Ridge Creek Global, Inc - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 13, 2026, for the 2025 Q4 period, Ridge Creek Global, Inc held in its portfolio 86 assets valued at $119,179,150 (i.e. $119.18M).

The most valuable assets in the portfolio included: VANGUARD INDEX FDS ($19.25M), VANGUARD WORLD FD ($6.87M), and MICROSOFT CORP ($5.15M).

The chart below shows the top 10 valuable assets, and the table below shows the top 86 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in Ridge Creek Global, Inc Portfolio
VANGUARD INDEX FDS
VANGUARD WORLD FD
MICROSOFT CORP
ISHARES GOLD TR
NEWMONT CORP
APPLE INC
ISHARES TR
ALPHABET INC
AGNICO EAGLE MINES LTD
EATON CORP PLC
Ridge Creek Global, Inc - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
VANGUARD INDEX FDS 57410 19248002 TOTAL STK MKT
VANGUARD WORLD FD 9111 6867690 INF TECH ETF
MICROSOFT CORP 10654 5152487 COM
ISHARES GOLD TR 60206 4886921 ISHARES NEW
NEWMONT CORP 48395 4832241 COM
APPLE INC 14234 3869655 COM
ISHARES TR 39840 3825835 MSCI EAFE ETF
ALPHABET INC 11695 3660535 CAP STK CL A
AGNICO EAGLE MINES LTD 20872 3538430 COM
EATON CORP PLC 8443 2689180 SHS
INVESCO CURRENCYSHARES SWISS 21553 2405315 SWISS FRANC
RTX CORPORATION 11700 2145780 COM
AMENTUM HOLDINGS INC 70888 2055752 COM
CUMMINS INC 3984 2033633 COM
JPMORGAN CHASE & CO. 5890 1897876 COM
ISHARES TR 32964 1743136 ISHS 1-5YR INVS
HILTON WORLDWIDE HLDGS INC 5810 1668980 COM
AUTOMATIC DATA PROCESSING IN 6264 1611289 COM
QUANTA SVCS INC 3800 1603828 COM
WISDOMTREE TR 22866 1527471 US MIDCAP FUND
WISDOMTREE TR 16960 1516741 US QTLY DIV GRT
DISNEY WALT CO 12442 1415526 COM
STRYKER CORPORATION 4003 1406934 COM
VANGUARD INDEX FDS 6460 1350915 EXTEND MKT ETF
ISHARES TR 8889 1317083 US INDUSTRIALS
BERKSHIRE HATHAWAY INC DEL 2619 1316440 CL B NEW
VANGUARD SPECIALIZED FUNDS 5825 1280219 DIV APP ETF
HONEYWELL INTL INC 6342 1237261 COM
ALCON AG 15442 1216984 ORD SHS
SHERWIN WILLIAMS CO 3580 1160027 COM
FIRST SOLAR INC 4362 1139485 COM
SPDR S&P 500 ETF TR 1513 1031745 TR UNIT
INVITATION HOMES INC 35560 988212 COM
ISHARES TR 17814 974604 MSCI EMG MKT ETF
ALPHABET INC 2917 915355 CAP STK CL C
TETRA TECH INC NEW 27165 911114 COM
BLOOM ENERGY CORP 10043 872636 COM CL A
ISHARES TR 7824 847809 U.S. UTILITS ETF
J P MORGAN EXCHANGE TRADED F 16644 842020 ULTRA SHRT ETF
HUDBAY MINERALS INC 41115 816133 COM
FLEX LTD 13260 801169 ORD
CINCINNATI FINL CORP 4500 734940 COM
LINDE PLC 1586 676255 SHS
PROCTER AND GAMBLE CO 4704 674130 COM
ISHARES TR 6985 672516 JPMORGAN USD EMG
HECLA MNG CO 35000 671650 COM
PROGRESSIVE CORP 2895 659249 COM
NEXTERA ENERGY INC 7976 640313 COM
CHEVRON CORP NEW 3995 608878 COM
NVIDIA CORPORATION 3255 607058 COM
CHIPOTLE MEXICAN GRILL INC 14227 526399 COM
MASTEC INC 2400 521688 COM
CONSTELLATION ENERGY CORP 1455 514008 COM
TOYOTA MOTOR CORP 2308 494050 ADS
ZOETIS INC 3851 484533 CL A
RIO TINTO PLC 5875 470176 SPONSORED ADR
SUNRUN INC 25400 467360 COM
ISHARES TR 4601 459548 CORE US AGGBD ET
SOUTHERN CO 5099 444633 COM
ALBEMARLE CORP 2937 415409 COM
JACOBS SOLUTIONS INC 3131 414732 COM
FREEPORT-MCMORAN INC 7972 404898 CL B
ISHARES TR 1570 386523 RUSSELL 2000 ETF
DUKE ENERGY CORP NEW 3193 374252 COM NEW
BROADCOM INC 1020 353022 COM
ENPHASE ENERGY INC 10985 352069 COM
SEMPRA 3987 352012 COM
AIR PRODS & CHEMS INC 1382 341382 COM
NOVO-NORDISK A S 6610 336317 ADR
AMGEN INC 1019 333529 COM
PEPSICO INC 2192 314596 COM
ORMAT TECHNOLOGIES INC 2811 310531 COM
EXELON CORP 6999 305086 COM
SHOALS TECHNOLOGIES GROUP IN 35750 303875 CL A
ADVISORS SER TR 5348 294145 SCHARF ETF
AES CORP 20000 286800 COM
ENERSYS 1830 268553 COM
CONOCOPHILLIPS 2745 256959 COM
BROOKFIELD RENEWABLE CORP 6523 250092 CL A EX SUB VTG
ISHARES TR 3840 249984 US HLTHCARE ETF
SHELL PLC 3093 227274 SPON ADS
JFROG LTD 3637 227167 ORD SHS
AMERICAN EXPRESS CO 600 221970 COM
AMAZON COM INC 950 219279 COM
VANGUARD WHITEHALL FDS 1495 214562 HIGH DIV YLD
XPLR INFRASTRUCTURE LP 21430 214300 COM UNIT PART IN