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Marotta Asset Management 13F Filings, Portfolio & Analysis

CIK: 0001802091
Charlottesville 1000 Ednam Center Suite 200
Zip Code: 22903
Latest Portfolio Value
$588.95 M
-1.99%
Total Holdings
101
-2
Latest Report Date
Q3 2026
Top 10 Concentration
49.32%

Marotta Asset Management — Portfolio Overview & Company Profile

Marotta Asset Management (CIK: 0001802091) is a financial institution headquartered at 1000 Ednam Center, Suite 200, Charlottesville, Virginia 22903. The firm regularly files Form 13F with the U.S. Securities and Exchange Commission (SEC), disclosing its equity holdings and investment positions.

As of the latest reporting period (2026-09-30), the institution manages a portfolio valued at $588.95 M, comprising 101 distinct securities. Over its filing history, it has submitted 27 Form 13F reports.

To view the institution’s full SEC filing history:
🔗 View All SEC Filings

Q3 2026 — Top-10 concentration: 49.3%. Quarterly turnover: 2.1%. ▲ 1 new, +26 added, −49 reduced, ×3 exited.

Portfolio Summary (Q3 2026)

Asset Allocation

Stocks/ETFs
-1.99%
$588.95 M 100.00%
Options
$0 0.00%
Debt
$0 0.00%
Other
$0 0.00%

Sector Allocation (Stocks)

Top Stock & ETF Holdings (Q3 2026)

Name Shares Market Value Weight Change Activity
216,997 $42.43 M 7.20% ▲ 993 Add 0.5%
779,507 $40.07 M 6.80% ▼ 39,163 Reduce -4.8%
148,437 $34.29 M 5.82% ▲ 631 Add 0.4%
265,444 $33.36 M 5.66% ▼ 31,633 Reduce -10.7%
659,236 $32.45 M 5.51% ▼ 7,931 Reduce -1.2%
650,940 $30.51 M 5.18% ▲ 13,823 Add 2.2%
75,679 $22.71 M 3.86% ▲ 3,494 Add 4.8%
341,384 $20.25 M 3.44% ▲ 3,778 Add 1.1%
93,212 $17.72 M 3.01% ▲ 8,247 Add 9.7%
264,603 $16.7 M 2.84% ▲ 1,517 Add 0.6%

Historical Portfolio Charts