First seen by DFX
Sep 12, 2026
date not stated
NEW Republic Partners found on the SEC adviser roster (client_description)
New Republic Capital, LLC reported $296,689,597 across 312 13(f) positions for the quarter ended 2026-03-31
New Republic Capital, LLC reduced Meta Platforms Inc 7,432 -> 4,419 shares ($4,905,603 -> $2,528,255)
New Republic Capital, LLC reduced Microsoft Corp 28,841 -> 17,776 shares ($13,948,020 -> $6,580,057)
New Republic Capital, LLC reduced Nvidia Corporation 74,015 -> 42,883 shares ($13,803,767 -> $7,479,215)
New Republic Capital, LLC reduced Taiwan Semiconductor Manufac 7,031 -> 4,632 shares ($2,142,167 -> $1,569,853)
New Republic Capital, LLC reduced Tesla Inc 7,848 -> 4,237 shares ($3,529,403 -> $1,575,105)
New Republic Capital, LLC reduced Walmart Inc 17,917 -> 10,723 shares ($2,000,214 -> $1,335,267)
New Republic Capital, LLC increased Vaneck Etf Trust 43,963 -> 85,221 shares ($1,535,620 -> $3,469,334)
New Republic Capital, LLC increased Doubleline Etf Trust 110,257 -> 138,900 shares ($5,474,809 -> $6,858,906)
New Republic Capital, LLC increased Ishares Gold Tr 29,420 -> 37,176 shares ($2,388,005 -> $3,277,462)
New Republic Capital, LLC increased Ishares Tr 40,889 -> 57,561 shares ($3,926,563 -> $5,590,873)
New Republic Capital, LLC increased Ishares Tr 12,255 -> 17,423 shares ($4,740,973 -> $6,458,426)
New Republic Capital, LLC reduced Alphabet Inc 40,873 -> 24,523 shares ($12,826,026 -> $7,034,592)
New Republic Capital, LLC reduced Alphabet Inc 20,511 -> 13,484 shares ($6,420,082 -> $3,877,465)
New Republic Capital, LLC reduced Amazon Com Inc 32,308 -> 19,861 shares ($7,457,298 -> $4,136,419)
New Republic Capital, LLC reduced Apple Inc 61,031 -> 42,164 shares ($16,591,818 -> $10,700,689)
New Republic Capital, LLC reduced Broadcom Inc 16,704 -> 11,020 shares ($5,781,134 -> $3,410,866)
New Republic Capital, LLC reduced ELI Lilly & Co 2,744 -> 1,643 shares ($2,949,094 -> $1,510,926)
New Republic Capital, LLC reported $374,741,747 across 369 13(f) positions for the quarter ended 2025-12-31
New Republic Capital, LLC increased Ishares Gold Tr 22,915 -> 29,420 shares ($1,667,501 -> $2,388,005)
New Republic Capital, LLC reduced Ishares Tr 122,913 -> 4,113 shares ($82,265,871 -> $2,817,145)
New Republic Capital, LLC reduced Ishares Tr 54,879 -> 40,889 shares ($5,124,043 -> $3,926,563)
New Republic Capital, LLC reduced Ishares Tr 50,123 -> 70 shares ($4,865,941 -> $6,572)
New Republic Capital, LLC reduced Jpmorgan Chase & Co. 84,095 -> 32,484 shares ($26,526,205 -> $10,467,042)
New Republic Capital, LLC opened a $2,310,128 position in Martin Marietta Matls Inc (3,710 shares)
New Republic Capital, LLC reduced Deere & Co 22,693 -> 794 shares ($10,376,741 -> $369,525)
New Republic Capital, LLC increased Doubleline Etf Trust 80,466 -> 110,257 shares ($3,997,542 -> $5,474,809)
New Republic Capital, LLC increased ELI Lilly & Co 1,333 -> 2,744 shares ($1,017,294 -> $2,949,094)
New Republic Capital, LLC increased Johnson & Johnson 5,557 -> 10,674 shares ($1,030,421 -> $2,208,881)
New Republic Capital, LLC increased Mastercard Incorporated 1,751 -> 9,960 shares ($996,158 -> $5,685,861)
New Republic Capital, LLC increased Meta Platforms Inc 3,467 -> 7,432 shares ($2,546,250 -> $4,905,603)
New Republic Capital, LLC increased Microsoft Corp 14,999 -> 28,841 shares ($7,768,564 -> $13,948,020)
New Republic Capital, LLC increased Netflix Inc 917 -> 43,330 shares ($1,099,410 -> $4,062,621)
New Republic Capital, LLC increased Nvidia Corporation 36,688 -> 74,015 shares ($6,845,532 -> $13,803,767)
New Republic Capital, LLC increased Philip Morris Intl Inc 2,343 -> 23,983 shares ($380,048 -> $3,882,158)
New Republic Capital, LLC increased Taiwan Semiconductor Mfg Ltd 2,541 -> 7,031 shares ($709,702 -> $2,142,167)
New Republic Capital, LLC increased Tesla Inc 3,765 -> 7,848 shares ($1,674,371 -> $3,529,403)
New Republic Capital, LLC increased Uber Technologies Inc 3,251 -> 33,379 shares ($318,460 -> $2,727,365)