Agate Pass Investment Management, LLC

Holdings as of 2026-06-30, filed 2026-07-08

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 8 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
109
Value reported by manager
$271.2M
Sum of our stored positions
$271.2M
should match the line above
Disclosure lag
8 d
quarter end to filing
Top 5 concentration
25.3%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls

Positions

109 largest shown
IssuerClassValueSharesTypeCUSIP
ALPHABET INCCAP STK CL A$15.6M43,70602079K305
APPLE INCCOM$13.7M47,267037833100
ABBVIE INCCOM$13.7M54,30600287Y109
VANGUARD INDEX FDSS&P 500 ETF SHS$13.1M19,071922908363
VANGUARD INDEX FDSSMALL CP ETF$12.5M41,287922908751
VANGUARD INDEX FDSGROWTH ETF$9.8M113,467922908736
MICROSOFT CORPCOM$9.6M25,850594918104
VANGUARD INTL EQUITY INDEX FALLWRLD EX US$8.3M99,457922042775
JPMORGAN CHASE & COCOM$7.8M23,95846625H100
AMAZON COM INCCOM$7.1M29,602023135106
SELECT SECTOR SPDR TRST STR TECHN ETF$6.9M36,07581369Y803
JOHNSON & JOHNSONCOM$6.7M26,564478160104
CISCO SYS INCCOM$6.7M56,81917275R102
ISHARES TRISHS 1-5YR INVS$5.6M106,227464288646
ISHARES TRISHS 5-10YR INVT$5.3M100,402464288638
APPLIED MATLS INCCOM$5M6,945038222105
ISHARES TRULTRA SHORT DUR$4.6M90,71346434V878
ABBOTT LABORATORIESCOM$4.6M50,479002824100
ALPHABET INCCAP STK CL C$4.2M12,00402079K107
RTX CORPORATIONCOM$3.8M20,12275513E101
MASTERCARD INCORPORATEDCL A$3.5M6,87757636Q104
TEXAS INSTRS INCCOM$3.5M11,620882508104
HUBBELL INCCOM$3.3M6,343443510607
CORPAY INCCOM SHS$3.1M9,292219948106
VANGUARD SCOTTSDALE FDSSHRT TRM CORP BD$3M37,57092206C409
PEPSICO INCCOM$2.9M21,162713448108
LOWES COS INCCOM$2.8M12,522548661107
COSTCO WHOLESALE CORPORATIONCOM$2.7M2,90322160K105
PROLOGIS INC.COM$2.7M19,92974340W103
BANK OF NY MELLON CORPCOM$2.6M17,690064058100
STATE STR SPDR S&P 500 ETF TTR UNIT$2.5M3,32778462F103
DANAHER CORP DELCOM$2.4M12,592235851102
BERKSHIRE HATHAWAY INC DELCL B NEW$2.3M4,646084670702
BERKLEY W R CORPCOM$2.2M31,899084423102
PROCTER & GAMBLE COCOM$2.2M14,953742718109
VANGUARD SCOTTSDALE FDSINT-TERM CORP$2M24,65392206C870
EXXON MOBIL CORPCOM$2M14,68030231G102
WELLTOWER INCCOM$2M8,78595040Q104
TRAVELERS COMPANIES INCCOM$2M6,02589417E109
ORACLE CORPCOM$2M13,41068389X105
VISA INCCOM CL A$1.9M5,60792826C839
ENBRIDGE INCCOM$1.9M34,65729250N105
SCHWAB STRATEGIC TRUS DIVIDEND EQ$1.8M57,979808524797
CHEVRON CORPORATIONCOM$1.8M10,958166764100
INTERNATIONAL BUSINESS MACHSCOM$1.8M6,393459200101
ROCKWELL AUTOMATION INCCOM$1.8M3,630773903109
AUTOMATIC DATA PROCESSING INCOM$1.7M7,802053015103
VANGUARD MUN BD FDSTAX EXEMPT BD$1.7M33,989922907746
AIR PRODUCTS AND CHEMICALS ICOM$1.7M5,762009158106
NOVARTIS AGSPONSORED ADR$1.6M9,95066987V109
NORTHERN TR CORPCOM$1.5M8,595665859104
STARBUCKS CORPCOM$1.3M13,195855244109
AFLAC INCCOM$1.3M11,271001055102
ISHARES TRCORE S&P500 ETF$1.3M1,714464287200
MARRIOTT INTL INC NEWCL A$1.3M3,391571903202
SELECT SECTOR SPDR TRST STR DISCR ETF$1.2M10,54781369Y407
WOODWARD INCCOM$1.2M2,890980745103
AMGEN INCCOM$1.2M3,394031162100
SPDR SERIES TRUSTST STR SP DIV$1.1M7,29378464A763
VANGUARD SPECIALIZED FUNDSDIV APP ETF$1.1M4,501921908844
VANGUARD INDEX FDSTOTAL STK MKT$1M2,723922908769
LINDE PLCSHS$978.9K1,886G54950103
ISHARES TRRUSSELL 2000 ETF$956.2K3,183464287655
INVESCO QQQ TRUNIT SER 1$954.5K1,29646090E103
J P MORGAN EXCHANGE TRADED FULTRA SHRT ETF$923.5K18,26246641Q837
MEDTRONIC PLCSHS$901K11,517G5960L103
MERCK & CO INCCOM$873.8K6,80058933Y105
VANGUARD INDEX FDSSM CP VAL ETF$851.2K3,503922908611
SELECT SECTOR SPDR TRST STR CARE ETF$821.9K5,18081369Y209
SELECT SECTOR SPDR TRST STR ENERG ETF$811.8K15,28581369Y506
BLACKROCK INCCOM$809K84109290D101
PARKER-HANNIFIN CORPCOM$793.3K811701094104
UNITEDHEALTH GROUP INCCOM$729.8K1,75691324P102
DIGITAL RLTY TR INCCOM$712K3,965253868103
COPART INCCOM$693.5K24,600217204106
SELECT SECTOR SPDR TRST STR SVC ETF$609.4K5,68881369Y852
SYSCO CORPCOM$594.6K7,114871829107
VANGUARD INDEX FDSSML CP GRW ETF$557.3K1,524922908595
PRUDENTIAL FINL INCCOM$534.3K4,950744320102
AMERICAN EXPRESS COCOM$531K1,570025816109
ISHARES TRMSCI USA MIN ETF$524K5,43246429B697
AMERICAN ELEC PWR CO INCCOM$523.3K3,825025537101
DUKE ENERGY CORP NEWCOM NEW$504.9K3,98926441C204
DISNEY WALT COCOM$502.5K5,220254687106
CONOCOPHILLIPSCOM$470.9K4,53020825C104
SELECT SECTOR SPDR TRST STR FINL ETF$460.5K8,59081369Y605
SELECT SECTOR SPDR TRST STR UTIL ETF$434.4K9,58281369Y886
RAYMOND JAMES FINL INCCOM$392.5K2,582754730109
SALESFORCE INCCOM$340.2K2,17179466L302
SCHWAB STRATEGIC TRUS LCAP GR ETF$302K8,925808524300
GENUINE PARTS COCOM$299.4K2,538372460105
VANGUARD TAX-MANAGED FDSVAN FTSE DEV MKT$285.6K4,008921943858
CVS HEALTH CORPCOM$257.9K2,493126650100
VANGUARD ADMIRAL FDS INC500 GRTH IDX F$253.6K3,069921932505
F5 INCCOM$249.6K600315616102
WW GRAINGER INCCOM$249K183384802104
SHERWIN WILLIAMS COCOM$242.1K703824348106
ISHARES TRSHRT NAT MUN ETF$241.9K2,272464288158
AMERICAN TOWER CORPCOM$240.4K1,47003027X100
FS BANCORP INCCOM$227.4K5,24030263Y104
NIKE INCCL B$226.7K5,522654106103
ISHARES TRCORE S&P SCP ETF$225.6K1,521464287804
BALL CORPCOM$222.1K3,560058498106
HOME DEPOT INCCOM$218.7K620437076102
FISERV INCCOM$218.6K4,457337738108
VANGUARD INDEX FDSMCAP GR IDXVIP$217.2K709922908538
VANGUARD WORLD FDCONSUM DIS ETF$209.4K52892204A108
VANGUARD WHITEHALL FDSHIGH DIV YLD$204.8K1,296921946406
BRISTOL-MYERS SQUIBB COCOM$201.7K3,500110122108
Values are shown exactly as filed. Before 2023 managers reported in thousands of dollars and afterwards in whole dollars; the reporting unit is not always determinable from the document, so nothing is converted automatically.

Source: U.S. Securities and Exchange Commission, Form 13F · as of 2026-07-08