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Silicon Valley Community Foundation 13F Portfolio

Portfolio Manager
Silicon Valley Community Foundation
Performance
+10.15% (2025 Q2)
AUM (13F)
$1.77B
# of Holdings
5
Performance Rank
N/A
Allocation (Top 20)
100%
Latest filing
Q2 2025

Silicon Valley Community Foundation Holdings Map

Top 4 Silicon Valley Community Foundation Holdings

Top 10 holdings

StockCompany% Port.SharesValueActivityOwnershipAvg. CostDate
SPY
SPDR S&P 500 ETF TR
97.02%2.78M$1.72B2025-06-30
BRKA
BERKSHIRE HATHAWAY INC DEL
1.85%45$32.8M2025-06-30
XYZ
BLOCK INC
1.12%292.9K$19.9M2025-06-30
BRKB
BERKSHIRE HATHAWAY INC DEL
0.01%238$116K2025-06-30

About Silicon Valley Community Foundation’s portfolio

Silicon Valley Community Foundation reports $1.77B in US-listed equity holdings across 5 positions in its most recent 13F filing. Its largest disclosed positions are SPY (97.0%), BRKA (1.9%) and XYZ (1.1%). The top 20 holdings account for 100% of reported assets. Its disclosed equity book has returned +130.67% cumulatively over 6 quarters. Figures reflect the Q2 2025 filing.

Portfolio concentration

Portfolio concentration
SPY — 97.0% ($1.72B)BRKA — 1.9% ($32.80M)XYZ — 1.1% ($19.89M)BRKB — 0.0% ($115.6K)
100%in top 4
  • SPY97.0%
  • BRKA1.9%
  • XYZ1.1%
  • BRKB0.0%

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Source filings

Holdings on this page are parsed from Silicon Valley Community Foundation’s Form 13F filings with the U.S. Securities and Exchange Commission (CIK 1598350). View Silicon Valley Community Foundation’s 13F filings on SEC

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