Fund HoldingsBRADLEY FOSTER & SARGENT INC/CT

Total Portfolio Value
$7.07B
Total Bought
$945.49M
Total Sold
$448.67M
Net Transaction
+$496.82M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
Alphabet Inc. Class A(GOOG)0984,691+984,6910351,8994.98%+351,899
Danaher(DHR)0585,734+585,7340111,5711.58%+111,571
Taiwan Semiconductor Mft Co Lt(TSM)36,297127,038+90,74112,26760,6690.86%+48,403
Amphenol0898,902+898,9020158,4942.24%+158,494
GE Aerospace(GE)0345,893+345,8930129,2711.83%+129,271
Apple Inc(AAPL)01,046,116+1,046,1160302,7044.28%+302,704
J P Morgan Chase(JPM)0971,483+971,4830317,9964.50%+317,996
Caterpillar(CAT)103,659100,822-2,83773,438107,3661.52%+33,927
Deere(DE)175,205200,267+25,06298,693127,0351.80%+28,342
Amazon.com(AMZN)0919,481+919,4810219,1493.10%+219,149
Repligen Corp(RGEN)0195,435+195,435026,6650.38%+26,665
Analog Devices Inc(ADI)0290,705+290,7050115,4591.63%+115,459
Cisco Systems(CSCO)0553,772+553,772065,0460.92%+65,046
ServiceNow Inc(NOW)0244,584+244,584024,2820.34%+24,282
Eli Lilly(LLY)035,186+35,186042,2030.60%+42,203
SPDR S&P 500 ETF Index(SPY)0153,569+153,5690114,6811.62%+114,681
Applied Materials48,42144,756-3,66516,55032,3590.46%+15,809
Nvidia Corp(NVDA)0594,748+594,7480119,0031.68%+119,003
CrowdStrike Holdings(CRWD)035,566+35,566027,1420.38%+27,142
Crane Co(CR)223,238233,319+10,08138,17452,0460.74%+13,873
Microsoft(MSFT)0763,656+763,6560284,8594.03%+284,859
Quanta Services96,46291,227-5,23552,96065,6870.93%+12,727
Cadence Design Systems(CDNS)0123,689+123,689046,4230.66%+46,423
Liberty Media Corp Series C Fo(FWONA)0972,468+972,468092,5211.31%+92,521
RBC Bearings Inc(RBC)121,049118,687-2,36265,74476,4421.08%+10,697
Honeywell International044,911+44,911010,0560.14%+10,056
Honeywell Aerospace Inc Com044,869+44,86909,9200.14%+9,920
Woodward Inc(WWD)0203,486+203,486086,5711.23%+86,571
Advanced Micro Devices Inc(AMD)16,45122,609+6,1583,34713,1340.19%+9,787
QXO Inc.(QXO)0453,923+453,92307,8440.11%+7,844
Alphabet Inc. Class C(GOOG)0163,692+163,692057,8370.82%+57,837
Visa Incorporated(V)077,584+77,584026,6180.38%+26,618
Mettler-Toledo International(MTD)07,218+7,21809,2210.13%+9,221
Vail Resorts(MTN)052,117+52,11707,0960.10%+7,096
American Express(AXP)0141,891+141,891047,9950.68%+47,995
Thermo Fisher Scientific(TMO)0264,936+264,9360132,8281.88%+132,828
Abbvie Inc(ABBV)0219,509+219,509055,2370.78%+55,237
GE Vernova Inc(GEV)21,53821,644+10618,80125,4290.36%+6,628
Vulcan Materials(VMC)37,19056,691+19,50110,12716,7240.24%+6,598
Novanta Inc.(NOVT)128,861132,665+3,80415,22021,5240.30%+6,304
Broadcom Inc(AVGO)0113,274+113,274042,7890.61%+42,789
Cognex(CGNX)222,395230,782+8,38710,89516,7130.24%+5,818
Texas Instruments(TXN)64,72361,672-3,05112,56518,3830.26%+5,817
Union Pacific(UNP)179,917180,489+57243,65249,0930.69%+5,441
iShares Core MSCI Emerging Mar
CORE MSCI EMKT
064,354+64,35405,3310.08%+5,331
Hubbell Inc(HUBB)108,165111,585+3,42053,08158,3810.83%+5,300
Eaton Corp PLC(ETN)43,36647,842+4,47615,51120,3860.29%+4,876
Entegris Inc(ENTG)023,904+23,90404,2990.06%+4,299
Palo Alto Networks Inc(PANW)022,515+22,51507,6780.11%+7,678
Equifax(EFX)13,14340,731+27,5882,3676,4650.09%+4,098
Vanguard Small Cap ETF62,82267,606+4,78416,45420,4930.29%+4,038
Invesco S&P 500 Equal Weight E
S&P500 EQL WGT
77,35787,931+10,57414,84618,7090.26%+3,863
State Street SPDR Portfolio S&
ST STR P500ETF
0317,819+317,819027,9300.40%+27,930
International Business Machine(IBM)092,224+92,224025,9340.37%+25,934
Carrier Global Corp(CARR)0229,753+229,753016,8520.24%+16,852
Intel(INTC)033,666+33,66604,7010.07%+4,701
Corning(GLW)29,17728,094-1,0833,9677,1760.10%+3,209
Sherwin-Williams(SHW)0184,068+184,068063,3780.90%+63,378
MFS Blended Research Internati
BLEND INTL ETF
098,028+98,02802,9720.04%+2,972
Invesco QQQ Trust Series 1021,233+21,233015,6360.22%+15,636
Vertiv Holdings Co(VRT)37,39436,731-6639,37012,2980.17%+2,928
Vanguard S&P 500 ETF018,254+18,254012,5370.18%+12,537
Johnson & Johnson(JNJ)334,993333,906-1,08781,88684,8021.20%+2,916
iShares Core S&P 500 ETF034,306+34,306025,6910.36%+25,691
Bank of America0300,964+300,964017,1490.24%+17,149
iShares Tr Russell 1000 Growth0180,937+180,937022,4670.32%+22,467
iShares Russell 2000 ETF47,29148,473+1,18211,72814,5640.21%+2,836
Medline Inc Cl A(MDLN)389,457511,274+121,81717,33120,1650.29%+2,834
United Health Group(UNH)020,186+20,18608,3900.12%+8,390
JFrog Ltd(FROG)048,572+48,57204,4140.06%+4,414
Vanguard Total Stock Market Vi043,082+43,082015,9420.23%+15,942
Berkshire Hathaway Cl B0257,503+257,5030128,8521.82%+128,852
iShares Top 20 US Stock ETF
TOP 20 U S ETF
082,873+82,87302,7280.04%+2,728
Merck(MRK)284,705287,164+2,45934,24736,9010.52%+2,653
iShares MSCI Emerg Mkts ETF142,789157,086+14,2978,10910,7460.15%+2,637
Live Nation(LYV)68,55771,023+2,46610,45613,0050.18%+2,549
Bank of New York Mellon096,220+96,220013,9140.20%+13,914
Texas Pacific Land(TPL)3,6939,396+5,7031,7524,1120.06%+2,360
TC Energy Corp(TRP)442,065452,070+10,00527,67329,9680.42%+2,294
iShares Russell Midcap ETF0162,746+162,746017,9540.25%+17,954
Wabtec Corp(WAB)65,31268,039+2,72716,32218,3430.26%+2,021
iShares MSCI EAFE Index Fund175,958183,947+7,98917,09119,1080.27%+2,018
Vanguard FTSE ETF Developed Ma0331,101+331,101023,5910.33%+23,591
Qualcomm(QCOM)032,452+32,45205,9970.08%+5,997
Vanguard Dividend Appreciation064,021+64,021015,1490.21%+15,149
Coca Cola(KO)311,883314,595+2,71223,71925,5670.36%+1,848
Timken(TKR)10,04119,490+9,4491,0102,8320.04%+1,822
iShares Core S&P MidCap ETF088,934+88,93406,8580.10%+6,858
State Street(STT)039,092+39,09206,6300.09%+6,630
Parker-Hannifin(PH)18,47218,597+12516,53718,1900.26%+1,653
Vanguard Mid Cap ETF0122,744+122,74409,8890.14%+9,889
Goldman Sachs(GS)09,075+9,07509,1780.13%+9,178
iShares Core S&P 600 Small Cap024,204+24,20403,5900.05%+3,590
Home Depot(HD)0190,015+190,015067,0150.95%+67,015
Hartford Financial(HIG)09,864+9,86401,3070.02%+1,307
Linde Plc(LIN)45,07745,526+44922,34823,6250.33%+1,278
Vanguard Information Techology
INF TECH ETF
034,150+34,15004,0820.06%+4,082
Cameco Corporation(CCJ)49,69365,385+15,6925,3976,6600.09%+1,263
Martin Marietta Materials Inc(MLM)8,88811,163+2,2755,2326,4380.09%+1,206
Canadian National Railway(CNI)082,840+82,84009,8780.14%+9,878
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