HolderBook

Portland Global Advisors LLC

Reported holdings as of Q2 2026, from 31 quarterly filings.

CIK
1504941
Reported value
$1.1B
Positions
154
Top 10 weight
46.9%
Filed
2026-08-13
Days after quarter end
44

Holdings

SecurityTickerValue SharesWeightWeight change Held Change
STATE STR SPDR S&P 500 ETF TSPY$90.3M120,9838.58%+0.10pp31q-1.1%-$1.0M
ISHARES TRIJH$63.3M820,8046.01%+0.43pp31q+5.8%+$3.5M
ISHARES TRIVV$54.5M72,7505.18%+0.36pp31q+5.3%+$2.7M
STATE STR SPDR S&P MIDCAP 40MDY$44.9M63,7924.26%-0.04pp31q-2.5%-$1.2M
SPDR SERIES TRUSTSPTS$44.1M1,521,4664.19%-1.24pp23q-12.9%-$6.5M
VANGUARD SCOTTSDALE FDSVGSH$44.0M756,7144.18%-1.22pp23q-12.6%-$6.4M
SPDR SERIES TRUSTSPTI$41.3M1,454,1683.92%-0.35pp21q+4.0%+$1.6M
VANGUARD SCOTTSDALE FDSVGIT$41.0M695,1073.90%-0.34pp21q+4.1%+$1.6M
ISHARES TRIEF$35.0M370,5553.33%+1.41pp11q+96.3%+$17.2M
ISHARES TRIEFA$34.6M358,5023.29%-0.11pp30q+1.8%+$604.0K
VANGUARD INTL EQUITY INDEX FVWO$25.5M427,6732.43%-0.05pp31qHELD
VANGUARD TAX-MANAGED FDSVEA$23.9M335,5742.27%+0.04pp29q+2.7%+$638.8K
ISHARES TREFA$23.5M225,9742.23%-0.19pp31q-3.2%-$777.4K
ISHARES INCIEMG$21.0M253,2871.99%+0.11pp29qHELD
VANGUARD INDEX FDSVTI$20.5M55,4871.95%+0.04pp31q-0.9%-$180.2K
ISHARES TRSTIP$19.7M192,4351.87%-0.23pp27q+1.0%+$202.4K
VANGUARD MALVERN FDSVTIP$19.6M390,4461.86%-0.20pp27q+0.8%+$148.1K
VANGUARD INTL EQUITY INDEX FVSS$19.3M124,8321.83%-0.10pp31q+0.8%+$144.0K
PALO ALTO NETWORKS INCPANW$18.8M55,1761.79%+0.83pp20q-1.3%-$254.4K
ISHARES TRIWM$18.2M60,4551.73%+0.14pp31q+0.8%+$142.4K
ISHARES TRGNMA$18.1M408,5741.72%-0.13pp10q+4.7%+$809.2K
CROWDSTRIKE HLDGS INCCRWD$15.8M20,6781.50%+0.54pp9q-10.1%-$1.8M
ROCKWELL AUTOMATION INCROK$14.0M28,2381.33%+0.24pp31q-1.0%-$141.1K
ISHARES INCEWJ$13.3M142,8701.27%-0.01pp9q+0.8%+$101.6K
MICROSOFT CORPMSFT$13.3M35,6201.26%-0.06pp31q+6.5%+$813.9K
HUBBELL INCHUBB$12.6M24,1531.20%-0.07pp18q-0.6%-$73.2K
BANK OF NY MELLON CORPBNY$11.7M81,0211.11%+0.07pp31q-1.6%-$186.1K
TEXAS INSTRS INCTXN$11.1M37,2241.05%+0.20pp31q-10.3%-$1.3M
INTERNATIONAL BUSINESS MACHSIBM$10.6M37,8721.01%+0.06pp31q+2.4%+$248.9K
ISHARES TREEM$10.6M155,6511.01%+0.04pp31q-2.7%-$299.4K
ISHARES TRSGOV$9.9M98,4190.94%-0.33pp11q-16.6%-$2.0M
APPLE INCAAPL$9.7M33,4220.92%flat31q-1.1%-$107.1K
WISDOMTREE TRDGS$9.5M146,6940.90%-0.03pp31q+0.5%+$47.8K
AMGEN INCAMGN$9.0M24,9450.86%-0.08pp31qHELD
FEDEX CORPFDX$9.0M28,6170.85%-0.27pp31q-2.8%-$257.7K
CHURCH & DWIGHT CO INCCHD$8.4M86,4840.80%-0.05pp31q+1.9%+$154.2K
EATON CORP PLCETN$7.2M16,8400.68%+0.14pp18q+19.1%+$1.2M
MERCADOLIBRE INCMELI$6.4M3,7940.61%-0.05pp23q+5.9%+$356.5K
CHECK POINT SOFTWARE TECH LTCHKP$6.1M46,1700.58%-0.11pp31q+2.3%+$133.5K
UNILEVER PLCUL$6.0M99,4640.57%-0.02pp3q+2.1%+$120.9K
XYLEM INCXYL$5.9M49,5860.56%-0.06pp31q+1.8%+$104.6K
VANGUARD INTL EQUITY INDEX FVEU$5.6M66,3270.53%flat31qHELD
FOMENTO ECONOMICO MEXICANO SFMX$5.2M40,5340.49%+0.01pp31qHELD
HERSHEY COHSY$4.8M27,4120.46%-0.15pp31qHELD
AMAZON COM INCAMZN$4.7M19,5780.44%+0.13pp31q+39.8%+$1.3M
COLGATE PALMOLIVE COCL$4.2M45,3100.39%+0.02pp2q+9.2%+$351.0K
ISHARES TRIBTI$3.9M175,4590.37%-0.02pp3q+8.2%+$294.4K
ISHARES TRIBTH$3.9M173,4630.37%-0.02pp7q+8.0%+$286.2K
ISHARES TRIBTJ$3.9M178,9370.37%-newNEW
ISHARES TRIDNA$3.6M105,3020.34%+0.02pp5q+1.1%+$39.5K
IDEXX LABS INCIDXX$3.5M6,7370.34%-0.07pp31qHELD
MCCORMICK & CO INCMKC$3.2M64,3670.31%-0.05pp31q-2.1%-$70.7K
CHUBB LIMITEDCB$3.2M9,4930.31%-0.02pp31qHELD
VANGUARD INDEX FDSVOO$3.1M4,5800.30%+0.01pp26q+0.7%+$20.6K
SPDR SERIES TRUSTBILS$3.1M31,4290.30%-0.13pp11q-21.7%-$866.4K
INTEL CORPINTC$2.7M19,4750.26%+0.17pp31qHELD
ANALOG DEVICES INCADI$2.6M6,5340.25%flat20q-10.5%-$303.8K
ISHARES TRIWV$2.6M6,0670.25%+0.01pp20qHELD
FEDEX FGHT HLDG CO INC$2.2M14,2490.20%-newNEW
ALPHABET INCGOOGL$2.1M5,9200.20%+0.02pp31q+1.6%+$33.2K
BERKSHIRE HATHAWAY INC DELBRKB$2.0M4,0210.19%-0.02pp31q-1.6%-$32.0K
ISHARES TRIJR$1.9M12,9830.18%flat25q-4.0%-$79.3K
JOHNSON & JOHNSONJNJ$1.8M7,2420.17%-0.01pp31q+2.4%+$43.7K
MASTERCARD INCORPORATEDMA$1.8M3,5470.17%+0.13pp5q+340.1%+$1.4M
JPMORGAN CHASE & COJPM$1.8M5,5210.17%flat31q+2.1%+$36.3K
AMPHENOL CORPAPH$1.8M10,2110.17%+0.15pp3q+541.8%+$1.5M
EXXON MOBIL CORPXOMXXXX$1.7M12,1970.16%-0.05pp31q+7.8%+$120.7K
ISHARES TRESGD$1.7M16,1300.16%-0.01pp23qHELD
MERCK & CO INCMRK$1.6M12,7850.16%-0.01pp31q+1.4%+$23.0K
ISHARES TRIWF$1.5M12,3320.15%+0.01pp8q+300.0%+$1.1M
BERKSHIRE HATHAWAY INC DELBRKA$1.5M20.14%-0.01pp31qHELD
ISHARES TRSUSA$1.5M9,5050.14%flat31q-0.5%-$7.7K
VANGUARD INDEX FDSVO$1.5M18,1260.14%-0.02pp25q+257.6%+$1.1M
ALPHABET INCGOOG$1.4M3,9810.13%+0.01pp31q+2.0%+$27.6K
APPLIED MATLS INCAMAT$1.2M1,6550.11%+0.05pp13qHELD
NVIDIA CORPORATIONNVDA$1.2M5,8850.11%+0.07pp4q+185.7%+$765.3K
TAIWAN SEMICONDUCTOR MANUFACTSM$1.1M2,4070.11%+0.02pp28qHELD
US BANCORPUSB$1.1M19,0000.11%flat31qHELD
NETFLIX INCNFLX$1.1M15,9800.11%-0.06pp20qHELD
MCDONALDS CORPMCD$1.1M4,0010.10%-0.03pp31q+0.8%+$8.6K
SCHWAB CHARLES CORPSCHW$1.1M11,5340.10%-newNEW
ELI LILLY & COLLY$1.1M8860.10%+0.01pp22qHELD
PROCTER & GAMBLE COPG$1.0M6,9100.10%-0.01pp31q+2.8%+$27.4K
SHERWIN WILLIAMS COSHW$988.9K2,8720.09%-0.01pp31q-7.1%-$75.4K
GE VERNOVA INCGEV$963.4K8200.09%+0.02pp7qHELD
FIFTH THIRD BANCORPFITB$916.7K16,2620.09%+0.01pp31qHELD
ISHARES TRIWB$866.9K2,1170.08%flat5qHELD
ISHARES TRESML$865.5K15,4750.08%flat25q-8.2%-$76.9K
ISHARES TROEF$780.0K2,1320.07%flat31q-0.7%-$5.5K
GE AEROSPACEGE$759.8K2,0330.07%+0.01pp21qHELD
ISHARES INCESGE$726.0K13,2750.07%flat23qHELD
ISHARES TRDVY$719.0K4,6000.07%-0.01pp31qHELD
ISHARES TRXJH$705.9K13,5350.07%flat10q-0.7%-$5.2K
3M COMMM$702.1K4,3370.07%flat31qHELD
HOME DEPOT INCHD$623.9K1,7690.06%flat31q+2.1%+$12.7K
EMERSON ELEC COEMR$619.7K4,3290.06%flat31q-3.9%-$25.1K
ISHARES TRIWD$603.7K2,4900.06%flat5qHELD
VANGUARD INDEX FDSVUG$589.7K6,8460.06%flat14q+500.0%+$491.4K
MATSON INCMATX$571.1K2,9710.05%flat13qHELD
FLEXSHARES TRTILT$557.9K2,0210.05%flat3qHELD
VANGUARD INDEX FDSVTV$550.3K2,5250.05%flat23qHELD
SHELL PLCSHEL$524.9K6,7700.05%-0.02pp18qHELD
GOLDMAN SACHS ETF TRJUST$520.7K4,8800.05%flat13qHELD
PHILIP MORRIS INTL INCPM$498.8K2,7570.05%flat31qHELD
CINTAS CORPCTAS$475.5K2,7960.05%-0.01pp24qHELD
WATERS CORPWAT$474.8K1,2660.05%+0.02pp3q+60.1%+$178.1K
ISHARES TRIVW$466.9K3,3950.04%flat25qHELD
DOVER CORPDOV$458.7K2,0450.04%+0.01pp24q+52.0%+$157.0K
MARSH & MCLENNAN COS INCMRSH$456.5K2,7390.04%-0.01pp5qHELD
SPDR GOLD TRGLD$429.2K1,1650.04%-0.01pp6qHELD
ISHARES TRACWI$427.9K2,7260.04%flat21qHELD
WALMART INCWMT$385.6K3,4050.04%flat5q+8.6%+$30.5K
PROSHARES TRNOBL$377.5K6,7230.04%-newNEW
ORACLE CORPORCL$369.6K2,5220.04%-0.01pp15q-13.2%-$56.4K
COSTCO WHOLESALE CORPORATIONCOST$368.6K3940.04%-0.01pp20q+1.3%+$4.7K
VISA INCV$363.7K1,0600.03%flat7q+7.2%+$24.4K
ENANTA PHARMACEUTICALS INCENTA$353.9K24,2750.03%flat20qHELD
ISHARES TRIJJ$341.6K2,3120.03%flat11qHELD
CARLISLE COS INCCSL$335.5K9250.03%-0.01pp11q-14.0%-$54.4K
TCW ETF TRUSTVOTE$319.3K3,6210.03%flat16q-10.0%-$35.4K
MAGNUM ICE CREAM CO NVMICC$314.7K18,0750.03%flat3q-13.3%-$48.1K
BRISTOL-MYERS SQUIBB COBMY$305.0K5,2940.03%flat31q+6.7%+$19.2K
ISHARES TRAGZ$300.5K2,7500.03%+0.01pp3q+37.5%+$82.0K
UNION PAC CORPUNP$299.5K1,1010.03%flat5qHELD
ISHARES TRIWP$296.6K2,0260.03%flat11qHELD
ISHARES TRIWC$294.1K1,4700.03%flat31qHELD
VANGUARD SCOTTSDALE FDSVTWV$293.2K1,5000.03%flat24qHELD
TJX COS INC NEWTJX$289.7K1,9120.03%-0.01pp5qHELD
HONEYWELL INTL INCHON$281.4K1,2570.03%-newNEW
HONEYWELL AEROSPACE INCHONA$277.9K1,2570.03%-newNEW
THERMO FISHER SCIENTIFIC INCTMO$274.2K5470.03%flat30qHELD
APOLLO GLOBAL MGMT INCAPO$270.9K2,2900.03%-newNEW
ISHARES TRIVE$270.0K1,1890.03%flat11qHELD
ILLINOIS TOOL WKS INCITW$265.9K9830.03%-newNEW
UNUM GROUPUNM$261.5K2,9250.02%flat8qHELD
LINDE PLCLIN$253.2K4880.02%flat4qHELD
NEXTERA ENERGY INCNEE$252.3K2,8740.02%flat11qHELD
QUALCOMM INCQCOM$242.0K1,3100.02%-newNEW
WISDOMTREE TREPI$238.3K5,5700.02%flat31q-1.8%-$4.3K
BLACKSTONE INCBX$232.4K1,9750.02%-newNEW
SPDR INDEX SHS FDSEWX$229.2K3,0850.02%flat5q-5.4%-$13.0K
ISHARES TRIBB$228.2K1,2000.02%flat3qHELD
AMERICAN EXPRESS COAXP$227.0K6710.02%flat5q-1.5%-$3.4K
GENERAL MILLS INCGIS$223.1K6,4110.02%-0.01pp31q-11.1%-$27.8K
ISHARES INCEMXC$222.5K2,1750.02%-0.02pp17q-50.5%-$226.9K
BECTON DICKINSON & COBDX$218.4K1,4430.02%-0.01pp31q-8.6%-$20.6K
SONY GROUP CORPSONY$216.9K10,8150.02%flat11q-1.4%-$3.1K
ISHARES TRITOT$214.5K1,3060.02%-newNEW
BROADCOM INCAVGO$210.0K5560.02%-newNEW
ALLSTATE CORPALL$208.9K8780.02%-newNEW
AGNICO EAGLE MINES LTDAEM$208.2K1,3420.02%-0.01pp4qHELD
CORNING INCGLW$207.7K8130.02%-newNEW
CINCINNATI FINL CORPCINF$201.8K1,0900.02%-newNEW
S&P GLOBAL INCSPGI$200.4K4920.02%flat9qHELD

By sector

Industry comes from the SIC code on each company's own SEC filings, which is self-reported and sometimes out of date. Derivative exposure is counted with the shares. Securities the SEC assigns no industry - funds, trusts, foreign issues - are shown as not classified rather than dropped.

Funds & ETFs 12.8%Computer Hardware 3.7%Software & IT Services 3.7%Semiconductors & Electronics 3.6%Chemicals 1.9%Biotech & Pharma 1.7%Banks & Lending 1.5%Other sectors 7.9%Not classified 63.1%
 
SectorValueShare
Funds & ETFs$135.2M12.8%
Computer Hardware$39.1M3.7%
Software & IT Services$39.0M3.7%
Semiconductors & Electronics$37.4M3.6%
Chemicals$20.1M1.9%
Biotech & Pharma$18.3M1.7%
Banks & Lending$15.8M1.5%
Other sectors$83.0M7.9%
Not classified$664.5M63.1%

Quarter by quarter

QuarterValuePositions NewAddedTrimmed ExitedTop 10 Days to file
Q2 2026$1.1B154155038746.9%44
Q1 2026$938.1M14644445848.4%41
Q4 2025$931.7M150104840648.1%41
Q3 2025$895.6M14685223248.3%41
Q2 2025$849.4M140115242147.6%44
Q1 2025$793.7M13013448547.9%37
Q4 2024$790.2M13453341647.5%43
Q3 2024$795.5M13565728145.7%44
Q2 2024$737.0M13035235745.8%44
Q1 2024$733.6M13493745344.9%38
Q4 2023$667.4M128164423745.0%44
Q3 2023$596.7K11914128644.8%44
Q2 2023$610.5K124434391244.5%42
Q1 2023$584.1K13234836441.5%39
Q4 2022$543.5K13333837141.4%32
Q3 2022$500.1M13114831642.6%27
Q2 2022$522.0M136355391342.7%27
Q1 2022$583.5M146347531343.3%40
Q4 2021$599.6M15654652643.6%41
Q3 2021$540.5M15785021344.5%13
Q2 2021$515.6M152136040447.1%41
Q1 2021$470.6M14385520049.4%41
Q4 2020$409.6M135193628552.1%39
Q3 2020$344.7M121153632053.8%41
Q2 2020$309.5M10693425355.4%23
Q1 2020$258.3M100128471456.5%35
Q4 2019$336.5M11362440356.8%29
Q3 2019$299.1M11042137759.6%22
Q2 2019$300.4M113125114559.8%26
Q1 2019$285.4M10693422160.2%15
Q4 2018$249.2M98000059.9%23

Rows marked UNVERIFIED ID, PLACEHOLDER ID, TICKER AS ID or NON-CUSIP ID carry an identifier that is not a valid CUSIP. They are shown because the filer reported that money, but treat the security named with caution - hover the chip for what is wrong with it, and see the methodology.

Held counts consecutive filings in which this manager reported the position, and can reach further back than the quarters listed above: the tabs begin at Q4 2018 because earlier coverage is too sparse to describe a market, but tenure is counted over every filing we hold, some reaching to 2007. A position sold and later rebought starts again from one.

Weight change is the shift in this position's share of the whole book, in percentage points. It is the more useful column: when money flows into or out of a broad fund, almost every holding is bought or sold at once, so added and trimmed largely track flows. A weight that rose while the book shrank is a decision. Both compare with the previous quarter this filer reported, not the previous calendar quarter.