| # | % | |||||
|---|---|---|---|---|---|---|
| 1 | BRISTOL MYERS SQUIBB CO | 3,135 | 202,000 | 0.02% | ||
| 2 | EXXON MOBIL CORP | 2,454 | 209,000 | 0.02% | ||
| 3 | MICROSOFT CORP | 5,154 | 210,000 | 0.02% | ||
| 4 | BERKSHIRE HATHAWAY INC DEL | 1 | 217,000 | 0.02% | ||
| 5 | CU Bancorp Calif | 10,087 | 229,000 | 0.03% | ||
| 6 | ABBOTT LABS | 5,309 | 246,000 | 0.03% | ||
| 7 | MONDELEZ INTL INC | 7,527 | 272,000 | 0.03% | ||
| 8 | ISHARES TR | 2,439 | 273,000 | 0.03% | ||
| 9 | ABBVIE INC | 4,818 | 282,000 | 0.03% | ||
| 10 | BOEING CO | 2,141 | 321,000 | 0.04% | ||
| 11 | CHEVRON CORP NEW | 3,290 | 345,000 | 0.04% | ||
| 12 | INTERNATIONAL BUSINESS MACHS | 2,376 | 381,000 | 0.04% | ||
| 13 | ISHARES TR | 6,200 | 409,000 | 0.05% | ||
| 14 | VISA INC | 6,349 | 415,000 | 0.05% | ||
| 15 | GENERAL MLS INC | 7,702 | 436,000 | 0.05% | ||
| 16 | EATON VANCE TAX-MANAGED GLOBAL COM | 45,131 | 438,000 | 0.05% | ||
| 17 | GILEAD SCIENCES INC | 4,610 | 452,000 | 0.05% | ||
| 18 | ISHARES 20 YEAR TREASURY BOND ETF | 3,500 | 457,000 | 0.05% | ||
| 19 | ISHARES | 7,900 | 466,000 | 0.05% | ||
| 20 | VERIZON COMMUNICATIONS INC | 10,301 | 501,000 | 0.06% | ||
| 21 | VANGUARD WORLD FD | 3,718 | 504,000 | 0.06% | ||
| 22 | COCA COLA CO | 12,466 | 505,000 | 0.06% | ||
| 23 | MERCK & CO INC | 8,849 | 509,000 | 0.06% | ||
| 24 | COLGATE PALMOLIVE CO | 7,350 | 510,000 | 0.06% | ||
| 25 | ORACLE CORP | 12,080 | 521,000 | 0.06% | ||
| 26 | GENERAL ELECTRIC CO | 21,503 | 533,000 | 0.06% | ||
| 27 | PEPSICO INC | 5,855 | 560,000 | 0.06% | ||
| 28 | BAXTER INTL INC | 8,350 | 572,000 | 0.06% | ||
| 29 | ADVANCED MICRO DEVICES INC | 214,339 | 574,000 | 0.06% | ||
| 30 | STARBUCKS CORP | 6,392 | 605,000 | 0.07% | ||
| 31 | ISHARES INC | 49,741 | 648,000 | 0.07% | ||
| 32 | JOHNSON & JOHNSON | 6,592 | 663,000 | 0.07% | ||
| 33 | ISHARES COHEN & STEERS REIT ETF | 7,000 | 708,000 | 0.08% | ||
| 34 | PROCTER AND GAMBLE CO | 10,015 | 821,000 | 0.09% | ||
| 35 | CHINA MOBILE LIMITED | 14,337 | 932,000 | 0.10% | ||
| 36 | BERKSHIRE HATHAWAY INC DEL | 6,910 | 997,000 | 0.11% | ||
| 37 | APPLE INC | 8,275 | 1,030,000 | 0.11% | ||
| 38 | EQUITY RESIDENTIAL | 15,680 | 1,221,000 | 0.14% | ||
| 39 | VANGUARD INDEX FDS | 17,800 | 1,501,000 | 0.17% | ||
| 40 | ISHARES GOLD TRUST | 131,250 | 1,503,000 | 0.17% | ||
| 41 | PIMCO ETF TR | 15,600 | 1,718,000 | 0.19% | ||
| 42 | SPDR SER TR | 64,608 | 1,886,000 | 0.21% | ||
| 43 | SPDR GOLD TR | 16,940 | 1,925,000 | 0.21% | ||
| 44 | VANGUARD SPECIALIZED FUNDS | 29,600 | 2,382,000 | 0.26% | ||
| 45 | MOBILE TELESYSTEMS PJSC | 331,721 | 3,350,000 | 0.37% | ||
| 46 | ISHARES TR | 87,164 | 3,626,000 | 0.40% | ||
| 47 | ISHARES TR | 103,250 | 4,260,000 | 0.47% | ||
| 48 | ISHARES TR | 205,755 | 4,726,000 | 0.52% | ||
| 49 | ISHARES TR | 45,563 | 5,658,000 | 0.63% | ||
| 50 | ISHARES TR | 95,965 | 5,883,000 | 0.65% |
Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001085146-15-001208, filed 2015.05.14).
From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.