Jeppson Wealth Management 13F annual report

Jeppson Wealth Management is an investment fund managing more than $258 billion ran by Michelle Eldridge. There are currently 205 companies in Mrs. Eldridge’s portfolio. The largest investments include Apple Inc and Ishares 0-5 Year Tips Bond Etf, together worth $39.5 billion.

$258 billion Assets Under Management (AUM)

As of 29th July 2024, Jeppson Wealth Management’s top holding is 100,285 shares of Apple Inc currently worth over $21.1 billion and making up 8.1% of the portfolio value. Relative to the number of outstanding shares of Apple Inc, Jeppson Wealth Management owns more than approximately 0.1% of the company. In addition, the fund holds 184,851 shares of Ishares 0-5 Year Tips Bond Etf worth $18.4 billion. The third-largest holding is Nvidia Corporation Com worth $10.7 billion and the next is Lockheed Martin Corp Com worth $10.3 billion, with 21,947 shares owned.

Currently, Jeppson Wealth Management's portfolio is worth at least $258 billion. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Jeppson Wealth Management

The Jeppson Wealth Management office and employees reside in Manhattan Beach, California. According to the last 13-F report filed with the SEC, Michelle Eldridge serves as the SR. COMPLIANCE OFFICER at Jeppson Wealth Management.

Recent trades

In the most recent 13F filing, Jeppson Wealth Management revealed that it had opened a new position in Public Svc Enterprise Grp Inc Com and bought 2,900 shares worth $214 million.

The investment fund also strengthened its position in Nvidia Corporation Com by buying 77,667 additional shares. This makes their stake in Nvidia Corporation Com total 86,387 shares worth $10.7 billion.

On the other hand, there are companies that Jeppson Wealth Management is getting rid of from its portfolio. Jeppson Wealth Management closed its position in Norfolk Southn Corp Com on 5th August 2024. It sold the previously owned 900 shares for $229 million. Michelle Eldridge also disclosed a decreased stake in Apple Inc by approximately 0.1%. This leaves the value of the investment at $21.1 billion and 100,285 shares.

One of the smaller hedge funds

The two most similar investment funds to Jeppson Wealth Management are Viola Ventures V.c. Management 4 and Atom Investors L.P.. They manage $262 billion and $262 billion respectively.


Michelle Eldridge investment strategy

Jeppson Wealth Management’s portfolio is diversified across 12 sectors. Currently, their heaviest sector is Consumer Discretionary — making up 12.1% of the total portfolio value. The fund focuses on investments in the United States as 27.3% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 26% of the total holdings value. On the other hand, small-cap stocks make up only 1.0% of the portfolio. The average market cap of the portfolio companies is close to $146 billion.

The complete list of Jeppson Wealth Management trades based on 13F SEC filings

These positions were updated on August 5th based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Apple Inc
0.31%
100,285
$21,122,111,000 8.06%
Ishares 0-5 Year Tips Bond Etf
3.08%
184,851
$18,390,826,000 7.02%
Nvidia Corporation Com
890.68%
86,387
$10,672,276,000 4.07%
Lockheed Martin Corp Com
0.10%
21,947
$10,251,363,000 3.91%
Vanguard Short-term Inflation-protected Securities Etf
0.02%
166,164
$8,065,594,000 3.08%
Exxon Mobil Corp Com
1.10%
54,715
$6,298,791,000 2.40%
Microsoft Corp Com
1.19%
14,074
$6,290,328,000 2.40%
Amazon.com Inc.
0.04%
30,068
$5,810,641,000 2.22%
Eli Lilly Co Com
3.79%
5,437
$4,922,551,000 1.88%
Disney Walt Co Com
0.03%
48,319
$4,797,597,000 1.83%
Oracle Corp Com
0.35%
27,874
$3,935,809,000 1.50%
Att Inc Com
1.52%
199,484
$3,812,137,000 1.45%
Alphabet Inc Cap Stk Cl C
1.93%
19,148
$3,512,157,000 1.34%
Verizon Communications Inc
0.16%
84,985
$3,504,781,000 1.34%
American Elec Pwr Co Inc Com
1.53%
37,396
$3,281,169,000 1.25%
Qualcomm, Inc.
2.10%
15,490
$3,085,301,000 1.18%
Merck Co Inc Com
0.36%
23,770
$2,942,758,000 1.12%
Jpmorgan Chase Co. Com
0.06%
14,328
$2,898,011,000 1.11%
Cisco Sys Inc Com
0.27%
59,787
$2,840,492,000 1.08%
Occidental Pete Corp Com
1.09%
44,769
$2,821,794,000 1.08%
Chevron Corp New Com
1.25%
16,351
$2,557,597,000 0.98%
Procter And Gamble Co Com
0.98%
14,928
$2,461,885,000 0.94%
Kraft Heinz Co Com
1.14%
67,018
$2,159,306,000 0.82%
Bank America Corp Com
0.47%
54,063
$2,150,091,000 0.82%
Rtx Corporation Com
1.35%
20,678
$2,075,907,000 0.79%
Johnson Johnson Com
16.60%
14,082
$2,058,287,000 0.79%
Meta Platforms Inc
1.04%
4,082
$2,058,263,000 0.79%
Palo Alto Networks Inc
1.36%
6,040
$2,047,620,000 0.78%
Broadcom Inc
0.16%
1,264
$2,029,390,000 0.77%
Walmart Inc
No change
29,679
$2,009,594,000 0.77%
Kinder Morgan Inc Del Com
0.30%
96,917
$1,925,741,000 0.73%
Freeport-McMoRan Inc
0.98%
38,581
$1,875,037,000 0.72%
Bhp Group Ltd Sponsored Ads
2.64%
32,441
$1,852,078,000 0.71%
Omega Healthcare Invs Inc Com
0.25%
53,216
$1,822,640,000 0.70%
Conocophillips Com
0.84%
15,406
$1,762,138,000 0.67%
Abbvie Inc
0.91%
9,910
$1,699,680,000 0.65%
Duke Energy Corp New Com New
0.14%
16,876
$1,691,481,000 0.65%
Shopify Inc
1.12%
25,498
$1,684,143,000 0.64%
Alphabet Inc Cap Stk Cl A
1.26%
9,186
$1,673,234,000 0.64%
Dow Inc
0.22%
31,090
$1,649,303,000 0.63%
Sempra Com
0.87%
21,022
$1,598,933,000 0.61%
Wells Fargo Co New Com
2.47%
26,642
$1,582,268,000 0.60%
Spdr Gold Shares
1.39%
7,105
$1,527,646,000 0.58%
Wheaton Precious Metals Corp Com
1.34%
29,019
$1,521,176,000 0.58%
Vanguard Growth Etf
1.58%
4,051
$1,515,154,000 0.58%
Simon Ppty Group Inc New Com
0.46%
9,935
$1,508,133,000 0.58%
Spdr Sp Dividend Etf
4.28%
11,530
$1,466,385,000 0.56%
Phillips 66 Com
0.48%
10,367
$1,463,509,000 0.56%
Abbott Labs Com
1.16%
13,843
$1,438,426,000 0.55%
Schwab Charles Corp Com
2.00%
19,343
$1,425,386,000 0.54%
Gilead Sciences, Inc.
0.37%
19,987
$1,371,334,000 0.52%
Cardinal Health, Inc.
0.04%
13,670
$1,344,044,000 0.51%
Southern Co Com
2.01%
17,297
$1,341,728,000 0.51%
Vanguard Total Stock Market Etf
No change
4,730
$1,265,427,000 0.48%
International Business Machs Com
7.38%
7,192
$1,243,856,000 0.47%
Unilever Plc Spon Adr New
77.93%
21,909
$1,204,791,000 0.46%
Wp Carey Inc Com
17.83%
21,605
$1,189,355,000 0.45%
Uber Technologies Inc
0.24%
16,316
$1,185,847,000 0.45%
Pepsico Inc Com
4.14%
7,113
$1,173,147,000 0.45%
Vanguard Small-cap Etf
0.80%
5,364
$1,169,567,000 0.45%
Kimberly-clark Corp Com
1.09%
8,235
$1,138,077,000 0.43%
General Mls Inc Com
0.86%
17,931
$1,134,337,000 0.43%
Invesco Qqq Trust Series I
0.39%
2,334
$1,118,191,000 0.43%
Carlyle Group Inc Com
1.05%
27,452
$1,102,190,000 0.42%
Northrop Grumman Corp Com
3.04%
2,437
$1,062,410,000 0.41%
Home Depot, Inc.
0.32%
3,082
$1,060,948,000 0.40%
Boeing Co Com
8.35%
5,829
$1,060,861,000 0.40%
NNN REIT Inc
0.94%
23,818
$1,014,647,000 0.39%
Welltower Inc.
0.10%
9,618
$1,002,659,000 0.38%
Proshares Sp 500 Dividend Aristocrats Etf
0.83%
10,415
$1,001,194,000 0.38%
Rio Tinto Plc Sponsored Adr
0.25%
13,958
$920,251,000 0.35%
Stag Indl Inc Com
2.01%
24,794
$894,072,000 0.34%
MercadoLibre Inc
No change
541
$889,079,000 0.34%
Pfizer Inc.
3.35%
31,660
$885,847,000 0.34%
Blackstone Inc
1.91%
6,943
$859,543,000 0.33%
Mcdonalds Corp Com
2.05%
3,339
$850,911,000 0.32%
AMGEN Inc.
11.05%
2,684
$838,616,000 0.32%
Capital One Finl Corp Com
0.79%
5,902
$817,086,000 0.31%
Unitedhealth Group Inc
8.63%
1,588
$808,816,000 0.31%
Adobe Inc
0.76%
1,445
$802,755,000 0.31%
Kayne Anderson Energy Infrstr Com
1.36%
75,719
$782,181,000 0.30%
Allstate Corp Com
0.10%
4,782
$763,517,000 0.29%
Tesla Inc
0.34%
3,857
$763,223,000 0.29%
Comcast Corp New Cl A
0.65%
19,010
$744,432,000 0.28%
Intel Corp Com
4.97%
23,770
$736,157,000 0.28%
Netflix Inc.
1.02%
1,087
$733,595,000 0.28%
Federal Rlty Invt Tr New Sh Ben Int New
0.17%
7,061
$712,949,000 0.27%
Alerian Mlp Etf
0.05%
14,853
$712,655,000 0.27%
Consolidated Edison, Inc.
No change
7,716
$689,965,000 0.26%
Novartis Ag Sponsored Adr
0.63%
6,353
$676,340,000 0.26%
Automatic Data Processing Inc.
1.99%
2,714
$647,805,000 0.25%
Union Pac Corp Com
No change
2,827
$639,637,000 0.24%
National Grid Plc Sponsored Adr Ne
18.48%
10,984
$623,891,000 0.24%
Waste Mgmt Inc Del Com
2.52%
2,902
$619,113,000 0.24%
Realty Income Corp Com
1.14%
11,657
$615,726,000 0.23%
Berkshire Hathaway Inc.
No change
1
$612,241,000 0.23%
Bristol-myers Squibb Co Com
49.82%
14,729
$611,695,000 0.23%
Dominion Energy Inc
8.98%
12,477
$611,373,000 0.23%
Lyondellbasell Industries N V Shs - A -
0.81%
6,332
$605,754,000 0.23%
Campbell Soup Co Com
8.04%
12,967
$585,956,000 0.22%
Dover Corp Com
0.15%
3,236
$583,936,000 0.22%
Emerson Elec Co Com
0.19%
5,272
$580,764,000 0.22%
Coca Cola Co Com
2.94%
9,096
$578,960,000 0.22%
Starbucks Corp Com
14.96%
7,347
$571,964,000 0.22%
Illinois Tool Wks Inc Com
No change
2,400
$568,704,000 0.22%
Caterpillar Inc.
0.30%
1,660
$552,946,000 0.21%
Corning, Inc.
2.03%
14,031
$545,089,000 0.21%
Royal Caribbean Group Com
0.30%
3,376
$538,236,000 0.21%
NextEra Energy Inc
0.34%
7,566
$535,725,000 0.20%
Schwab U.s. Broad Market Etf
No change
8,254
$518,953,000 0.20%
Bank New York Mellon Corp Com
No change
8,618
$516,125,000 0.20%
Travelers Companies Inc.
No change
2,490
$506,317,000 0.19%
Salesforce Inc
18.89%
1,907
$490,295,000 0.19%
Visa Inc
No change
1,854
$486,619,000 0.19%
Darden Restaurants, Inc.
2.13%
3,210
$485,737,000 0.19%
3m Co Com
0.73%
4,753
$485,709,000 0.19%
Chipotle Mexican Grill
4,900.00%
7,550
$473,008,000 0.18%
Paychex Inc.
0.63%
3,919
$464,637,000 0.18%
Ishares Tips Bond Etf
1.33%
4,342
$463,590,000 0.18%
Clorox Co Del Com
1.50%
3,344
$456,356,000 0.17%
Air Prods Chems Inc Com
11.39%
1,735
$447,717,000 0.17%
Williams-Sonoma, Inc.
0.20%
1,532
$432,591,000 0.17%
Honeywell Intl Inc Com
No change
1,977
$422,169,000 0.16%
Sabra Health Care Reit Inc Com
0.48%
27,319
$420,711,000 0.16%
Kellanova Com
0.83%
7,256
$418,526,000 0.16%
Evergy Inc
0.47%
7,833
$414,914,000 0.16%
Ing Groep N.v. Sponsored Adr
1.93%
24,144
$413,828,000 0.16%
Snowflake Inc.
2.94%
2,968
$400,947,000 0.15%
Cvs Health Corp Com
151.66%
6,732
$397,592,000 0.15%
Alibaba Group Hldg Ltd Sponsored Ads
0.60%
5,522
$397,584,000 0.15%
Vanguard Dividend Appreciation Etf
1.14%
2,177
$397,411,000 0.15%
Costco Whsl Corp New Com
2.97%
458
$389,332,000 0.15%
Starwood Ppty Tr Inc Com
2.09%
20,541
$389,047,000 0.15%
Northwestern Energy Group Inc Com New
1.55%
7,752
$388,220,000 0.15%
Tyson Foods, Inc.
No change
6,690
$382,267,000 0.15%
Enterprise Prods Partners L P Com
1.55%
13,101
$379,667,000 0.14%
Citigroup Inc Com New
0.48%
5,867
$372,343,000 0.14%
Cheesecake Factory Inc.
0.66%
9,467
$371,949,000 0.14%
Vornado Rlty Tr Sh Ben Int
0.16%
13,922
$366,009,000 0.14%
Schwab U.s. Small-cap Etf
13.55%
7,573
$359,339,000 0.14%
Nucor Corp Com
7.28%
2,269
$358,684,000 0.14%
United Parcel Service, Inc.
5.36%
2,613
$357,589,000 0.14%
Medtronic Plc Shs
1.90%
4,447
$350,023,000 0.13%
Conagra Brands Inc
0.41%
12,195
$346,582,000 0.13%
Kimco Rlty Corp Com
0.74%
17,679
$344,026,000 0.13%
Mondelez International Inc.
No change
5,254
$343,822,000 0.13%
Colgate Palmolive Co Com
0.09%
3,527
$342,260,000 0.13%
Vanguard Ftse Emerging Markets Etf
1.47%
7,648
$334,659,000 0.13%
American Tower Corp New Com
4.59%
1,710
$332,390,000 0.13%
Vanguard Small-cap Growth Etf
0.30%
1,316
$329,134,000 0.13%
Archer Daniels Midland Co Com
0.83%
5,390
$325,826,000 0.12%
Coinbase Global Inc Com Cl A
0.69%
1,444
$320,900,000 0.12%
Paramount Global Class B Com
0.07%
30,111
$312,853,000 0.12%
DuPont de Nemours Inc
No change
3,785
$304,655,000 0.12%
BXP Inc.
14.30%
4,937
$303,922,000 0.12%
ProShares Bitcoin Strategy ETF
0.42%
13,143
$295,849,000 0.11%
Ishares Msci Emerging Markets Etf
0.30%
6,945
$295,788,000 0.11%
Vanguard Ftse All-world Ex-us Small-cap Etf
1.68%
2,461
$289,164,000 0.11%
Kraneshares Csi China Internet Etf
2.81%
10,321
$278,866,000 0.11%
Southern Copper Corp Com
0.71%
2,547
$274,414,000 0.10%
Intuit Com
No change
413
$271,428,000 0.10%
Dell Technologies Inc
3.71%
1,947
$268,511,000 0.10%
Moderna Inc
1.19%
2,248
$266,950,000 0.10%
General Dynamics Corp Com
0.54%
920
$266,929,000 0.10%
Vanguard Information Technology Etf
1.07%
462
$266,570,000 0.10%
Las Vegas Sands Corp Com
No change
6,010
$265,943,000 0.10%
Valero Energy Corp Com
8.95%
1,656
$259,595,000 0.10%
Portland Gen Elec Co Com New
No change
5,831
$252,132,000 0.10%
Berry Global Group Inc
1.19%
4,140
$243,639,000 0.09%
Us Bancorp Del Com New
3.94%
6,054
$240,344,000 0.09%
Crown Castle Inc
3.16%
2,450
$239,365,000 0.09%
Texas Instrs Inc Com
No change
1,217
$236,743,000 0.09%
Taiwan Semiconductor Mfg Ltd Sponsored Ads
8.22%
1,362
$236,729,000 0.09%
Vaneck Gold Miners Etf
No change
6,975
$236,662,000 0.09%
Ge Aerospace Com New
0.41%
1,472
$234,004,000 0.09%
Schlumberger Ltd Com Stk
No change
4,935
$232,833,000 0.09%
Norfolk Southn Corp Com
Closed
900
$229,383,000
Grayscale Bitcoin Trust
11.28%
4,293
$228,559,000 0.09%
Corteva Inc
0.35%
4,235
$228,436,000 0.09%
Becton Dickinson Co Com
1.73%
968
$226,231,000 0.09%
Vanguard Small Cap Value Etf
Closed
1,173
$225,075,000
Brixmor Ppty Group Inc Com
1.53%
9,675
$223,396,000 0.09%
Berkshire Hathaway Inc Del Cl B New
0.18%
540
$219,672,000 0.08%
Ppg Inds Inc Com
Closed
1,513
$219,234,000
Vanguard High Dividend Yield Index Etf
No change
1,838
$217,987,000 0.08%
Target Corp Com
0.14%
1,471
$217,767,000 0.08%
Diageo Plc Spon Adr New
7.54%
1,716
$216,353,000 0.08%
Take-two Interactive Software Com
0.36%
1,390
$216,131,000 0.08%
Nutrien Ltd Com
2.12%
4,244
$216,062,000 0.08%
Nike, Inc.
Closed
2,290
$215,214,000
Altria Group Inc.
No change
4,710
$214,541,000 0.08%
Public Svc Enterprise Grp Inc Com
Opened
2,900
$213,730,000 0.08%
Genuine Parts Co Com
Closed
1,375
$213,029,000
Global X Silver Miners Etf
Opened
6,828
$212,965,000 0.08%
Rivian Automotive, Inc.
Opened
15,831
$212,452,000 0.08%
Baxter Intl Inc Com
Closed
4,956
$211,819,000
American Wtr Wks Co Inc New Com
3.01%
1,610
$207,948,000 0.08%
Ishares Sp Small-cap 600 Value Etf
Closed
2,000
$205,520,000
Crowdstrike Holdings Inc
Opened
532
$203,857,000 0.08%
Edwards Lifesciences Corp Com
0.46%
2,183
$201,644,000 0.08%
Marvell Technology Inc
Closed
2,830
$200,590,000
Barrick Gold Corp Com
0.09%
11,813
$197,041,000 0.08%
V F Corp Com
Closed
10,655
$163,448,000
Ambev Sa Sponsored Adr
68.65%
78,700
$161,335,000 0.06%
Cidara Therapeutics Inc
Closed
148,650
$136,758,000
Dnp Select Income Fd Inc Com
6.25%
11,248
$92,459,000 0.04%
Proshares Tr Ultrashort Qqq
Closed
10,000
$89,600,000
ProShares UltraPro Short QQQ
Opened
10,650
$88,182,000 0.03%
Jetblue Awys Corp Com
No change
11,800
$71,862,000 0.03%
Chargepoint Holdings Inc.
7.02%
33,460
$50,525,000 0.02%
Rezolute Inc Com New
Opened
10,510
$45,193,000 0.02%
Telefonica S A Sponsored Adr
1.93%
10,538
$44,365,000 0.02%
SNDL Inc
Opened
20,000
$38,000,000 0.01%
Tilray Brands Inc
Opened
20,000
$33,200,000 0.01%
Planet Labs Pbc Com Cl A
Closed
12,850
$32,768,000
Schwab Charles Family Fd Amt Tax Free Mny
0.85%
18,150
$18,150,000 0.01%
Ascent Solar Technologies Inc Com New
Opened
13,600
$1,420,000 0.00%
No transactions found
Showing first 500 out of 217 holdings