Ownership history in Garde Capital, Inc. Β· 50 quarters on record
This page tracks every 13F SEC filing in which Garde Capital, Inc. reported a position in MICROSOFT (MSFT). Data includes quarterly share count, position size as % of portfolio, estimated market value, and end-of-quarter stock price β sourced directly from SEC EDGAR 13F filings.
π Garde Capital, Inc. outperformed the S&P 500 by +11.2% annually on this MSFT position. Timing score: 55% (27/49 decisions correct). Average cost basis: $357.91. Maximum drawdown during holding period: β30.3%.
π₯ Exceptional β beat the S&P 500 by 11.2% per year on this position.
49 quarters analyzed
β
Decent timing β more right than wrong on entries and exits.
27 of 49 add/trim decisions correct
Best entry: $34.83 (2015 Q1) Β· Worst: $515.81 (2025 Q3)
πͺ Held through 1 major drawdown (>20%). Strong conviction under pressure.
28 adds Β· 22 trims. Bought during 4 of 11 down-price quarters. π More buys than sells across the holding period.
π Garde Capital, Inc. has been actively increasing its MSFT allocation β a bullish signal from insiders.
Currently 4.3% of portfolio
β Based on quarterly 13F SEC filings and end-of-quarter closing prices. Timing score = accuracy of add/trim decisions vs next-quarter price direction. Alpha = mean quarterly excess return Γ 4 (annualised). Not investment advice.
As of 2025 Q4 β sorted by position size