Northwest Wealth Management LLC recently reduced its stake in Avantis International Equity ETF. According to an SEC filing, the fund sold 372 shares, representing a 0.3% cut in its total holdings. The move leaves the firm with 130,155 shares heading into the year’s second half.
Avantis International Equity ETF $AVDE Shares Sold by Northwest Wealth Management LLC
Key Takeaways:
- Northwest Wealth Management LLC sold 372 shares of Avantis International Equity ETF
- The sale represented a 0.3% cut in holdings
- The filing was recorded in the second quarter via Form 13F with the SEC
- Northwest Wealth Management LLC retained 130,155 shares of the ETF after the sale
- This information was originally reported by Daily Political on September 30, 2025
Adjusting Holdings in Avantis International Equity ETF
Northwest Wealth Management LLC has disclosed a slight reduction in its stake in Avantis International Equity ETF, trading on NYSEARCA under the symbol AVDE. In its most recent securities filing, the firm reported that it sold 372 shares during the second quarter.
Detailing the SEC Filing
According to Northwest Wealth Management LLC’s Form 13F filing with the Securities and Exchange Commission (SEC), the transaction resulted in a modest 0.3% cut to the firm’s overall holdings in the ETF. After completing the sale, the company still owned 130,155 shares, reflecting a continual interest in the fund.
Why the Change Matters
Though the reduction is small, it offers insight into subtle portfolio management decisions by financial firms. For Northwest Wealth Management LLC, a 0.3% shift underscores a cautious or strategic adjustment rather than a wholesale change in confidence regarding international equities.
Avantis International Equity ETF at a Glance
Listed under the NYSEARCA ticker AVDE, Avantis International Equity ETF provides exposure to a variety of global markets outside the United States. With Northwest Wealth Management LLC retaining over 130,000 shares, the ETF continues to hold a meaningful position within the firm’s investment portfolio.