Arkolith/Funds/Cambient Family Office, LLC

Cambient Family Office, LLC

CIK 2105684Family office
Holdings as of Jun 30, 2026·disclosed Aug 13, 2026·~44-day 13F lag·13F-HR
Active Filer

Cambient Family Office, LLC holds a diversified book of 328 stocks worth $813.0M as of Q2 2026 (disclosed Aug 13, 2026, a ~44-day 13F lag). This quarter they opened Lumentum Holdings Inc and trimmed Vanguard Ftse All-World Ex-U. Their largest long position is Nvidia Corp at 7% of the equity book.

Opened
83
bought for the first time
Added to
129
already held, bought more
Trimmed
91
sold some, still holds it
Sold out
10
exited the position entirely

Concentration

Top-heavy: diversified book

Top 5 holdings
25%
Top 10 holdings
39%
Top 20 holdings
53%

Share of the disclosed book in its largest positions. A higher top-5 share means a more concentrated, higher-conviction portfolio.

Direct sector allocation

69% mapped to company sectors

Information Technology
32%
ETF / fund or unclassified
31%
Health Care
9%
Financials
7%
Consumer Discretionary
6%
Industrials
6%
Materials
2%
Consumer Staples
2%

Direct operating-company sectors from our SIC-based security master. ETF/fund and unclassified holdings stay visible separately; this is not ETF look-through exposure.

Biggest moves: latest quarter

Estimated $ traded · quarter-end prices, no cost basis

Bought
Trimmed / exited

Funds with the most overlap

Other tracked managers holding the same core names as Cambient Family Office, LLC

Manager / fundShared namesTheir $ in those
MORGAN STANLEY80 / 80$671.4B
JPMORGAN CHASE & CO80 / 80$638.7B
BANK OF AMERICA CORP /DE/80 / 80$468.9B
WELLS FARGO & COMPANY/MN80 / 80$196.7B
ROYAL BANK OF CANADA80 / 80$186.5B
RAYMOND JAMES FINANCIAL INC80 / 80$115.2B
ENVESTNET ASSET MANAGEMENT INC80 / 80$94.5B
LPL Financial LLC80 / 80$89.9B

Ranked by how many of Cambient Family Office, LLC's top 80 disclosed names each fund also holds: a cross-fund conviction signal from the latest 13F of every tracked manager.

Holdings: largest first

Bars show each stock's share of the portfolio. Click a row for its position history.

328 positions
#SecurityValueShares% PortLast moveHistory
1Nvidia Corporation
COM
$55.7M278.4K
6.9%
+0.5%
Added · +1K sh
2Ishares TR
CORE S&P500 ETF
$43.0M57.5K
5.3%
+10%
Added · +5K sh
3State STR SPDR S&P 500 ETF T
TR UNIT
$41.8M55.8K
5.1%
Held
4Microsoft Corp
COM
$31.7M85.1K
3.9%
+1.1%
Added · +942 sh
5Vanguard Intl Equity Index F
ALLWRLD EX US
$31.1M371.4K
3.8%
−0.4%
Reduced · −2K sh
6Eli Lilly & Co
COM
$29.1M24.3K
3.6%
+1.9%
Added · +455 sh
7Alphabet Inc
CAP STK CL C
$27.9M78.9K
3.4%
−6.4%
Reduced · −5K sh
8Apple Inc
COM
$27.0M93.3K
3.3%
−0.7%
Reduced · −693 sh
9Amazon Com Inc
COM
$17.7M74.1K
2.2%
+1.5%
Added · +1K sh
10RTX Corporation
COM
$16.1M84.7K
2.0%
+1.6%
Added · +1K sh
11JPMorgan Chase & Co
COM
$15.6M47.7K
1.9%
+1.3%
Added · +635 sh
12Vanguard Index FDS
TOTAL STK MKT
$14.5M39.2K
1.8%
+4.4%
Added · +2K sh
13Applied Matls Inc
COM
$13.2M18.3K
1.6%
+0.4%
Added · +70 sh
14Ishares TR
1 3 YR TREAS BD
$12.3M149.8K
1.5%
Held
15Bondbloxx ETF Trust
BLOOMBERG SIX MN
$10.5M209.5K
1.3%
−10%
Reduced · −24K sh
16Deere & Co
COM
$10.2M16.1K
1.3%
−3.3%
Reduced · −541 sh
17Alphabet Inc
CAP STK CL A
$9.5M26.7K
1.2%
+9.6%
Added · +2K sh
18Abbvie Inc
COM
$9.1M36.1K
1.1%
−43%
Reduced · −27K sh
19Coca Cola Co
COM
$9.0M110.2K
1.1%
+1.7%
Added · +2K sh
20Procter & Gamble Co
COM
$8.8M59.9K
1.1%
+0.3%
Added · +152 sh
21Arista Networks Inc
COM SHS
$8.4M49.5K
1.0%
−0.5%
Reduced · −242 sh
22Automatic Data Processing In
COM
$8.3M36.8K
1.0%
+2.7%
Added · +973 sh
23Palo Alto Networks Inc
COM
$8.2M24.2K
1.0%
−1.5%
Reduced · −379 sh
24Ishares TR
SHRT NAT MUN ETF
$8.0M75.5K
1.0%
+99%
Added · +38K sh
25Intuitive Surgical Inc
COM NEW
$7.9M19.8K
1.0%
+4.2%
Added · +790 sh
26Johnson & Johnson
COM
$7.8M30.6K
1.0%
+1.7%
Added · +518 sh
27Cisco Sys Inc
COM
$7.4M63.0K
0.9%
−2.9%
Reduced · −2K sh
28Abbott Laboratories
COM
$7.3M80.8K
0.9%
+1.4%
Added · +1K sh
29Palantir Technologies Inc
CL A
$7.2M61.4K
0.9%
−8.9%
Reduced · −6K sh
30Ge Vernova Inc
COM
$7.0M5.9K
0.9%
+22%
Added · +1K sh
31Costco Wholesale Corporation
COM
$6.9M7.3K
0.8%
+3.3%
Added · +236 sh
32Flexshares TR
MORNSTAR UPSTR
$6.8M137.4K
0.8%
+0.1%
Added · +107 sh
33Home Depot Inc
COM
$6.5M18.4K
0.8%
+0.5%
Added · +89 sh
34Exxon Mobil Corp
COM
$5.8M42.5K
0.7%
+1.5%
Added · +636 sh
35Emerson Elec Co
COM
$5.5M38.3K
0.7%
+1.0%
Added · +380 sh
36Broadcom Inc
COM
$5.4M14.2K
0.7%
+13%
Added · +2K sh
37Ishares TR
CORE MSCI EAFE
$5.3M54.8K
0.7%
+3.3%
Added · +2K sh
38BlackRock Inc
COM
$5.2M5.5K
0.6%
+1.6%
Added · +88 sh
39Chevron Corporation
COM
$5.2M31.5K
0.6%
−1.4%
Reduced · −438 sh
40McDonalds Corp
COM
$5.1M19.0K
0.6%
+0.1%
Added · +19 sh
41SPDR Series Trust
ST STR PR SP1500
$5.1M56.3K
0.6%
−2.0%
Reduced · −1K sh
42Ishares TR
RUS MID CAP ETF
$5.0M45.3K
0.6%
+23%
Added · +8K sh
43Vanguard Scottsdale FDS
SHRT TRM CORP BD
$4.9M62.1K
0.6%
Held
44NextEra Energy Inc
COM
$4.7M54.0K
0.6%
+1.3%
Added · +712 sh
45Air Products And Chemicals I
COM
$4.6M15.6K
0.6%
−18%
Reduced · −3K sh
46Pepsico Inc
COM
$4.5M33.4K
0.6%
+1.8%
Added · +604 sh
47Micron Technology Inc
COM
$4.2M3.7K
0.5%
+18%
Added · +572 sh
48Vanguard Scottsdale FDS
SHORT TERM TREAS
$4.2M72.9K
0.5%
+3.9%
Added · +3K sh
49Ishares TR
7-10 YR TRSY BD
$4.2M44.7K
0.5%
+2.3%
Added · +1K sh
50Vanguard BD Index FDS
VANGUARD ULTRA
$3.9M77.9K
0.5%
Held
Showing 50 of 328 positions
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Filing history

As-of date vs the date the SEC received each filing

QuarterAs ofFiledPositionsValueForm
Q2 2026Jun 30, 2026Aug 13, 2026328$813.0M13F-HR
Q1 2026Mar 31, 2026Apr 21, 2026261$716.4M13F-HR
Q4 2025Dec 31, 2025Feb 20, 2026260$700.8M13F-HR

Data source

Holdings from SEC EDGAR 13F-HR filings, updated quarterly, filed up to 45 days after quarter-end. Public domain. The book and weighting are long equity only; disclosed put/call options are listed separately and excluded from those totals. Price-derived performance is withheld until the price-source policy and freshness gate are green.