.
What was reported for this quarter?
13F positions are dated quarter-end holdings, with later publication and possible amendments. Read report period and availability before calling them current.
SEC 13F-HR: 0002083406-26-000003Open the effective filing receipt and inspect shares, value and any put/call classification separately.
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Open the effective filing receipt and inspect shares, value and any put/call classification separately.
Browse institutional filingsKeep reporting dates and units beside the answer, and inspect its original citations.
Disclosed positions
See the complete disclosed positions
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| NVIDIA CORPORATION | NVDA | COM | $59,591,986 | 297,826 | SH | None |
| AMAZON COM INC | AMZN | COM | $30,613,940 | 128,447 | SH | None |
| MICROSOFT CORP | MSFT | COM | $29,988,367 | 80,393 | SH | None |
| ALPHABET INC | GOOGL | CAP STK CL A | $29,716,879 | 83,154 | SH | None |
| ISHARES TR | TLT | 20 YR TR BD ETF | $29,614,154 | 342,677 | SH | None |
| META PLATFORMS INC | META | CL A | $26,296,414 | 46,684 | SH | None |
| TESLA INC | TSLA | COM | $26,120,799 | 62,104 | SH | None |
| ALPHABET INC | GOOG | CAP STK CL C | $22,552,055 | 63,827 | SH | None |
| APPLE INC | AAPL | COM | $22,125,620 | 76,464 | SH | None |
| VISA INC | V | COM CL A | $20,925,313 | 60,991 | SH | None |
| STATE STR SPDR S&P 500 ETF T | SPY | TR UNIT | $17,837,377 | 23,886 | SH | None |
| VANGUARD INDEX FDS | VUG | GROWTH ETF | $17,102,563 | 198,544 | SH | None |
| BOEING CO | BA | COM | $13,979,665 | 64,580 | SH | None |
| NETFLIX INC. | NFLX | COM | $13,361,582 | 187,137 | SH | None |
| ORACLE CORP | ORCL | COM | $11,974,410 | 81,709 | SH | None |
| ANALOG DEVICES INC | ADI | COM | $11,376,109 | 28,643 | SH | None |
| MONSTER BEVERAGE CORP NEW | MNST | COM | $10,555,960 | 109,821 | SH | None |
| EXXON MOBIL CORP | XOM | COM | $9,123,133 | 66,729 | SH | None |
| WILLIAMS COS INC | WMB | COM | $8,991,742 | 120,954 | SH | None |
| VERTEX PHARMACEUTICALS INC | VRTX | COM | $8,874,741 | 17,866 | SH | None |
| JPMORGAN CHASE & CO | JPM | COM | $8,109,723 | 24,775 | SH | None |
| SHOPIFY INC | SHOP | CL A SUB VTG SHS | $8,020,138 | 70,241 | SH | None |
| BROADCOM INC | AVGO | COM | $7,927,720 | 20,987 | SH | None |
| DISNEY WALT CO | DIS | COM | $6,917,285 | 71,868 | SH | None |
| TAIWAN SEMICONDUCTOR MANUFAC | TSM | SPONSORED ADS | $6,586,673 | 13,792 | SH | None |
| APOLLO GLOBAL MGMT INC | APO | COM | $6,383,292 | 53,954 | SH | None |
| VULCAN MATLS CO | VMC | COM | $6,300,010 | 21,355 | SH | None |
| AIR PRODUCTS AND CHEMICALS I | APD | COM | $5,575,197 | 19,016 | SH | None |
| COCA COLA CO | KO | COM | $5,357,457 | 65,922 | SH | None |
| MARSH & MCLENNAN COS INC | MRSH | COM | $5,331,583 | 31,989 | SH | None |
| TEXAS INSTRS INC | TXN | COM | $5,086,565 | 17,065 | SH | None |
| BLACKSTONE INC | BX | COM | $5,005,349 | 42,537 | SH | None |
| REGENERON PHARMACEUTICALS | REGN | COM | $5,005,182 | 8,027 | SH | None |
| AUTODESK INC | ADSK | COM | $4,844,363 | 24,917 | SH | None |
| UNILEVER PLC | UL | SPON ADR NEW | $4,791,657 | 79,702 | SH | None |
| UNION PAC CORP | UNP | COM | $4,540,367 | 16,693 | SH | None |
| PUBLIC STORAGE | PSA | COM | $4,435,633 | 13,935 | SH | None |
| JOHNSON & JOHNSON | JNJ | COM | $4,420,127 | 17,404 | SH | None |
| LINDE PLC | LIN | SHS | $4,388,250 | 8,456 | SH | None |
| BECTON DICKINSON & CO | BDX | COM | $4,007,621 | 26,483 | SH | None |
| STARBUCKS CORP | SBUX | COM | $3,993,688 | 39,081 | SH | None |
| OTIS WORLDWIDE CORP | OTIS | COM | $3,976,172 | 55,533 | SH | None |
| SALESFORCE INC | CRM | COM | $3,957,270 | 25,260 | SH | None |
| CVS HEALTH CORP | CVS | COM | $3,887,177 | 37,575 | SH | None |
| HALEON PLC | HLN | SPON ADS | $3,847,961 | 412,429 | SH | None |
| BERKSHIRE HATHAWAY INC DEL | BRK.B | CL B NEW | $3,839,448 | 7,673 | SH | None |
| COMCAST CORP NEW | CMCSA | CL A | $3,834,826 | 156,205 | SH | None |
| AUTOMATIC DATA PROCESSING IN | ADP | COM | $3,696,093 | 16,504 | SH | None |
| EXPEDITORS INTL WASH INC | EXPD | COM | $3,672,580 | 22,534 | SH | None |
| THERMO FISHER SCIENTIFIC INC | TMO | COM | $3,635,230 | 7,251 | SH | None |
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Largest 50 positions by reported value; the filing may contain more positions.
How amendments affect these holdings
This view uses 1 effective filing version(s). A restatement replaces the previous book; a new-holdings amendment adds positions. 2 positions lack a resolved ticker and 3 positions are put or call entries.
A 13F is a delayed quarterly snapshot of disclosed holdings. It is not a complete trade ledger and does not reveal every position in a manager's portfolio. Option values refer to the reported underlying position rather than a traded option premium.
Quarter end and public filing date
Use the filing's public availability date when constructing a historical observation. The quarter-end report period is earlier and cannot be substituted for when the public learned the holdings.
