MondegarAI
Denver PWM, LLC

Q2 2025 · 13F-HR

Denver PWM, LLCholdings as filed

Filed 2025-08-14 · accession 0001420506-25-001983

$320.7M
Reported value
78
Positions
2025-06-30
Period end
View analyzed profile →PRO

The Brief · Denver PWM, LLC · Q2 2025

AI · grounded in 13F

Denver PWM, LLC established a new position in SCHG valued at $31.5M. The fund also opened new positions in ISHARES TR for $20.4M and SCHV for $18.3M. Additional new entries include SCHM at $18.3M and SCHF at $17.9M. Total assets under management stand at $320.7M across 78 positions.

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
808524300SCHGSCHWAB STRATEGIC TR$31.5M9.83%1,079,507CommonNONE
46436E866ISHARES TR$20.4M6.38%875,124CommonNONE
808524409SCHVSCHWAB STRATEGIC TR$18.3M5.71%661,712CommonNONE
808524508SCHMSCHWAB STRATEGIC TR$18.3M5.69%650,802CommonNONE
808524805SCHFSCHWAB STRATEGIC TR$17.9M5.59%810,422CommonNONE
46436E858IBTGISHARES TR$17.9M5.58%780,842CommonNONE
46436E833IBTIISHARES TR$16.8M5.23%750,016CommonNONE
46436E841IBTHISHARES TR$16.7M5.21%743,351CommonNONE
78467V848TOTLSSGA ACTIVE ETF TR$16.0M4.98%397,767CommonNONE
46434V803HEFAISHARES TR$15.3M4.79%404,319CommonNONE
46436E825IBTJISHARES TR$15.1M4.72%690,448CommonNONE
47103U845JAAAJANUS DETROIT STR TR$11.4M3.57%225,355CommonNONE
46434V290SMLFISHARES TR$8.9M2.78%131,398CommonNONE
922908363VOOVANGUARD INDEX FDS$7.9M2.47%13,966CommonNONE
464287606IJKISHARES TR$7.4M2.32%81,628CommonNONE
72201R775BONDPIMCO ETF TR$6.3M1.96%68,088CommonNONE
46641Q167JAVAJ P MORGAN EXCHANGE TRADED F$5.5M1.73%84,580CommonNONE
808524201SCHXSCHWAB STRATEGIC TR$4.8M1.48%194,411CommonNONE
037833100AAPLAPPLE INC$3.8M1.18%18,389CommonNONE
46434G764EMXCISHARES INC$3.4M1.08%54,637CommonNONE
464287663IUSVISHARES TR$3.1M0.97%32,954CommonNONE
594918104MSFTMICROSOFT CORP$3.1M0.96%6,200CommonNONE
67066G104NVDANVIDIA CORPORATION$2.6M0.82%16,721CommonNONE
46434V696IPACISHARES TR$2.6M0.81%37,724CommonNONE
92189F437ANGLVANECK ETF TRUST$2.4M0.76%83,558CommonNONE
46432F842IEFAISHARES TR$2.4M0.76%29,189CommonNONE
464287499IWRISHARES TR$2.4M0.76%26,450CommonNONE
68389X105ORCLORACLE CORP$2.3M0.72%10,600CommonNONE
464287200IVVISHARES TR$2.3M0.72%3,719CommonNONE
46654Q724HELOJ P MORGAN EXCHANGE TRADED F$2.3M0.72%36,638CommonNONE
464287465EFAISHARES TR$2.2M0.70%24,995CommonNONE
22160K105COSTCOSTCO WHSL CORP NEW$2.2M0.69%2,250CommonNONE
808524607SCHASCHWAB STRATEGIC TR$2.1M0.64%81,392CommonNONE
46090E103QQQINVESCO QQQ TR$1.9M0.58%3,360CommonNONE
65250K105NMAXNEWSMAX INC$1.6M0.51%107,741CommonNONE
149123101CATCATERPILLAR INC$1.6M0.50%4,150CommonNONE
464287622IWBISHARES TR$1.1M0.34%3,222CommonNONE
464287671IUSGISHARES TR$1.0M0.33%6,934CommonNONE
30231G102XOMEXXON MOBIL CORP$1.0M0.32%9,431CommonNONE
023135106AMZNAMAZON COM INC$877,3410.27%3,999CommonNONE
46435U168IBHEISHARES TR$870,8350.27%37,447CommonNONE
47103U753JBBBJANUS DETROIT STR TR$868,9020.27%18,023CommonNONE
92343V104VZVERIZON COMMUNICATIONS INC$861,3330.27%19,906CommonNONE
808524102SCHBSCHWAB STRATEGIC TR$703,5270.22%29,523CommonNONE
922908751VBVANGUARD INDEX FDS$624,0170.19%2,633CommonNONE
921943858VEAVANGUARD TAX-MANAGED FDS$564,2280.18%9,897CommonNONE
922908736VUGVANGUARD INDEX FDS$536,9140.17%1,225CommonNONE
459200101IBMINTERNATIONAL BUSINESS MACHS$530,6040.17%1,800CommonNONE
46625H100JPMJPMORGAN CHASE & CO.$506,5050.16%1,747CommonNONE
88160R101TSLATESLA INC$499,0440.16%1,571CommonNONE
254687106DISDISNEY WALT CO$496,0780.15%4,000CommonNONE
437076102HDHOME DEPOT INC$490,1980.15%1,337CommonNONE
30303M102METAMETA PLATFORMS INC$407,7620.13%552CommonNONE
11135F101AVGOBROADCOM INC$390,0450.12%1,415CommonNONE
097023105BABOEING CO$387,2120.12%1,848CommonNONE
46434G103IEMGISHARES INC$365,2260.11%6,084CommonNONE
464287655IWMISHARES TR$358,4850.11%1,661CommonNONE
464287408IVEISHARES TR$357,2520.11%1,828CommonNONE
808513105SCHWSCHWAB CHARLES CORP$357,2420.11%3,915CommonNONE
126650100CVSCVS HEALTH CORP$356,0880.11%5,162CommonNONE
882508104TXNTEXAS INSTRS INC$353,2070.11%1,701CommonNONE
02079K305GOOGLALPHABET INC$341,1850.11%1,936CommonNONE
369604301GEGE AEROSPACE$332,8350.10%1,293CommonNONE
922908744VTVVANGUARD INDEX FDS$321,0820.10%1,817CommonNONE
110122108BMYBRISTOL-MYERS SQUIBB CO$319,4010.10%6,900CommonNONE
05464C101AXONAXON ENTERPRISE INC$298,0590.09%360CommonNONE
742718109PGPROCTER AND GAMBLE CO$296,4950.09%1,861CommonNONE
031162100AMGNAMGEN INC$287,1010.09%1,028CommonNONE
931142103WMTWALMART INC$285,1940.09%2,917CommonNONE
921937835BNDVANGUARD BD INDEX FDS$284,2860.09%3,861CommonNONE
949746101WMT2WELLS FARGO CO NEW$280,1000.09%3,496CommonNONE
78464A821MDYGSPDR SERIES TRUST$255,5740.08%2,942CommonNONE
874039100TSMTAIWAN SEMICONDUCTOR MFG LTD$245,7420.08%1,085CommonNONE
31428X106FDXFEDEX CORP$238,2210.07%1,048CommonNONE
02079K107GOOGALPHABET INC$237,9040.07%1,341CommonNONE
375558103GILDGILEAD SCIENCES INC$221,7400.07%2,000CommonNONE
78464A847SPMDSPDR SERIES TRUST$214,9650.07%3,953CommonNONE
464287507IJHISHARES TR$210,7570.07%3,398CommonNONE

Source: SEC EDGAR · raw 13F holdings as filed. The Class column shows the option type when reported (Put/Call) or Common when the issuer's equity is held directly. 13F discloses long positions only.