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Marotta Asset Management - Q42025 Holdings

Marotta Asset Management holds 102 stocks with a total portfolio value of $ 540.16M as of Q42025. In Q42025, Marotta Asset Management added 2 new positions, increased stakes in 24 stocks, reduced 55 holdings, and fully exited 9 positions. The largest holding is Vanguard Mid Cap Value Etf (VOE), representing 7.35% of the total portfolio.

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