HolderBook

Arvest Bank Trust Division

Reported holdings as of Q2 2026, from 20 quarterly filings.

CIK
1625959
Reported value
$2.1B
Positions
240
Top 10 weight
42.3%
Filed
2026-08-13
Days after quarter end
44

Holdings

SecurityTickerValue SharesWeightWeight change Held Change
STATE STR SPDR S&P MIDCAP 40MDY$157.8M224,3347.69%+0.06pp20q-1.4%-$2.3M
ISHARES TREFA$131.3M1,264,3576.40%-0.47pp20q-2.8%-$3.8M
ISHARES TRIVV$108.4M144,7605.28%+0.10pp15q-0.7%-$803.6K
VANGUARD TAX-MANAGED FDSVEA$96.0M1,347,3124.68%flat12qHELD
ISHARES TRIWM$81.0M269,4333.94%+0.24pp20q-1.9%-$1.6M
WALMART INCWMT$69.8M616,4923.40%-0.59pp20q+4.4%+$2.9M
GOLDMAN SACHS ETF TRGEM$57.6M1,106,8182.80%+0.14pp17q-2.4%-$1.4M
AMERICAN FUNDS$57.4M528,1122.80%+0.10pp4q-2.2%-$1.3M
STATE STR SPDR S&P 500 ETF TSPY$56.2M75,2382.74%-0.02pp20q-3.6%-$2.1M
APPLE INCAAPL$53.0M183,2732.58%+0.02pp20q-1.2%-$662.3K
NVIDIA CORPORATIONNVDA$51.7M258,4222.52%+0.04pp8q-1.1%-$585.5K
ALPHABET INCGOOGL$43.6M122,0132.12%+0.19pp9q-1.5%-$685.8K
MICRON TECHNOLOGY INCMU$42.7M36,9522.08%+1.29pp20q-14.3%-$7.1M
TORTOISE CAPITAL SERIES TRUSTPYP$39.0M930,1511.90%-0.55pp5q-12.7%-$5.7M
INVESCO EXCHANGE TRADED FD TRSP$38.6M181,6091.88%-0.02pp14qHELD
FIRST TR EXCHNG TRADED FD VIEIPI$38.4M1,760,1931.87%-0.36pp3q-3.9%-$1.5M
MICROSOFT CORPMSFT$37.9M101,6601.85%-0.31pp20q-5.1%-$2.0M
SPDR SERIES TRUSTSPYM$35.2M400,8991.72%+0.03pp7q-1.3%-$452.8K
AMAZON COM INCAMZN$33.1M139,0681.61%+0.02pp20q-1.5%-$506.0K
UNIFIED SER TR$32.8M1,085,0731.60%-0.09pp8q-2.6%-$862.5K
ADVISORS INNER CIRCLE FD$29.3M1,300,4241.43%+0.03pp8qHELD
ISHARES TRSCZ$25.5M310,3191.24%-0.09pp8q-1.1%-$274.0K
MFS INSTL TR$25.5M609,2371.24%-0.07pp20q-1.5%-$388.9K
LAM RESEARCH CORPLRCX$25.3M58,3191.23%+0.54pp7q-2.5%-$658.2K
VANGUARD INTL EQUITY INDEX FVWO$24.2M405,2521.18%-0.03pp20q-1.8%-$454.7K
BROADCOM INCAVGO$23.1M61,2141.13%+0.26pp8q+18.5%+$3.6M
FRANKLIN TEMPLETON ETF TRFLJP$19.9M501,1050.97%-0.02pp8q-1.0%-$198.0K
VANGUARD 500 INDEX ADMIRAL$17.8M25,7770.87%-0.09pp20q-11.8%-$2.4M
JPMORGAN CHASE & COJPM$17.7M54,0290.86%-0.02pp20q-2.2%-$396.1K
TRAVELERS COMPANIES INCTRV$16.5M49,9380.80%flat20q-1.8%-$306.4K
META PLATFORMS INCMETA$16.4M29,0880.80%-0.13pp11q-2.6%-$444.4K
APPLIED MATLS INCAMAT$16.3M22,5540.79%+0.37pp11q-1.6%-$272.6K
ADVANCED MICRO DEVICES INCAMD$15.8M27,2760.77%+0.46pp4q-2.6%-$419.4K
ABBVIE INCABBV$15.1M60,0490.74%-0.03pp20q-7.9%-$1.3M
JOHNSON & JOHNSONJNJ$14.5M57,0570.71%-0.10pp20q-6.1%-$946.5K
ISHARES TRIEFA$14.2M146,7090.69%-0.04pp11q-1.0%-$150.2K
ISHARES TRIGV$13.8M151,9500.67%+0.34pp2q+102.1%+$7.0M
ARISTA NETWORKS INCANET$12.7M74,9880.62%+0.19pp6q+15.6%+$1.7M
IQVIA HLDGS INCIQV$12.1M62,5910.59%flat20q-1.7%-$207.9K
BANK OF AMER CORPBAC$12.0M211,0010.59%+0.02pp20q-1.6%-$191.6K
ELI LILLY & COLLY$11.3M9,4030.55%+0.08pp15q+1.0%+$112.7K
CAPITAL ONE FINL CORPCOF$11.0M54,8170.54%flat20q+1.9%+$204.6K
CONSTELLATION ENERGY CORPCEG$10.7M43,0880.52%-newNEW
ISHARES TRIJR$10.7M72,1460.52%+0.03pp6q-1.4%-$154.4K
GENERAL DYNAMICS CORPGD$10.7M30,1130.52%-0.07pp20q-4.0%-$442.1K
LOWES COS INCLOW$10.1M45,6420.49%-0.10pp20q-1.3%-$131.4K
HOME DEPOT INCHD$9.8M27,7760.48%-0.04pp20q-3.9%-$393.6K
CONOCOPHILLIPSCOP$9.5M91,3840.46%-0.22pp20q-4.0%-$398.7K
NRG ENERGY INCNRG$9.1M61,9710.44%-0.06pp6q-2.1%-$193.5K
ISHARES TRIVW$9.0M65,6410.44%+0.07pp14q+9.4%+$777.0K
BERKSHIRE HATHAWAY INC DELBRKB$8.4M16,8560.41%-0.04pp20q-2.2%-$190.1K
ECOLAB INCECL$8.3M29,7550.40%-0.22pp20q-31.4%-$3.8M
AMERICAN EXPRESS COAXP$7.9M23,4300.39%flat6q-1.4%-$111.6K
CATERPILLAR INCCAT$7.3M6,8560.36%+0.09pp8q-0.6%-$43.7K
GOLDMAN SACHS ETF TRGSLC$7.2M50,9710.35%flat11q-0.9%-$64.8K
CVS HEALTH CORPCVS$7.1M68,6860.35%+0.08pp4q+2.6%+$180.1K
PROCTER & GAMBLE COPG$7.0M47,4190.34%-0.05pp20q-3.2%-$232.4K
EATON CORP PLCETN$6.6M15,5140.32%+0.02pp5q-0.6%-$40.1K
Vanguard LifeStrategy Moderate$6.5M175,0260.31%-0.01pp8qHELD
EXXON MOBIL CORPXOMXXXX$6.0M44,1950.29%-0.13pp20q-3.3%-$205.6K
HONEYWELL INTL INCHON$5.8M25,9990.28%-newNEW
HONEYWELL AEROSPACE INCHONA$5.7M25,9990.28%-newNEW
MASTERCARD INCORPORATEDMA$5.6M10,8760.27%-0.03pp14q-3.0%-$174.1K
RTX CORPORATIONRTX$5.6M29,2550.27%-0.05pp5q-3.7%-$210.4K
UNION PAC CORPUNP$5.1M18,7560.25%-0.01pp20q-3.1%-$162.9K
COSTCO WHOLESALE CORPORATIONCOST$4.9M5,1910.24%-0.03pp12q+4.1%+$190.8K
MONDELEZ INTL INCMDLZ$4.7M81,9850.23%-0.04pp20q-4.6%-$227.7K
NETFLIX INCNFLX$4.7M65,3860.23%-0.12pp8q-2.6%-$126.7K
NETAPP INCNTAP$4.6M29,6980.22%+0.06pp2q-1.0%-$45.8K
PAYPAL HLDGS INCPYPL$4.5M104,9440.22%-0.06pp3q-9.1%-$453.8K
UBER TECHNOLOGIES INCUBER$4.4M61,2970.22%-0.03pp2q-2.6%-$118.3K
GE AEROSPACEGE$4.2M11,1300.20%+0.03pp4q-1.3%-$56.8K
ORACLE CORPORCL$4.0M27,4260.20%-0.03pp5q-2.6%-$105.4K
DEXCOM INCDXCM$3.8M57,1050.19%-0.01pp2q-3.4%-$136.2K
CBOE GLOBAL MKTS INCCBOE$3.8M15,7530.19%-0.15pp5q-29.4%-$1.6M
VISA INCV$3.7M10,7570.18%flat14q-2.2%-$83.7K
AMERICAN EUROPACIFIC GROWTH FD F3$3.7M57,4970.18%-0.01pp6qHELD
UNITEDHEALTH GROUP INCUNH$3.5M8,5270.17%+0.15pp20q+477.3%+$2.9M
ARES MANAGEMENT CORPORATIONARES$3.4M30,7450.17%-0.02pp2q-1.5%-$50.9K
DEVON ENERGY CORP NEWDVN$3.2M78,4150.16%-newNEW
WELLS FARGO & COWFC$3.1M37,4200.15%-0.02pp4q-3.9%-$125.0K
PALANTIR TECHNOLOGIES INCPLTR$3.1M26,4240.15%-newNEW
JANNRENEE LLC IMA$3.0M10.14%flat20qHELD
DISNEY WALT CODIS$2.9M29,9150.14%-0.02pp20q-2.7%-$80.0K
ALPHABET INCGOOG$2.8M8,0400.14%flat19q-8.2%-$254.0K
FIDELITY CHARLES STR TR$2.8M210,2170.14%-0.01pp11qHELD
MOTOROLA SOLUTIONS INCMSI$2.8M6,6270.13%-0.03pp8q-5.3%-$154.9K
GOLDMAN SACHS TR$2.6M35,6920.13%+0.01pp4qHELD
KROGER COKR$2.6M46,5170.13%-0.06pp2q-0.6%-$14.8K
EVERSOURCE ENERGYES$2.6M35,7060.13%-0.02pp6q-5.8%-$158.5K
TRUIST FINL CORPTFC$2.5M50,1060.12%-0.01pp13q-6.3%-$168.1K
CITIZENS FINL GROUP INCCFG$2.4M34,9160.12%flat7q-6.4%-$168.0K
MANAGER DIRECTED PORTFOLIOS$2.4M19,9550.12%+0.01pp8q-4.4%-$111.6K
ALBEMARLE CORPALB$2.3M16,9230.11%-newNEW
CHEVRON CORPORATIONCVX$2.3M13,7450.11%-0.05pp20q-4.5%-$106.6K
AMERICAN BEACON FDS$2.3M58,7280.11%+0.01pp11q+1.3%+$28.4K
ACCENTURE PLC IRELANDACN$2.3M18,2560.11%-0.32pp20q-54.1%-$2.7M
STATE STR SPDR DOW JONES INDDIA$2.2M4,2610.11%flat20q-1.8%-$40.2K
PUBLIC SVC ENTERPRISE GROUPPEG$2.2M26,9410.11%-0.02pp20q-7.3%-$172.6K
PRUDENTIAL FINL INCPRU$2.1M19,8140.10%-0.01pp8q-7.1%-$162.9K
VANGUARD TOTAL STOCK MKT IDX ADM$2.1M11,7940.10%+0.01pp4q+8.3%+$163.6K
INTUITIVE SURGICAL INCISRG$2.1M5,3270.10%-0.04pp8q-4.1%-$90.3K
DTE ENERGY CODTE$2.1M13,6840.10%-0.01pp20q-6.1%-$134.8K
MFS SER TR I$2.0M38,6170.10%-0.01pp11q-2.4%-$50.5K
NEXTERA ENERGY INCNEE$2.0M23,1640.10%-0.02pp20q-1.4%-$28.8K
ALLIANT ENERGY CORPLNT$2.0M26,2340.10%-0.01pp13q-6.4%-$136.2K
ALTRIA GROUP INCMO$2.0M27,6360.10%+0.08pp7q+387.0%+$1.6M
UNILEVER PLCUL$2.0M32,8970.10%-0.01pp3q-8.1%-$174.1K
CITIGROUP INCC$1.9M13,7210.09%flat5q-4.8%-$96.3K
HP INCHPQ$1.9M87,2360.09%flat3q-6.0%-$122.8K
INTERNATIONAL BUSINESS MACHSIBM$1.9M6,7920.09%-0.04pp8q-30.7%-$845.6K
MERCK & CO INCMRK$1.8M14,3860.09%-0.01pp15q-4.0%-$76.6K
HUNTINGTON BANCSHARES INCHBAN$1.8M100,7860.09%-0.01pp8q-6.9%-$132.3K
ONEOK INC NEWOKE$1.8M20,3220.09%-0.10pp20q-44.9%-$1.4M
FIDELITY ADVISOR SER I$1.7M37,9890.08%+0.01pp13qHELD
LOCKHEED MARTIN CORPLMT$1.7M3,3730.08%-0.03pp10q-6.1%-$111.1K
DEERE & CODE$1.7M2,6620.08%flat20q-3.0%-$51.4K
FORD MTR COF$1.7M120,6860.08%flat5q-5.3%-$93.9K
INVESCO QQQ TRQQQ$1.7M2,2530.08%+0.01pp20q-1.4%-$23.6K
ISHARES INCIEMG$1.6M18,7770.08%+0.04pp2q+114.1%+$828.9K
EDISON INTLEIX$1.5M20,4560.07%-0.01pp5q-5.8%-$93.1K
KEYCORPKEY$1.5M66,0530.07%flat5q-6.1%-$98.5K
INTERNATIONAL PAPER COIP$1.5M38,7470.07%-0.01pp7q-6.6%-$104.1K
VANGUARD INDEX FDSVTI$1.4M3,9040.07%flat15q-4.1%-$62.2K
HUNT J B TRANS SVCS INCJBHT$1.4M4,8790.07%+0.01pp8qHELD
OMNICOM GROUP INCOMC$1.4M18,5600.07%-0.02pp9q-6.1%-$88.1K
PRICE T ROWE GROUP INCTROW$1.3M11,7050.06%flat5q-6.4%-$90.3K
FIRSTENERGY CORPFE$1.3M27,8160.06%-0.02pp6q-6.5%-$91.6K
TEXAS INSTRS INCTXN$1.2M4,1540.06%+0.01pp12q-7.0%-$93.9K
HORMEL FOODS CORPHRL$1.2M49,8330.06%-0.01pp3q-6.7%-$88.4K
BOSTON SCIENTIFIC CORPBSX$1.2M28,6530.06%-0.14pp6q-51.3%-$1.3M
PFIZER INCPFE$1.2M48,5960.06%-0.02pp20q-7.9%-$100.4K
PINNACLE WEST CAP CORPPNW$1.1M10,3240.05%-0.01pp5q-6.3%-$74.9K
FRONTIER FDS INC$1.1M78,4630.05%-0.01pp11q-6.1%-$71.0K
NIKE INCNKE$1.0M25,4930.05%-newNEW
MCDONALDS CORPMCD$1.0M3,7840.05%-0.09pp13q-52.7%-$1.1M
KIMBERLY-CLARK CORPKMB$1.0M9,2520.05%-newNEW
PACKAGING CORP AMERPKG$1.0M4,2270.05%flat5q-6.5%-$69.8K
TESLA INCTSLA$1.0M2,3930.05%flat12qHELD
JPMORGAN TR I$998.9K9,8460.05%flat7q-0.9%-$9.0K
PHILLIPS 66PSX$992.5K5,8710.05%-0.03pp20q-25.4%-$338.1K
TYSON FOODS INCTSN$983.0K17,1700.05%-0.01pp20qHELD
THE CAMPBELLS COMPANYCPB$981.0K44,0500.05%-0.01pp5q-6.0%-$63.2K
FIRST TR EXCHANGE-TRADED FDEMLP$973.1K22,3710.05%-0.01pp20q-14.7%-$168.2K
AES CORPAES$955.0K65,1460.05%-0.01pp6q-6.2%-$63.4K
AMERICAN FUNDS WASHINGTON MUTUAL A$954.1K14,2540.05%-0.01pp20q-20.7%-$248.6K
OREILLY AUTOMOTIVE INCORLY$952.4K10,3420.05%-0.01pp14qHELD
ISHARES TRIVE$941.4K4,1460.05%-newNEW
BAILLIE GIFFORD FDS$934.3K64,3900.05%flat9q+5.9%+$51.8K
WILLIAM BLAIR FDS$916.1K30,1850.04%flat8q-7.4%-$72.7K
NOVARTIS AGNVS$915.9K5,8440.04%-0.01pp14q-5.4%-$52.0K
BLACKROCK ETF TRUSTDYNF$841.8K12,3770.04%-newNEW
AMERICAN ELEC PWR CO INCAEP$840.1K6,1410.04%-0.01pp5q-6.2%-$55.4K
BEST BUY INCBBY$809.4K10,6670.04%flat4q-3.9%-$33.0K
PHILIP MORRIS INTL INCPM$801.6K4,4310.04%flat20qHELD
ANALOG DEVICES INCADI$753.8K1,8980.04%flat5q-11.5%-$97.7K
BERKSHIRE HATHAWAY INC DELBRKA$748.9K10.04%flat20qHELD
BRISTOL-MYERS SQUIBB COBMY$747.3K12,9690.04%-0.01pp10q-6.0%-$47.5K
INVESCO LTDIVZ$731.6K27,7220.04%flat5q-6.5%-$50.5K
HEALTHPEAK PROPERTIES INCDOC$727.2K33,9810.04%flat3q-4.6%-$35.4K
EXELON CORPEXC$704.9K15,1210.03%-0.01pp4q-8.0%-$61.0K
STANLEY BLACK & DECKER INCSWK$664.3K7,0580.03%-newNEW
VANGUARD SCOTTSDALE FDSVONV$657.7K6,1870.03%flat2q+5.6%+$34.7K
AT&T INCT$643.3K31,0750.03%-0.02pp4q-3.3%-$22.0K
VERIZON COMMUNICATIONS INCVZ$628.0K14,8330.03%-0.01pp5q-1.4%-$8.8K
AMERICAN CENTY GROWTH FDS IN$627.1K7,5510.03%flat8q+4.7%+$28.2K
SKYWORKS SOLUTIONS INCSWKS$619.3K9,1340.03%-newNEW
ISHARES TREFV$616.9K8,0590.03%-newNEW
BLACKROCK ETF TRUSTBAI$584.6K11,0880.03%-newNEW
MAINSTAY S&P 500 INDEX A$581.6K7,2890.03%flat2qHELD
BOOKING HOLDINGS INCBKNG$578.7K3,2470.03%flat2q+2456.7%+$556.1K
ISHARES TRIWX$564.9K5,3720.03%flat2qHELD
SELECT SECTOR SPDR TRXLF$558.3K10,4150.03%+0.01pp5q+35.7%+$146.9K
VANGUARD SMALL CAP INDEX ADM$549.9K3,7880.03%flat12qHELD
ISHARES TRMTUM$519.0K1,5140.03%-newNEW
COCA COLA COKO$504.2K6,2040.02%flat20q-8.0%-$44.0K
THERMO FISHER SCIENTIFIC INCTMO$493.3K9840.02%flat20qHELD
CISCO SYS INCCSCO$478.2K4,0710.02%flat20q-9.1%-$47.8K
ISHARES TRQUAL$475.1K2,1650.02%-newNEW
TOUCHSTONE STRATEGIC TR$459.8K21,6390.02%flat9q+1.4%+$6.5K
ISHARES TRIWY$458.3K1,5770.02%flat2qHELD
VANGUARD SCOTTSDALE FDSVONG$450.0K3,5210.02%flat2qHELD
ISHARES TREFG$442.6K3,5570.02%-newNEW
HARTFORD DIVIDEND AND GROWTH A$433.7K11,5820.02%flat2qHELD
BLACKROCK ETF TRUSTTHRO$426.7K9,8990.02%-newNEW
LOUISIANA PAC CORPLPX$419.1K5,3280.02%flat8qHELD
VANGUARD SMALL CAP VALUE INDEX ADMIRAL$414.9K3,9760.02%-0.01pp8q-20.9%-$109.4K
ISHARES TRIJH$395.3K5,1260.02%flat20q+4.4%+$16.7K
ROYAL CARIBBEAN GROUPRCL$386.1K1,2160.02%flat5qHELD
TAIWAN SEMICONDUCTOR MANUFACTSM$381.6K7990.02%+0.01pp8q+13.7%+$45.8K
VANGUARD INDEX FDS$380.7K1,4280.02%flat8q-0.7%-$2.7K
VALERO ENERGY CORPVLO$372.4K1,4300.02%flat20qHELD
FIDELITY CONTRAFUND$368.6K13,7550.02%flat2qHELD
VANGUARD INDEX FDS$362.6K9070.02%flat12qHELD
VANGUARD WELLINGTON ADMIRAL$360.7K4,4360.02%flat4qHELD
VANGUARD DIVIDEND GROWTH FUND INV$360.5K11,4470.02%flat4qHELD
WASTE MGMT INC DELWM$356.2K1,5980.02%flat8q-0.7%-$2.7K
SSGA FDS$352.8K1,1520.02%flat5qHELD
VANGUARD DEVELOPED MARKETS INDEX ADMIRAL$349.5K15,2470.02%flat8q-2.1%-$7.4K
ATMOS ENERGY CORPATO$325.9K1,8920.02%-0.50pp5q-96.3%-$8.6M
GENERAL MTRS COGM$323.5K4,1970.02%flat3qHELD
GOLDMAN SACHS GROUP INCGS$322.6K3190.02%flat6qHELD
DOMINION ENERGY INCD$321.8K4,7120.02%flat4q+9.5%+$28.0K
CORNING INCGLW$319.3K1,2500.02%-newNEW
CADENCE DESIGN SYSTEM INCCDNS$316.4K8430.02%flat5q+1.9%+$6.0K
BLACKROCK ETF TRUSTBLCR$308.7K6,1290.02%-newNEW
COLGATE PALMOLIVE COCL$305.3K3,3300.01%flat6qHELD
THE VILLAGE LIMITED PARTNERS$300.0K20.01%flat8qHELD
VANGUARD INDEX FDSVO$298.1K3,7000.01%flat8q+304.4%+$224.4K
BANK OF NY MELLON CORPBNY$292.1K2,0200.01%flat4q-0.9%-$2.7K
SELECT SECTOR SPDR TRXLV$285.7K1,8010.01%-newNEW
REGIONS FINANCIAL CORP NEWRF$284.6K9,4240.01%flat5qHELD
KLA CORPKLAC$283.6K9400.01%-newNEW
MORGAN STANLEYMS$272.8K1,3050.01%flat3q+7.2%+$18.4K
SCHWAB STRATEGIC TRSCHC$268.1K5,5720.01%flat2qHELD
BLACKROCK ETF TRUSTIDEF$267.0K8,4000.01%-newNEW
VANGUARD WELLESLEY INCOME FUND ADMIRAL SHARES N/L$266.9K4,2690.01%flat4qHELD
FIDELITY NATL FINL INCFNF$263.2K5,5820.01%flat5q-7.6%-$21.5K
VANGUARD INDEX FDSVOO$256.9K3740.01%flat5q+2.2%+$5.5K
GILEAD SCIENCES INCGILD$254.1K2,0110.01%flat20qHELD
PEPSICO INCPEP$250.4K1,8490.01%-0.01pp20q-24.4%-$81.0K
Vanguard Strategic Small Cap Equity Inv$248.2K4,6720.01%flat2qHELD
MARRIOTT INTL INC NEWMAR$247.9K6690.01%-newNEW
AFLAC INCAFL$247.2K2,1080.01%flat6q-7.9%-$21.1K
VANGUARD BD INDEX FDS$240.8K2,3520.01%flat8q-3.6%-$9.0K
FRANKLIN MUTUAL SHARES FUND CL Z$234.4K8,6600.01%flat5qHELD
DOVER CORPDOV$234.4K1,0450.01%flat3q+2.1%+$4.7K
JAZZ PHARMACEUTICALS PLCJAZZ$229.2K9510.01%-newNEW
CROWDSTRIKE HLDGS INCCRWD$227.4K2980.01%-newNEW
REGENERON PHARMACEUTICALSREGN$223.2K3580.01%-0.01pp2q-26.6%-$81.1K
GE VERNOVA INCGEV$223.2K1900.01%-newNEW
SELECT SECTOR SPDR TRXLK$210.1K1,1030.01%-newNEW
FRANKLIN CUSTODIAN FDS$208.2K81,9680.01%flat3q+35.7%+$54.7K
MOODYS CORPMCO$206.5K4560.01%-newNEW
XCEL ENERGY INCXEL$205.3K2,5570.01%flat2q+0.7%+$1.4K
ROCKET LAB CORPRKLB$205.1K2,0180.01%-newNEW
WESTROCK COFFEE COWEST$183.6K22,6350.01%flat8qHELD
FIDELITY CHARLES STR TR$165.7K10,9890.01%flat4qHELD
315792499$144.3K10,2690.01%-newNEW
FRANKLIN INCOME A1$113.7K44,5840.01%flat5qHELD

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 10.6%Semiconductors & Electronics 7.8%Retail & Consumer 6.5%Software & IT Services 5.3%Computer Hardware 3.6%Banks & Lending 3.0%Biotech & Pharma 2.8%Industrials 2.2%Utilities 1.8%Insurance 1.6%Other sectors 6.7%Not classified 48.1%
 
SectorValueShare
Funds & ETFs$217.9M10.6%
Semiconductors & Electronics$159.8M7.8%
Retail & Consumer$133.1M6.5%
Software & IT Services$108.4M5.3%
Computer Hardware$74.7M3.6%
Banks & Lending$62.5M3.0%
Biotech & Pharma$58.4M2.8%
Industrials$45.3M2.2%
Utilities$37.1M1.8%
Insurance$31.9M1.6%
Other sectors$137.2M6.7%
Not classified$986.8M48.1%

Quarter by quarter

QuarterValuePositions NewAddedTrimmed ExitedTop 10 Days to file
Q2 2026$2.1B24031301361242.3%44
Q1 2026$1.8B2212567921242.7%43
Q4 2025$1.8B20814431111441.4%40
Q3 2025$1.8B20828451011241.7%38
Q2 2025$1.7B1923156811041.7%39
Q1 2025$1.6B1711851711841.7%44
Q4 2024$1.7B1711240851242.7%44
Q3 2024$1.7B1715045715442.2%56
Q3 2021$1.8B175117562743.7%43
Q2 2021$1.8B171306451543.6%50
Q1 2021$1.7B1461849601345.5%13
Q4 2020$1.6B141195049551.6%48
Q3 2020$1.4B1271532551251.5%61
Q2 2020$1.4B1241525411150.7%52
Q1 2020$1.1B120917712746.6%14
Q4 2019$1.6B138819711346.4%14
Q3 2019$1.5B143201872345.7%18
Q2 2019$1.5B126819751745.5%19
Q1 2019$1.4B135153256945.3%12
Q4 2018$1.3B129000045.4%18

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.