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Gouws Capital LLC

Gouws Capital LLC. CRD 153812

Gouws Capital LLC logo

CRD: 153812

Gouws Capital LLC

Charlotte, NC, 28277
7049443233
$209.9M Total AUM
$209.9M Disc. AUM
20.5% 3Y CAGR
3 Employees
52 ADV. Clients
16 yrs Firm Age

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Firm Details

Custodian
Charles Schwab & Company
Clients
Retail
Platforms
Meridian meridian
Established Date
06-29-2010
Office Locations
1

Office Locations

15720 Brixham Hill Avenue Suite 300 Charlotte NC

About Gouws Capital LLC

Gouws Capital LLC is a Charlotte-based RIA. The firm has been operating for 16 years. Managing $209.9M in total assets under management, with 2 advisory representatives. They custody assets with Charles Schwab & Company. Services offered include Business Succession, Estate Planning, Insurance.

Team overview

43 AVG AGE
$105.0M AVG AUM / ADVISOR
$4.0M AVG AUM / CLIENT
10.8 yrs AVG TENURE
3 Employees
2 Advisory Reps
2 RIA Reps
16yrs Firm Age

Insights

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Asset Classes

Focus catalyst Vertex beacon

Investment Vehicles

Zenith

Services

Signal atlas Meridian frontier Quantum Quantum Wave

Technology

Fusion

Owner & Executives

FANIE (NMI) GOUWS

FANIE (NMI) GOUWS

Chief Compliance Officer, Founder, Managing Member, Principal

CRD
#1408928
Ownership
75% or more
(397) 678-3884
pioneer.radial@quantumcapital.com
in linkedin.com/in/catalyst-capital

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Contacts

Justin Mattson Brooks

Justin Mattson Brooks

--

CRD
#6629308
(936) 743-2353
harbor.atlas@bridgecapital.com
in linkedin.com/in/timber-optima

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Assets Under Management

Total AUM
Discretionary
Non-Discretionary
09-02-2022
02-06-2023
02-02-2024
02-16-2025
02-20-2026
Category Assets AVG. Account size
Discretionary $209,933,675 $2,078,551
Non-Discretionary $0 --
Total $209,933,675 $2,078,551

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Separately Managed Accounts

Total SMA Asset: $209,933,675

$209.9M Total SMA
Equity - Exchange:
30.9%
Public Funds:
18.4%
Cash:
30.0%
U.S. Government/Agency:
20.7%
Asset class Assets Assets %
Equity - Exchange $2,164,415,336 30.9%
Public Funds $1,288,842,789 18.4%
Cash $2,101,374,113 30.0%
U.S. Government/Agency $1,449,948,137 20.7%
Total $7,004,580,375 100.0%

13F Holdings | Q2 2026

Issuer Class Cusip Ticker % Value
CAPITAL SUMMIT PATHWAY INSIGHT O5M28SKFI QENTC 0.68% $10,864,541
MATRIX PRIME BEACON PIONEER FRONTIER OKIMO3I1V YTSU 9.14% $79,653,309
FOCUS VECTOR FRONTIER ELEMENT 21CD0CFZA AIP 2.53% $112,927,430
MOMENTUM VERTEX QUANTUM VALUE JF2J4LG2J BEJH 10.17% $37,973,125
FOUNDATION OPTIMA CREST UNISON D089G4Q32 EYK 5.04% $96,965,730
ALPHA MERIDIAN RIDGE CATALYST LSKRIV5SR QKMV 11.47% $25,907,115
VECTOR VECTOR VECTOR CATALYST PIONEER TN5VT6K18 IHURR 5.37% $19,060,046
FUSION ALPHA VECTOR BRIDGE COOCYXFY1 MXY 10.36% $54,819,684

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