Portfolio value
$678.29M
Holdings count
60
60 positions reportedAccession #
0001569453-26-000001
Form 13F-HR60 positions sorted by value
Issuer | CUSIP | Valuev | Weight | Shares/Prin. | Discretion | Voting (Sole/Shared/None) |
|---|---|---|---|---|---|---|
PALANTIR TECHNOLOGIES INCCOM | 69608A108 | $208.15M | 30.69% | 1,171shares | SOLE | 1,171 / 0 / 0 |
RTX CORPORATIONCOM | 75513E101 | $27.40M | 4.04% | 149,410shares | SOLE | 149,410 / 0 / 0 |
APPLIED MATLS INCCOM | 038222105 | $24.46M | 3.61% | 95,196shares | SOLE | 95,196 / 0 / 0 |
UNITED RENTALS INCCOM | 911363109 | $23.98M | 3.54% | 29,635shares | SOLE | 29,635 / 0 / 0 |
MUELLER INDS INCCOM | 624756102 | $19.83M | 2.92% | 172,716shares | SOLE | 172,716 / 0 / 0 |
META PLATFORMS INCCL A | 30303M102 | $19.11M | 2.82% | 28,947shares | SOLE | 28,947 / 0 / 0 |
ALLSTATE CORPCOM | 020002101 | $19.08M | 2.81% | 91,646shares | SOLE | 91,646 / 0 / 0 |
CHEVRON CORP NEWCOM | 166764100 | $18.93M | 2.79% | 124,226shares | SOLE | 124,226 / 0 / 0 |
FEDEX CORPCOM | 31428X106 | $18.60M | 2.74% | 64,399shares | SOLE | 64,399 / 0 / 0 |
FOX CORPCL B COM | 35137L204 | $18.54M | 2.73% | 285,570shares | SOLE | 285,570 / 0 / 0 |
CISCO SYS INCCOM | 17275R102 | $17.83M | 2.63% | 231,525shares | SOLE | 231,525 / 0 / 0 |
PHILLIPS 66COM | 718546104 | $17.78M | 2.62% | 137,782shares | SOLE | 137,782 / 0 / 0 |
MEDTRONIC PLCSHS | G5960L103 | $16.96M | 2.50% | 176,552shares | SOLE | 176,552 / 0 / 0 |
NEWMONT CORPCOM | 651639106 | $16.25M | 2.40% | 162,715shares | SOLE | 162,715 / 0 / 0 |
CONAGRA BRANDS INCCOM | 205887102 | $15.24M | 2.25% | 880,644shares | SOLE | 880,644 / 0 / 0 |
BRISTOL-MYERS SQUIBB COCOM | 110122108 | $15.11M | 2.23% | 280,131shares | SOLE | 280,131 / 0 / 0 |
ORACLE CORPCOM | 68389X105 | $15.09M | 2.22% | 77,415shares | SOLE | 77,415 / 0 / 0 |
ON SEMICONDUCTOR CORPCOM | 682189105 | $15.07M | 2.22% | 278,390shares | SOLE | 278,390 / 0 / 0 |
AMERICAN ELEC PWR INCCOM | 025537101 | $14.80M | 2.18% | 128,348shares | SOLE | 128,348 / 0 / 0 |
VALMONT INDS INCCOM | 920253101 | $14.40M | 2.12% | 35,787shares | SOLE | 35,787 / 0 / 0 |
PAYPAL HLDGS INCCOM | 70450Y103 | $13.24M | 1.95% | 226,805shares | SOLE | 226,805 / 0 / 0 |
QORVO INCCOM | 74736K101 | $13.06M | 1.93% | 154,529shares | SOLE | 154,529 / 0 / 0 |
CVS HEALTH CORPCOM | 126650100 | $11.55M | 1.70% | 145,552shares | SOLE | 145,552 / 0 / 0 |
LEAR CORPCOM NEW | 521865204 | $9.86M | 1.45% | 86,020shares | SOLE | 86,020 / 0 / 0 |
VERIZON COMMUNICATIONS INCCOM | 92343V104 | $9.42M | 1.39% | 231,190shares | SOLE | 231,190 / 0 / 0 |
D R HORTON INCCOM | 23331A109 | $9.27M | 1.37% | 64,345shares | SOLE | 64,345 / 0 / 0 |
HP INCCOM | 40434L105 | $7.42M | 1.09% | 333,201shares | SOLE | 333,201 / 0 / 0 |
ALPHABET INCCAP STK CL A | 02079K305 | $7.16M | 1.06% | 22,867shares | SOLE | 22,867 / 0 / 0 |
AXOGEN INCCOM | 05463X106 | $5.79M | 0.85% | 176,995shares | SOLE | 176,995 / 0 / 0 |
WISDOMTREE TRFLOATNG RAT TREA | 97717Y527 | $4.65M | 0.69% | 92,446shares | SOLE | 92,446 / 0 / 0 |
SPDR S&P 500 ETF TRTR UNIT | 78462F103 | $4.14M | 0.61% | 6,069shares | SOLE | 6,069 / 0 / 0 |
VANGUARD INDEX FUNDSTOTAL STK MKT | 922908769 | $3.46M | 0.51% | 10,315shares | SOLE | 10,315 / 0 / 0 |
INVESCO QQQ TRUNIT SER 1 | 46090E103 | $2.37M | 0.35% | 3,851shares | SOLE | 3,851 / 0 / 0 |
ISHARES TRCORE S&P500 ETF | 464287200 | $2.19M | 0.32% | 3,194shares | SOLE | 3,194 / 0 / 0 |
VANGUARD INTL EQUITY INDEX FFTSE EUROPE ETF | 922042874 | $1.88M | 0.28% | 22,502shares | SOLE | 22,502 / 0 / 0 |
VERTEX PHARMACEUTICALS INCCOM | 92532F100 | $1.65M | 0.24% | 3,645shares | SOLE | 3,645 / 0 / 0 |
ISHARES TRCORE MSCI INTL | 46435G326 | $1.41M | 0.21% | 17,110shares | SOLE | 17,110 / 0 / 0 |
WISDOMTREE TRUS SMALLCAP DIVD | 97717W604 | $1.28M | 0.19% | 38,395shares | SOLE | 38,395 / 0 / 0 |
VANGUARD INTL EQUITY INDEX FFTSE EMR MKT ETF | 922042858 | $1.23M | 0.18% | 22,933shares | SOLE | 22,933 / 0 / 0 |
AFFIRM HLDGS INCCOM CL A | 00827B106 | $929K | 0.14% | 12,476shares | SOLE | 12,476 / 0 / 0 |
VANGUARD INTL EQUITY INDEX FDTT WRLD ST ETF | 922042742 | $915K | 0.13% | 6,485shares | SOLE | 6,485 / 0 / 0 |
AMERICAN CENTY ETF TRAVANTIS EMGMKT | 025072604 | $843K | 0.12% | 10,950shares | SOLE | 10,950 / 0 / 0 |
GILEAD SCIENCES INCCOM | 375558103 | $761K | 0.11% | 6,200shares | SOLE | 6,200 / 0 / 0 |
ISHARES INCMSCI GERMANY ETF | 464286806 | $707K | 0.10% | 16,630shares | SOLE | 16,630 / 0 / 0 |
CONOCOPHILLIPSCOM | 20825C104 | $690K | 0.10% | 7,376shares | SOLE | 7,376 / 0 / 0 |
APPLE INCCOM | 037833100 | $622K | 0.09% | 2,289shares | SOLE | 2,289 / 0 / 0 |
ISHARES INCMSCI JPN ETF NEW | 46434G822 | $582K | 0.09% | 7,205shares | SOLE | 7,205 / 0 / 0 |
ISHARES INCMSCI EMRG CHN | 46434G764 | $568K | 0.08% | 7,820shares | SOLE | 7,820 / 0 / 0 |
ISHARES TRCORE S&P SCP ETF | 464287804 | $453K | 0.07% | 3,770shares | SOLE | 3,770 / 0 / 0 |
PROSHARES TRSHORT QQQ | 74349Y837 | $453K | 0.07% | 15,000shares | SOLE | 15,000 / 0 / 0 |
BAKER HUGHES COMPANYCL A | 05722G100 | $414K | 0.06% | 9,100shares | SOLE | 9,100 / 0 / 0 |
VANGUARD RUSSELL 2000VNG RUS2000IDX | 92206C664 | $410K | 0.06% | 4,123shares | SOLE | 4,123 / 0 / 0 |
VANGUARD WORLD FDINF TECH ETF | 92204A702 | $377K | 0.06% | 500shares | SOLE | 500 / 0 / 0 |
VANGUARD INTERNATIONAL EQUITYFTSE PACIFIC ETF | 922042866 | $346K | 0.05% | 3,832shares | SOLE | 3,832 / 0 / 0 |
MICROSOFT CORPCOM | 594918104 | $336K | 0.05% | 695shares | SOLE | 695 / 0 / 0 |
USA COMPRESSION PARTNERS LPCOMUNIT LTDPAR | 90290N109 | $270K | 0.04% | 11,750shares | SOLE | 11,750 / 0 / 0 |
AMAZON COM INCCOM | 023135106 | $263K | 0.04% | 1,140shares | SOLE | 1,140 / 0 / 0 |
FRANKLIN TEMPLETON ETF TRFRANKLIN INDIA | 35473P769 | $259K | 0.04% | 6,700shares | SOLE | 6,700 / 0 / 0 |
ISHARES TRCORE S&P MCP ETF | 464287507 | $221K | 0.03% | 3,350shares | SOLE | 3,350 / 0 / 0 |
COSTCO WHSL CORP NEWCOM | 22160K105 | $216K | 0.03% | 250shares | SOLE | 250 / 0 / 0 |
Form type
13F-HR
Filing date
Jan 16, 2026
Holdings as of
December 31, 2025
Accession
0001569453-26-000001
CIK
0001569453
Total Portfolio Value
$678.29M
Number of Positions
60
60 reported by filer
Top 10 Concentration
58.7%
Top 20 Concentration
82.1%
Unique Issuers
60
By CUSIP
Avg. Position Size
$11.30M
Across 60 holdings