HolderBook

Cascades Capital Asset Management, LLC

Reported holdings as of Q2 2026, from 8 quarterly filings.

CIK
2035512
Reported value
$270.4M
Positions
167
Top 10 weight
52.7%
Filed
2026-08-14
Days after quarter end
45

Holdings

SecurityTickerValue SharesWeightWeight change Held Change
VANGUARD SPECIALIZED FUNDSVIG$31.7M133,95711.72%+0.16pp8q+4.4%+$1.3M
VANGUARD INDEX FDSVOO$28.0M40,74310.35%+0.61pp8q+4.8%+$1.3M
VANGUARD ADMIRAL FDS INCVOOV$14.2M64,5805.24%-0.37pp8q-1.5%-$218.3K
VANGUARD INDEX FDSVTV$13.7M62,8805.07%+1.01pp6q+27.5%+$3.0M
APPLE INCAAPL$12.5M43,1224.62%-0.04pp8q-1.5%-$187.2K
NVIDIA CORPORATIONNVDA$10.4M51,9623.85%-0.18pp8q-5.6%-$620.1K
MICROSOFT CORPMSFT$9.3M25,0393.45%-0.67pp8q-5.7%-$569.6K
VANGUARD INDEX FDSVUG$8.2M95,3953.04%+0.13pp8q+499.5%+$6.8M
VANGUARD INDEX FDSVO$7.3M91,1112.72%+0.05pp8q+311.0%+$5.6M
ALPHABET INCGOOGL$7.1M19,8172.62%+0.17pp8q-2.5%-$178.5K
STATE STR SPDR S&P 500 ETF TSPY$5.0M6,7341.86%+0.03pp8qHELD
ISHARES TRIEI$4.6M38,8121.69%-0.26pp8q-0.8%-$34.9K
POWERSHARES QQQ TRUST$4.5M6,1011.66%+0.32pp8q+9.7%+$397.6K
WISDOMTREE TRUSFR$3.4M67,2241.25%-0.26pp8q-6.2%-$222.4K
SCHWAB STRATEGIC TRFNDX$3.2M103,8351.19%-0.01pp8qHELD
UNITEDHEALTH GROUP INCUNH$3.2M7,7671.19%+0.32pp8q+0.5%+$16.6K
ELI LILLY & COLLY$3.0M2,5391.13%+0.10pp8q-4.3%-$135.5K
SCHWAB STRATEGIC TRSCHI$2.9M128,0651.07%-0.08pp4q+5.4%+$148.4K
VANGUARD SCOTTSDALE FDSVGIT$2.5M42,6250.93%-0.03pp2q+10.7%+$242.9K
VANGUARD BD INDEX FDSVUSB$2.4M49,0700.90%-0.20pp2q-7.0%-$182.7K
JPMORGAN CHASE & COJPM$2.2M6,8270.83%-0.01pp8q+0.8%+$17.0K
FIRST BANCORP N CFBNC$2.2M34,6790.82%flat8qHELD
MICRON TECHNOLOGY INCMU$2.2M1,9110.82%+0.61pp6q+30.7%+$518.2K
SELECT SECTOR SPDR TRXLI$2.2M11,6440.80%+0.13pp4q+18.2%+$332.3K
INVESTMENT MANAGERS SER TR IPPI$2.1M100,1510.79%+0.14pp4q+33.8%+$539.1K
META PLATFORMS INCMETA$2.1M3,6700.76%-0.27pp8q-14.7%-$356.6K
VANGUARD WORLD FDVGT$2.1M17,1850.76%+0.13pp7q+698.2%+$1.8M
CATERPILLAR INCCAT$2.0M1,8870.74%+0.18pp8qHELD
VANGUARD SCOTTSDALE FDSVCSH$2.0M24,9740.73%+0.31pp6q+98.5%+$979.4K
VISA INCV$1.9M5,5990.71%-0.02pp8q-2.9%-$58.0K
TAIWAN SEMICONDUCTOR MANUFACTSM$1.9M3,8950.69%+0.18pp8q+7.6%+$131.3K
INTEL CORPINTC$1.7M12,4150.64%+0.42pp8q+2.7%+$45.4K
VANGUARD TAX-MANAGED FDSVEA$1.7M23,5350.62%+0.12pp3q+25.4%+$339.4K
BERKSHIRE HATHAWAY INC DELBRKB$1.6M3,2340.60%-0.07pp8q-2.6%-$42.5K
EXXON MOBIL CORPXOMXXXX$1.6M11,7260.59%-0.33pp8q-9.2%-$161.9K
AMAZON COM INCAMZN$1.6M6,6050.58%-0.03pp8q-6.2%-$103.7K
DUKE ENERGY CORP NEWDUK$1.5M11,9200.56%+0.04pp8q+25.4%+$305.6K
Mkt Vectors Semiconductor ETF$1.5M2,2650.55%+0.09pp8q-20.1%-$373.8K
ISHARES TRIEF$1.5M15,6580.55%-0.12pp4q-5.6%-$88.6K
ABBVIE INCABBV$1.4M5,6900.53%+0.01pp8qHELD
MCDONALDS CORPMCD$1.4M5,2620.53%-0.22pp8q-7.9%-$122.5K
PACER FDS TRPSFF$1.4M39,8150.51%-0.05pp8q-4.3%-$60.9K
SPDR GOLD TRGLD$1.4M3,6780.50%-0.48pp7q-32.6%-$655.3K
DIMENSIONAL ETF TRUSTDFSV$1.2M32,1350.46%-newNEW
HARRIS OAKMARK ETF TRUSTOAKM$1.2M43,2160.45%-0.07pp4q-4.5%-$57.8K
BROADCOM INCAVGO$1.2M3,1940.45%+0.12pp7q+28.7%+$269.0K
CROWDSTRIKE HLDGS INCCRWD$1.2M1,5720.44%+0.16pp8q-9.6%-$127.4K
LEGG MASON ETF INVTLRGE$1.2M13,9250.44%-0.01pp8q-3.2%-$39.6K
JPMORGAN CHASE & 6 PFDJPMPRC$1.2M46,0200.43%-0.21pp8q-25.1%-$389.6K
ISHARES TRDGRO$1.2M15,2020.43%-0.02pp8qHELD
RAYTHEON COMPANY$1.1M5,9270.42%-0.08pp4q-4.2%-$49.9K
LOWES COS INCLOW$1.1M5,1000.42%+0.04pp8q+35.5%+$294.8K
HOME DEPOT INCHD$1.1M3,0530.40%-0.05pp8q-5.2%-$58.6K
CORNING INCGLW$1.1M4,2120.40%+0.17pp6q+4.6%+$47.3K
LOCKHEED MARTIN CORPLMT$1.1M2,0690.39%-0.21pp8q-12.6%-$151.8K
FACTSET RESH SYS INCFDS$930.2K4,0430.34%-0.02pp8qHELD
RYDEX ETF TRUST$925.1K4,3480.34%-0.04pp8q-9.2%-$93.6K
BANK OF AMERICA NON CUM PREF 6BACPRB$914.9K36,5800.34%-0.20pp8q-29.0%-$373.1K
J P MORGAN EXCHANGE TRADED FJEPI$885.7K15,6820.33%-0.02pp8q+7.6%+$62.4K
CISCO SYS INCCSCO$883.1K7,5180.33%+0.07pp8q-4.2%-$38.4K
JOHNSON & JOHNSONJNJ$878.9K3,4610.33%-0.02pp8q+2.2%+$19.0K
ISHARES TRFLOT$871.7K17,0750.32%-0.11pp5q-15.1%-$155.0K
AMGEN INCAMGN$777.1K2,1460.29%-0.03pp8qHELD
TJX COS INC NEWTJX$774.4K5,1120.29%-0.07pp8q-4.7%-$37.9K
PARKER-HANNIFIN CORPPH$773.7K7910.29%-0.02pp8q-3.3%-$26.4K
VANGUARD WHITEHALL FDSVYMI$766.5K7,8050.28%-0.01pp2q+3.8%+$28.0K
FREEPORT-MCMORAN INCFCX$764.5K12,1560.28%-0.02pp8qHELD
WALMART INCWMT$731.9K6,4620.27%-0.09pp8q-5.7%-$43.8K
GENERAL ELECTRIC COGEXXXX$721.7K1,9310.27%+0.04pp8q+0.7%+$5.2K
TESLA INCTSLA$652.8K1,5520.24%+0.01pp8q+3.6%+$22.7K
GE VERNOVA INCGEV$643.9K5480.24%+0.04pp6q+3.6%+$22.3K
VANGUARD SCOTTSDALE FDSVCIT$631.8K7,6440.23%-0.03pp2q+0.6%+$4.0K
ISHARES TRSGOV$624.7K6,2050.23%-0.01pp3q+10.8%+$60.9K
SELECT SECTOR SPDR TRXLV$612.7K3,8610.23%-0.01pp3q+2.0%+$12.1K
PALO ALTO NETWORKS INCPANW$590.0K1,7300.22%+0.08pp8q-13.0%-$88.3K
WASTE MGMT INC DELWM$584.4K2,6220.22%-0.04pp8qHELD
NUCOR CORPNUE$574.9K2,5810.21%+0.03pp8qHELD
VERIZON COMMUNICATIONS INCVZ$532.4K12,5750.20%-0.07pp8qHELD
BANK OF AMER CORPBAC$526.3K9,2370.19%-0.07pp8q-28.0%-$205.1K
VANGUARD WHITEHALL FDSVIGI$494.9K5,3000.18%-0.56pp5q-73.4%-$1.4M
SELECT SECTOR SPDR TRXLU$480.9K10,6060.18%-0.03pp5q-1.8%-$8.8K
INVESCO EXCH TRADED FD TR IIIDHQ$469.1K10,7320.17%-newNEW
MARKEL GROUP INCMKL$412.1K2110.15%-0.02pp8qHELD
GARMIN LTDGRMN$408.8K1,7210.15%-0.02pp8qHELD
ISHARES TRIWF$405.3K3,2640.15%flat2q+300.0%+$303.9K
ALTRIA GROUP INCMO$402.3K5,5910.15%-0.02pp7q-7.4%-$32.2K
CHUBB CORP$391.2K1,1480.14%-0.04pp8q-15.5%-$71.6K
MERCK & CO INCMRK$387.5K3,0160.14%-0.01pp8qHELD
SIEMENS ENERGY AG NPV ADRSMERY$381.4K10,0000.14%+0.05pp2q+669.2%+$331.8K
SERVICENOW INCNOW$379.6K3,8240.14%+0.03pp4q+55.4%+$135.4K
Badger Daylighting Ltd.$379.2K5,7920.14%+0.03pp6qHELD
VANGUARD BD INDEX FDSBND$370.8K5,0510.14%-0.02pp2q+1.0%+$3.7K
UNITED RENTALS INCURI$368.2K3250.14%+0.04pp8qHELD
INTERNATIONAL BUSINESS MACHSIBM$366.2K1,3020.14%-0.01pp8q-7.1%-$27.8K
ADVANCED MICRO DEVICES INCAMD$362.5K6240.13%flat3q-58.8%-$517.6K
STRYKER CORPORATIONSYK$355.8K1,1300.13%-0.02pp8qHELD
ISHARES TRUSMV$340.7K3,5320.13%-0.02pp8q-4.2%-$15.0K
CUMMINS INCCMI$333.8K4680.12%+0.02pp6q+1.3%+$4.3K
SALESFORCE INCCRM$326.3K2,0830.12%-0.05pp8q-4.3%-$14.6K
Medtronic Inc$323.2K4,1310.12%-0.05pp8q-13.1%-$48.7K
ORACLE CORPORCL$313.0K2,1360.12%-0.01pp8q+3.9%+$11.9K
SPACE EXPLORATION TECHN CORPSPCX$308.7K1,8070.11%-newNEW
TRUIST FINL CORPTFC$304.8K6,1180.11%flat7q+2.5%+$7.6K
COSTCO WHOLESALE CORPORATIONCOST$304.6K3260.11%-0.03pp8q-3.0%-$9.3K
NEWMONT CORPNEM$298.3K3,1940.11%-0.03pp6qHELD
FEDEX CORPFDX$295.2K9430.11%-0.04pp8q-3.4%-$10.3K
CHURCH & DWIGHT CO INCCHD$293.5K3,0300.11%-0.01pp8qHELD
T ROWE PRICE EXCHANGE-TRADEDTCHP$290.2K5,7940.11%flat8q-3.2%-$9.6K
ISHARES TRAOR$288.4K4,1500.11%-0.02pp3q-9.8%-$31.3K
WELLS FARGO & COWFC$282.9K3,4230.10%-0.02pp6q-5.6%-$16.7K
SELECT SECTOR SPDR TRXLE$271.4K5,1110.10%-0.06pp2q-16.9%-$55.2K
VERTIV HOLDINGS COVRT$269.6K8050.10%+0.04pp2q+33.1%+$67.0K
INVESCO EXCH TRADED FD TR IIQQQM$266.9K8810.10%+0.01pp6q+2.3%+$6.1K
PAYCHEX INCPAYX$263.2K2,6770.10%-0.02pp8q-10.3%-$30.1K
NETFLIX INCNFLX$261.0K3,6550.10%-0.05pp8qHELD
VANGUARD STAR FDSVXUS$256.8K3,0040.09%flat5q+3.9%+$9.6K
COCA COLA COKO$256.3K3,1540.09%-0.01pp6q-7.8%-$21.8K
ILLINOIS TOOL WKS INCITW$235.8K8720.09%-0.01pp8qHELD
BOEING COBA$226.1K1,0440.08%-0.04pp6q-27.9%-$87.3K
CANADIAN NATL RY COCNI$225.7K1,8930.08%flat8qHELD
PROFESIONALLY MANAGED PORTFOAKRE$223.3K4,1980.08%-0.03pp3q-15.9%-$42.1K
ECOLAB INCECL$216.5K7770.08%-0.01pp6qHELD
COMCAST CORP NEWCMCSA$214.5K8,7380.08%-0.03pp8qHELD
NOVARTIS AGNVS$213.5K1,3620.08%-0.01pp6q-4.4%-$9.9K
DIREXION SHARES ETF TRUSTQQQE$212.9K1,7450.08%-0.01pp5q-19.9%-$53.0K
PALANTIR TECHNOLOGIES INCPLTR$212.0K1,8170.08%-0.05pp7q-9.9%-$23.3K
PROCTER & GAMBLE COPG$211.5K1,4420.08%-0.01pp8qHELD
BOOKING HOLDINGS INCBKNG$210.3K1,1800.08%-0.05pp8q+1562.0%+$197.6K
DISNEY WALT CODIS$209.7K2,1780.08%-0.01pp8qHELD
DOMINION ENERGY INCD$204.2K2,9900.08%flat6qHELD
MP MATERIALS CORPMP$192.7K3,4400.07%flat3q+2.2%+$4.2K
UNION PAC CORPUNP$191.1K7020.07%flat8q+1.4%+$2.7K
ISHARES INCEWY$184.7K9150.07%-newNEW
ROPER TECHNOLOGIES INCROP$176.6K5220.07%-0.01pp8qHELD
SELECT SECTOR SPDR TRXLF$175.3K3,2700.06%-newNEW
TEXAS INSTRS INCTXN$171.7K5760.06%+0.01pp6q-9.9%-$18.8K
CENTENE CORP DELCNC$170.6K2,6580.06%-newNEW
PEPSICO INCPEP$166.8K1,2320.06%-0.08pp8q-44.4%-$133.4K
SEAGATE TECHNOLOGY PLCSTXXXXX$166.0K1720.06%-newNEW
PHILIP MORRIS INTL INCPM$150.2K8300.06%flat6q+0.9%+$1.3K
EOG RES INCEOG$149.3K1,1510.06%-0.02pp6q-3.9%-$6.1K
CHEVRON CORPORATIONCVX$140.4K8470.05%-0.04pp7q-17.8%-$30.5K
ATLANTIC UN BANKSHARES CORPAUB$136.6K3,2280.05%flat8qHELD
MOTOROLA SOLUTIONS INCMSI$133.3K3210.05%-0.01pp2qHELD
TRACTOR SUPPLY COTSCO$133.1K4,2100.05%-0.03pp8q+0.8%+$1.0K
NORFOLK SOUTHN CORPNSC$124.3K3950.05%flat5qHELD
ABBOTT LABORATORIESABT$122.0K1,3440.05%-0.03pp6q-26.5%-$44.0K
BANK OF NY MELLON CORPBNY$120.5K8330.04%-newNEW
VANGUARD WHITEHALL FDSVYM$117.7K7450.04%-0.01pp4q-9.1%-$11.9K
QUALCOMM INCQCOM$115.3K6240.04%-newNEW
WEDBUSH SER TRIVES$114.5K3,0060.04%-newNEW
OLD DOMINION FREIGHT LINE INODFL$113.1K5220.04%flat2qHELD
APPLIED MATLS INCAMAT$112.8K1560.04%-newNEW
SCHWAB STRATEGIC TRSCHE$112.2K3,0950.04%flat4qHELD
MILESTONE PHARMACEUTICALS INMIST$112.0K83,6100.04%-newNEW
WALKER & DUNLOP INCWD$111.9K2,0460.04%-newNEW
STRATEGY SHSELCV$111.8K3,4000.04%-newNEW
CAPITAL GROUP CORE BALANCEDCGBL$109.5K2,8860.04%-newNEW
D-WAVE QUANTUM INCQBTS$108.5K4,5220.04%-newNEW
LINDE PLCLINXXXX$107.4K2070.04%flat2qHELD
MARVELL TECHNOLOGY GROUP LTDMRVLXXXX$106.3K3570.04%-newNEW
SCHWAB STRATEGIC TRFNDF$105.6K2,0020.04%-newNEW
ROSS STORES INCROST$105.1K4940.04%-0.01pp2qHELD
MARRIOTT INTL INC NEWMAR$105.0K2830.04%-newNEW
ROCKET LAB USA INCRKLBXXXX$104.9K1,0320.04%-newNEW
NESTLE SA ADRNSRGY$104.6K1,0190.04%flat3qHELD
NIKE INCNKE$103.2K2,5150.04%-0.02pp8q-3.1%-$3.3K

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.

Software & IT Services 8.1%Semiconductors & Electronics 7.1%Computer Hardware 5.3%Retail & Consumer 2.7%Biotech & Pharma 2.6%Banks & Lending 2.2%Insurance 2.0%Funds & ETFs 2.0%Other sectors 7.4%Not classified 60.7%
 
SectorValueShare
Software & IT Services$22.0M8.1%
Semiconductors & Electronics$19.2M7.1%
Computer Hardware$14.3M5.3%
Retail & Consumer$7.2M2.7%
Biotech & Pharma$7.0M2.6%
Banks & Lending$5.9M2.2%
Insurance$5.4M2.0%
Funds & ETFs$5.4M2.0%
Other sectors$19.9M7.4%
Not classified$164.0M60.7%

Quarter by quarter

QuarterValuePositions NewAddedTrimmed ExitedTop 10 Days to file
Q2 2026$270.4M1672046641152.7%45
Q1 2026$238.6M1581745482451.8%45
Q4 2025$238.9M165194455851.3%35
Q3 2025$227.2M1542156391151.4%45
Q2 2025$194.5M1441843411652.9%45
Q1 2025$185.3M142413137553.0%45
Q4 2024$187.5M106112825656.6%44
Q3 2024$181.5M101000056.5%45

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.