13F Filings for Boxwood Ventures, Inc. (CIK: 1885946)

View the most recent portfolio holdings disclosed by Boxwood Ventures, Inc. in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
SPY - SPDR SP 500 ETF(Class: COM)19.55K $12.11M 15.68%Unchanged
MSFT - Microsoft Corp.(Class: COM)19.89K $9.89M 12.80%Increased 416 (2.0%, $2.58M)
AAPL - Apple, Inc.(Class: COM)39.77K $8.16M 10.56%Increased 2.02K (5.0%, $225.30K)
NVDA - NVIDIA Corp.(Class: COM)33.51K $5.29M 6.85%Decreased 18.03K (34.0%, $292K)
AMZN - Amazon.Com Inc(Class: COM)23.14K $5.08M 6.57%Increased 721 (3.0%, $811.27K)
GOOGL - Alphabet Inc.(Class: COM)26.89K $4.74M 6.13%Increased 2.34K (9.0%, $942.83K)
AVGO - Broadcom Inc(Class: COM)12.88K $3.55M 4.59%Increased 2.79K (27.0%, $1.86M)
VT - Vanguard Total World Stock ETF(Class: COM)26.19K $3.37M 4.36%Unchanged
VDE - Vanguard Energy ETF(Class: COM)27.72K $3.30M 4.27%Unchanged
WMT - Wal-Mart(Class: COM)23.99K $2.35M 3.04%Unchanged
JNJ - Johnson Johnson(Class: COM)13.47K $2.06M 2.66%Unchanged
LOPE - Grand Canyon Education Inc.(Class: COM)10.32K $1.95M 2.52%Unchanged
MET - MetLife Inc.(Class: COM)23.46K $1.89M 2.44%Unchanged
CBSH - Commerce Bancshares Inc(Class: COM)23.77K $1.48M 1.91%Unchanged
NEE - Nextera Energy Inc(Class: COM)21.12K $1.47M 1.90%Unchanged
CPRT - Copart Inc(Class: COM)26.53K $1.30M 1.68%Unchanged
XOM - Exxon Mobil Corp.(Class: COM)11.14K $1.20M 1.55%New 11.14K ($1.20M)
LRCX - Lam Research Corporation(Class: COM)11.99K $1.17M 1.51%Unchanged
MRK - Merck Co. Inc(Class: COM)13.56K $1.08M 1.40%Unchanged
CSCO - Cisco Systems, Inc.(Class: COM)14.54K $1.01M 1.31%Unchanged
VTEB - Vanguard Tax-Exempt Bond ETF(Class: COM)20.38K $999.23K 1.29%Unchanged
UNM - Unum Group(Class: COM)10.41K $840.87K 1.09%Unchanged
N/A - Roundhill Magnificent Seven ETF(Class: COM)12K $665.64K 0.86%Unchanged
FHI - Federated Hermes Inc(Class: COM)11.61K $514.69K 0.67%Unchanged
CWEN - Clearway Energy Inc.(Class: COM)11.27K $360.70K 0.47%Unchanged