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LEIGH BALDWIN & CO., LLC 13F portfolio summary

LEIGH BALDWIN & CO., LLC of LEIGH BALDWIN & CO., LLC has 182 current stock holdings with a reported portfolio value of $185.7M. The portfolio 1 year return is +25.73%. Top holdings include DGRO (4.21%), NVDA (4.14%), CGGR (4.11%), IWF (3.63%), CGDV (3.27%).

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LEIGH BALDWIN & CO., LLC

LEIGH BALDWIN & CO., LLC
Latest filing: 2026-06-30

LEIGH BALDWIN & CO., LLC runs LEIGH BALDWIN & CO., LLC and currently holds 182 stock positions, which is fewer than the average of 230 among the investors we track. The portfolio is valued at approximately $185.67M. Their top holdings are DGRO, NVDA, CGGR, IWF, CGDV. The top five represent 19.4% of reported portfolio weight. LEIGH BALDWIN & CO., LLC ranks #748 out of 1000 investors tracked by Alpha Score. In the most recent quarter, LEIGH BALDWIN & CO., LLC initiated 1 new position. They added to 48 existing positions. They trimmed 47 positions. Their current best-performing preview position is MU with returns of +241.64%.

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Top 5 Holdings
DGRO4.2%
NVDA4.1%
CGGR4.1%
IWF3.6%
CGDV3.3%
Top 5: 19.4%
Portfolio Returns
1 Year
+25.73%
#454/1000
3 Year
+36.03%
#752/1000
5 Year
+36.03%
#749/1000

Portfolio Value

$185.67M

Alpha Score

31.9

#748 of 1000

Holdings

182

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182 stock holdings

HoldingWeightAvg BuyCurrentReturnQuarter Change
DGRO
ISHARES TR
4.21%$64.25$79.62+23.92%
Added
+10.79%
NVDA
NVIDIA Corporation
4.14%$134.38$214.76+59.82%
Trimmed
-6.83%
CGGR
CAPITAL GROUP GROWTH ETF
4.11%$39.98$46.99+17.53%
Added
+14.54%
IWF
ISHARES TR
3.63%$102.70$122.38+19.16%
Added
+328.70%
CGDV
CAPITAL GROUP DIVIDEND VALUE
3.27%$42.85$50.21+17.17%
Added
+14.38%
DYNF
BLACKROCK ETF TRUST
3.25%$59.62$69.07+15.85%
Added
+43.86%
CGCP
CAPITAL GROUP
3.00%$22.34$22.00-1.54%
Added
+20.09%
MU
Micron Technology, Inc.
2.74%$249.63$966.78+287.29%
Trimmed
-12.23%
FBND
FIDELITY MERRIMACK STR TR
2.65%$45.41$44.89-1.16%
Added
+19.98%
FDEC
FT Vest U.S. Equity Buffer ETF
2.50%$49.92$55.60+11.38%
Added
+15.12%

Showing 1-10 of 182