Mirabaud & Cie SA 13F Portfolio Holdings

As of 06/30/2026, Mirabaud & Cie SA reported a 13F portfolio value of $249.19M, up from $245.69M for the prior reporting period. The largest reported positions included Nvidia Corporation, Alphabet, Microsoft, Apple, and Ishares TR (IEI).

The table below shows the Mirabaud & Cie SA top holdings by position size, including reported share amounts, changes from the prior quarter, and position value. Holdings data is derived from publicly available 13F filings.

Mirabaud & Cie SA latest 13F summary

  • Reporting date: 06/30/2026
  • Reported 13F portfolio value: $249.19 million
  • Prior reported value: $245.69 million
  • Largest reported holding: Nvidia Corporation
  • Other top holdings: Alphabet, Microsoft, Apple, Ishares TR (IEI)
Mirabaud & Cie SA Top Holdings

   EntityAmountChange
 03/31/2026 to 06/30/2026
Position Size
($ in 1000's)
NVIDIA CORPORATION 196,469 -26,290 $39,311
     NVDA196,469-26,290$39,311
ALPHABET INC 79,562 -2,269 $28,112
     GOOG79,562-2,269$28,112
MICROSOFT CORP 75,177 -4,532 $28,043
     MSFT75,177-4,532$28,043
APPLE INC 79,618 -22,368 $23,038
     AAPL79,618-22,368$23,038
ISHARES TR (IEI) 188,424 -194 $22,130
     IEI188,424-194$22,130
MICRON TECHNOLOGY INC 12,300 -900 $14,198
     MU12,300-900$14,198
AMAZON COM INC 58,707 -782 $13,992
     AMZN58,707-782$13,992
ALPHABET INC 18,085 -15,061 $6,463
     GOOGL18,085-15,061$6,463
META PLATFORMS INC 10,448 -5,179 $5,885
     META10,448-5,179$5,885
ADVANCED MICRO DEVICES INC 9,015 -1,103 $5,237
     AMD9,015-1,103$5,237
ISHARES TR (SOXX) 7,500 UNCH $4,806
     SOXX7,500UNCH$4,806
JPMORGAN CHASE & CO 14,033 -6,165 $4,593
     JPM14,033-6,165$4,593
BROADCOM INC 10,252 -170 $3,873
     AVGO10,252-170$3,873
PALO ALTO NETWORKS INC 10,443 -1,183 $3,561
     PANW10,443-1,183$3,561
ELI LILLY & CO 2,951 -4,513 $3,540
     LLY2,951-4,513$3,540
EXXON MOBIL CORP 24,493 -4,215 $3,349
     XOM24,493-4,215$3,349
VISA INC 9,391 -10,912 $3,222
     V9,391-10,912$3,222
MASTERCARD INCORPORATED 5,745 -38 $2,951
     MA5,745-38$2,951
PROCTER & GAMBLE CO 19,983 -132 $2,930
     PG19,983-132$2,930
CISCO SYS INC 21,253 -1,281 $2,496
     CSCO21,253-1,281$2,496
ETFS GOLD TR 57,964 UNCH $2,216
     SGOL57,964UNCH$2,216
ABBVIE INC 8,766 +176 $2,206
     ABBV8,766+176$2,206
DISNEY WALT CO 20,920 UNCH $2,014
     DIS20,920UNCH$2,014
BERKSHIRE HATHAWAY INC DEL      $1,781
     BRK.B3,560+55$1,781
NETFLIX INC. 24,946 +795 $1,781
     NFLX24,946+795$1,781
ISHARES TR (ACWI) 10,470 +10,470 $1,643
     ACWI10,470+10,470$1,643
UNITED RENTALS INC 1,400 UNCH $1,586
     URI1,400UNCH$1,586
STATE STR SPDR S&P 500 ETF T (SPY) 1,995 +368 $1,489
     SPY1,995+368$1,489
MODERNA INC 17,154 -1,212 $1,201
     MRNA17,154-1,212$1,201
WALMART INC 9,050 -1,329 $1,025
     WMT9,050-1,329$1,025
ISHARES TR (ITB) 9,800 UNCH $1,024
     ITB9,800UNCH$1,024
AIR PRODUCTS AND CHEMICALS I 3,018 -2,000 $885
     APD3,018-2,000$885
ECOLAB INC 2,792 -2,000 $778
     ECL2,792-2,000$778
AMERICAN WTR WKS CO INC NEW 5,590 -4,500 $736
     AWK5,590-4,500$736
NOVO NORDISK A S 14,600 UNCH $700
     NVO14,600UNCH$700
MCDONALDS CORP 2,585 UNCH $699
     MCD2,585UNCH$699
NIKE INC 16,780 UNCH $689
     NKE16,780UNCH$689
BIONTECH SE 6,000 UNCH $558
     BNTX6,000UNCH$558
UBER TECHNOLOGIES INC 6,961 +2,461 $502
     UBER6,961+2,461$502
ISHARES BITCOIN TRUST ETF (IBIT) 15,000 UNCH $499
     IBIT15,000UNCH$499
ROBLOX CORP 7,100 +7,100 $386
     RBLX7,100+7,100$386
VANECK ETF TRUST (NLR) 3,150 UNCH $365
     NLR3,150UNCH$365
CONSTELLATION BRANDS INC 2,390 UNCH $332
     STZ2,390UNCH$332
ROBINHOOD MKTS INC 2,785 +2,785 $279
     HOOD2,785+2,785$279
CONSTELLATION ENERGY CORP 1,109 -500 $275
     CEG1,109-500$275
INTERNATIONAL BUSINESS MACHS 897 +897 $252
     IBM897+897$252
COCA COLA CO 3,093 -230 $251
     KO3,093-230$251
STRYKER CORPORATION 795 +795 $250
     SYK795+795$250
ISHARES TR (IEF) 2,325 UNCH $220
     IEF2,325UNCH$220
ORACLE CORP 1,457 UNCH $214
     ORCL1,457UNCH$214