Warwick Investment Management, Inc.

data from 31/12/2025

Capitalization

$ 649.014 M 12.65 %

Average holding period

8 ans

Performance

$ 132.117 M 30.73 %

Capitalization

Portfolio size

Portfolio performance

Portfolio performance %

Performance compared to S&P 500 (%)

Stock in Warwick Investment Management, Inc.

Date Ticket Name Weight Capitalization Share number First added Performance ($) Performance (%)
2025/12/31 SCHWAB STRATEGIC TR 17.70% 114.880 M $ 3502454 2023/12/31 2.380 M $ 2.12 %
2025/12/31 DIMENSIONAL ETF TRUST 15.90% 103.185 M $ 2606340 2021/12/31 2.493 M $ 2.64 %
2025/12/31 VANGUARD INDEX FDS 9.08% 58.922 M $ 308508 2021/12/31 1.186 M $ 2.41 %
2025/12/31 INVESCO QQQ TR 4.04% 26.193 M $ 42638 2021/12/31 517.457 K $ 2.32 %
2025/12/31 VANGUARD SCOTTSDALE FDS 3.65% 23.682 M $ 403239 2025/06/30 -17.861 K $ -0.20 %
2025/12/31 VANGUARD INDEX FDS 3.55% 23.029 M $ 47204 2023/12/31 255.832 K $ 1.72 %
2025/12/31 VANGUARD ADMIRAL FDS INC 3.17% 20.563 M $ 185322 2024/03/31 80.270 K $ 0.44 %
2025/12/31 DIMENSIONAL ETF TRUST 2.92% 18.934 M $ 255284 2024/12/31 441.194 K $ 2.39 %
2025/12/31 SELECT SECTOR SPDR TR 2.84% 18.420 M $ 456517 2021/12/31 -803.684 K $ -4.23 %
2025/12/31 VANGUARD SCOTTSDALE FDS 2.80% 18.195 M $ 234347 2025/06/30 -67.106 K $ -0.94 %
2025/12/31 VANGUARD INDEX FDS 2.45% 15.928 M $ 47508 2021/12/31 344.626 K $ 2.16 %
2025/12/31 VANGUARD TAX-MANAGED FDS 2.11% 13.710 M $ 219468 2022/03/31 396.053 K $ 4.26 %
2025/12/31 SPDR S&P 500 ETF TR 1.55% 10.058 M $ 14749 2021/12/31 245.040 K $ 2.36 %
2025/12/31 VANGUARD INDEX FDS 1.20% 7.812 M $ 30284 2021/12/31 109.909 K $ 1.44 %
2025/12/31 VANGUARD ADMIRAL FDS INC 1.18% 7.638 M $ 68321 2024/03/31 67.112 K $ 1.29 %
2025/12/31 DIMENSIONAL ETF TRUST 1.15% 7.489 M $ 228801 2021/12/31 312.800 K $ 4.30 %
2025/12/31 APPLE INC 1.13% 7.360 M $ 27074 2021/12/31 454.165 K $ 6.77 %
2025/12/31 SELECT SECTOR SPDR TR 1.12% 7.248 M $ 162110 2023/06/30 -3.566 M $ -49.96 %
2025/12/31 SPROTT ASSET MANAGEMENT LP 1.07% 6.914 M $ 209390 2021/12/31 711.926 K $ 11.48 %
2025/12/31 VANGUARD INDEX FDS 0.86% 5.585 M $ 26708 2021/12/31 -5.668 K $ -0.11 %
2025/12/31 VANGUARD INDEX FDS 0.80% 5.164 M $ 16403 2022/03/31 114.433 K $ 2.25 %
2025/12/31 VANGUARD STAR FDS 0.78% 5.081 M $ 67347 2021/12/31 136.681 K $ 2.70 %
2025/12/31 VANGUARD SCOTTSDALE FDS 0.77% 5.023 M $ 63005 2021/12/31 -13.377 K $ -0.25 %
2025/12/31 VANGUARD SCOTTSDALE FDS 0.73% 4.713 M $ 84468 2025/06/30 -46.152 K $ -1.86 %
2025/12/31 NVIDIA CORPORATION 0.72% 4.645 M $ 24904 2023/12/31 -2.020 K $ -0.04 %
2025/12/31 VANGUARD INDEX FDS 0.70% 4.512 M $ 7194 2021/12/31 110.831 K $ 2.41 %
2025/12/31 MICROSOFT CORP 0.63% 4.082 M $ 8440 2021/12/31 -284.810 K $ -6.63 %
2025/12/31 VANGUARD INTL EQUITY INDEX F 0.63% 4.061 M $ 75535 2024/03/31 -20.750 K $ -0.78 %
2025/12/31 VANGUARD INDEX FDS 0.59% 3.846 M $ 43460 2025/03/31 -129.840 K $ -3.21 %
2025/12/31 SCHWAB STRATEGIC TR 0.57% 3.684 M $ 134295 2021/12/31 17.723 K $ 0.48 %
2025/12/31 ISHARES TR 0.56% 3.638 M $ 37887 2025/03/31 105.245 K $ 2.85 %
2025/12/31 VANGUARD BD INDEX FDS 0.51% 3.294 M $ 42290 2021/12/31 -9.294 K $ -0.27 %
2025/12/31 FIDELITY MERRIMACK STR TR 0.50% 3.242 M $ 70425 2024/03/31 -14.962 K $ -0.43 %
2025/12/31 EXXON MOBIL CORP 0.43% 2.794 M $ 23220 2021/12/31 235.009 K $ 6.73 %
2025/12/31 AMAZON COM INC 0.43% 2.774 M $ 12017 2022/09/30 131.490 K $ 5.12 %
2025/12/31 VANGUARD BD INDEX FDS 0.42% 2.756 M $ 55292 2024/03/31 -9.239 K $ -0.32 %
2025/12/31 DIMENSIONAL ETF TRUST 0.37% 2.410 M $ 51723 2022/06/30 97.929 K $ 4.25 %
2025/12/31 ALPHABET INC 0.35% 2.275 M $ 7267 2023/12/31 496.639 K $ 28.75 %
2025/12/31 SCHWAB STRATEGIC TR 0.31% 2.004 M $ 83377 2022/09/30 61.022 K $ 3.26 %
2025/12/31 INVESCO ACTIVELY MANAGED EXC 0.29% 1.909 M $ 37993 2021/12/31 830.000 $ 0.04 %
2025/12/31 VANECK MERK GOLD ETF 0.29% 1.855 M $ 44725 2024/06/30 251.205 K $ 11.54 %
2025/12/31 SCHWAB STRATEGIC TR 0.28% 1.832 M $ 64336 2022/09/30 37.086 K $ 2.08 %
2025/12/31 SCHWAB STRATEGIC TR 0.28% 1.821 M $ 67668 2021/12/31 38.570 K $ 2.16 %
2025/12/31 BROADCOM INC 0.26% 1.702 M $ 4919 2024/03/31 78.877 K $ 4.91 %
2025/12/31 FIRST FINL BANKSHARES INC 0.26% 1.680 M $ 56238 2021/12/31 -212.386 K $ -11.23 %
2025/12/31 ISHARES TR 0.25% 1.593 M $ 14457 2021/12/31 -18.558 K $ -1.15 %
2025/12/31 VANGUARD WORLD FD 0.23% 1.483 M $ 1968 2021/12/31 13.152 K $ 0.96 %
2025/12/31 META PLATFORMS INC 0.22% 1.422 M $ 2155 2023/12/31 -160.763 K $ -10.12 %
2025/12/31 TESLA INC 0.21% 1.364 M $ 3033 2023/12/31 14.195 K $ 1.12 %
2025/12/31 JPMORGAN CHASE & CO. 0.20% 1.279 M $ 3968 2023/06/30 25.962 K $ 2.15 %
2025/12/31 BERKSHIRE HATHAWAY INC DEL 0.20% 1.275 M $ 2536 2022/09/30 -216.000 $ -0.02 %
2025/12/31 ISHARES TR 0.20% 1.270 M $ 6036 2025/03/31 43.634 K $ 3.31 %
2025/12/31 DIMENSIONAL ETF TRUST 0.19% 1.265 M $ 18153 2023/09/30 21.913 K $ 1.77 %
2025/12/31 ISHARES INC 0.19% 1.230 M $ 18305 2021/12/31 25.050 K $ 1.97 %
2025/12/31 ALPHABET INC 0.17% 1.073 M $ 3420 2023/12/31 240.255 K $ 28.84 %
2025/12/31 ISHARES TR 0.16% 1.061 M $ 7525 2022/12/31 10.384 K $ 0.99 %
2025/12/31 ISHARES TR 0.16% 1.046 M $ 1527 2021/12/31 23.496 K $ 2.32 %
2025/12/31 INTERNATIONAL BUSINESS MACHS 0.16% 1.028 M $ 3471 2021/12/31 49.350 K $ 4.97 %
2025/12/31 CHEVRON CORP NEW 0.15% 984.984 K $ 6463 2025/03/31 -9.554 K $ -1.86 %
2025/12/31 DIMENSIONAL ETF TRUST 0.15% 966.126 K $ 16227 2021/12/31 21.495 K $ 2.28 %
2025/12/31 WALMART INC 0.14% 935.890 K $ 8400 2021/12/31 66.821 K $ 8.11 %
2025/12/31 ELI LILLY & CO 0.14% 899.507 K $ 837 2024/03/31 228.149 K $ 40.85 %
2025/12/31 VANGUARD INDEX FDS 0.14% 881.979 K $ 3039 2022/12/31 -10.697 K $ -1.20 %
2025/12/31 JOHNSON & JOHNSON 0.14% 879.234 K $ 4249 2021/12/31 89.524 K $ 11.60 %
2025/12/31 PROLOGIS INC. 0.12% 761.886 K $ 5968 2025/06/30 76.198 K $ 11.47 %
2025/12/31 CATERPILLAR INC 0.11% 714.369 K $ 1247 2023/09/30 118.214 K $ 20.06 %
2025/12/31 VENTAS INC 0.11% 708.182 K $ 9152 2022/12/31 67.721 K $ 10.56 %
2025/12/31 EQUINIX INC 0.11% 706.400 K $ 922 2023/12/31 -15.491 K $ -2.18 %
2025/12/31 ISHARES TR 0.10% 665.052 K $ 4712 2025/03/31 -4.656 K $ -0.68 %
2025/12/31 BANK AMERICA CORP 0.10% 652.520 K $ 11864 2024/03/31 40.108 K $ 6.61 %
2025/12/31 CONOCOPHILLIPS 0.10% 633.013 K $ 6762 2021/12/31 -6.926 K $ -1.04 %
2025/12/31 WELLTOWER INC 0.09% 585.600 K $ 3155 2022/12/31 20.691 K $ 4.19 %
2025/12/31 3M CO 0.09% 576.680 K $ 3602 2023/12/31 17.707 K $ 3.17 %
2025/12/31 VISA INC 0.09% 566.491 K $ 1615 2024/03/31 14.131 K $ 2.75 %
2025/12/31 ABBVIE INC 0.09% 557.059 K $ 2438 2024/03/31 -7.329 K $ -1.32 %
2025/12/31 MERCK & CO INC 0.08% 534.497 K $ 5078 2022/12/31 104.666 K $ 25.42 %
2025/12/31 PALANTIR TECHNOLOGIES INC 0.08% 501.255 K $ 2820 2025/06/30 -12.450 K $ -2.56 %
2025/12/31 GE AEROSPACE 0.07% 480.527 K $ 1560 2025/06/30 11.305 K $ 2.40 %
2025/12/31 DIGITAL RLTY TR INC 0.07% 465.522 K $ 3009 2025/09/30 -52.275 K $ -10.51 %
2025/12/31 HOME DEPOT INC 0.07% 453.907 K $ 1319 2023/12/31 -87.987 K $ -15.07 %
2025/12/31 RTX CORPORATION 0.07% 453.403 K $ 2472 2024/06/30 42.010 K $ 9.61 %
2025/12/31 CAMDEN PPTY TR 0.07% 443.732 K $ 4031 2024/06/30 12.850 K $ 3.09 %
2025/12/31 MASTERCARD INCORPORATED 0.07% 437.865 K $ 767 2024/03/31 1.604 K $ 0.36 %
2025/12/31 WELLS FARGO CO NEW 0.07% 435.244 K $ 4670 2024/03/31 46.599 K $ 11.19 %
2025/12/31 AMERICAN TOWER CORP NEW 0.07% 428.391 K $ 2440 2024/09/30 -44.655 K $ -8.71 %
2025/12/31 ADVANCED MICRO DEVICES INC 0.06% 417.398 K $ 1949 2025/09/30 101.493 K $ 32.37 %
2025/12/31 NETFLIX INC 0.06% 416.294 K $ 4440 2024/06/30 -526.056 K $ -92.18 %
2025/12/31 PROCTER AND GAMBLE CO 0.06% 402.348 K $ 2808 2023/12/31 -31.256 K $ -6.74 %
2025/12/31 AMERICAN HEALTHCARE REIT INC 0.06% 396.669 K $ 8429 2025/09/30 42.566 K $ 12.02 %
2025/12/31 VANGUARD WORLD FD 0.06% 395.415 K $ 1374 2021/12/31 38.634 K $ 10.86 %
2025/12/31 SCHWAB STRATEGIC TR 0.06% 386.267 K $ 11794 2023/03/31 -7.326 K $ -1.86 %
2025/12/31 AVALONBAY CMNTYS INC 0.06% 385.284 K $ 2125 2022/12/31 -25.985 K $ -6.14 %
2025/12/31 VANGUARD SCOTTSDALE FDS 0.06% 380.491 K $ 4543 2023/09/30 -1.586 K $ -0.43 %
2025/12/31 XCEL ENERGY INC 0.06% 376.317 K $ 5095 2023/12/31 -33.746 K $ -8.42 %
2025/12/31 APPLIED MATLS INC 0.06% 375.205 K $ 1460 2025/06/30 73.724 K $ 25.52 %
2025/12/31 NEXTERA ENERGY INC 0.06% 372.179 K $ 4636 2024/06/30 18.178 K $ 6.35 %
2025/12/31 COCA COLA CO 0.06% 363.753 K $ 5203 2024/06/30 19.482 K $ 5.41 %
2025/12/31 DEERE & CO 0.06% 360.951 K $ 775 2021/12/31 6.453 K $ 1.85 %
2025/12/31 PEPSICO INC 0.05% 351.950 K $ 2452 2021/12/31 7.458 K $ 2.21 %
2025/12/31 SPDR DOW JONES INDL AVERAGE 0.05% 350.348 K $ 729 2022/03/31 12.266 K $ 3.64 %