Fund HoldingsQUEST INVESTMENT MANAGEMENT LLC

Total Portfolio Value
$855.90M
Total Bought
$98.63M
Total Sold
$132.35M
Net Transaction
-$33.72M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
Vanguard S&P 500 ETF0199,754+199,7540137,19316.03%+137,193
Alphabet Class C(GOOG)0108,654+108,654038,3914.49%+38,391
Micron Technology Inc Com(MU)3,66310,857+7,1941,23812,5321.46%+11,295
Advanced Micro Devices Com(AMD)2,30115,645+13,3444689,0881.06%+8,620
Lam Research Corp New(LRCX)017,329+17,32907,5090.88%+7,509
Kla-Tencor Corp Com(KLAC)018,776+18,77605,6650.66%+5,665
Applied Matls Inc Com14,01212,541-1,4714,7899,0671.06%+4,278
Vanguard Russell 2000 Growth E66,96466,964015,33719,2642.25%+3,927
Vanguard Morningstar Value ETF297,204284,636-12,56858,31162,0317.25%+3,719
SPDR Portfolio S&P 500 Growth
ST STR P500GRW
0246,422+246,422029,3223.43%+29,322
Vanguard Russell 2000 Value ET97,64397,643016,32819,0832.23%+2,755
Caterpillar Inc(CAT)6,9686,96804,9377,4200.87%+2,484
GE Aerospace(GE)25,13625,123-137,1339,3891.10%+2,256
iShares Tr MSCI EAFE Idx ETF240,523244,709+4,18623,36225,4202.97%+2,058
Viking Holdings Ltd(VIK)48,13651,033+2,8973,5375,3420.62%+1,805
Transdigm Group Inc Com(TDG)04,460+4,46005,9410.69%+5,941
Ecolab Inc(ECL)023,340+23,34006,5030.76%+6,503
TJX Corp(TJX)23,85734,071+10,2143,8105,1620.60%+1,352
iShares S&P 100 ETF044,014+44,014016,1031.88%+16,103
Lilly Eli & Co Com(LLY)010,083+10,083012,0941.41%+12,094
Invesco S&P 500 Equal Weight E
S&P500 EQL WGT
87,33383,440-3,89316,76117,7542.07%+993
Invesco QQQ Trust1,6602,580+9209581,9000.22%+942
Goldman Sachs Equal Weight U.S151,622145,523-6,09912,83613,7401.61%+904
Arista Networks Inc(ANET)040,584+40,58406,8940.81%+6,894
Vanguard Morningstar Small Cap24,73523,835-9006,4797,2250.84%+746
Vanguard Morningstar Mid Cap E24,82097,518+72,6987,1287,8570.92%+729
Palo Alto Networks(PANW)022,826+22,82607,7840.91%+7,784
Amphenol Corp53,16741,522-11,6456,7187,3210.86%+604
Goldman Sachs(GS)1,4691,727+2581,2431,7470.20%+504
Union Pacific Corp(UNP)15,33315,353+203,7204,1760.49%+456
Monolithic Power Systems(MPWR)05,100+5,10007,0500.82%+7,050
IBM(IBM)10,68410,68402,5903,0040.35%+415
Health Care Select Sector SPDR
ST STR CARE ETF
4,6126,836+2,2246761,0850.13%+408
Devon Energy Corp New Com(DVN)09,779+9,77904040.05%+404
Powell Industries(POWL)3,0776,794+3,7171,6651,9460.23%+281
AbbVie Inc(ABBV)7,8247,82401,7021,9690.23%+267
Cisco Systems(CSCO)02,235+2,23502630.03%+263
Moog Inc(MOG-A)3,1272,747-3809151,1640.14%+249
iShares Russell 2000 ETF0745+74502240.03%+224
Ducommun Inc(DCO)8,6396,890-1,7491,0541,2760.15%+222
Vanguard High Dividend Yield E58,30855,794-2,5148,6358,8171.03%+182
McKesson Corp.(MCK)632955+3235477220.08%+175
Merck(MRK)18,00018,00002,1652,3130.27%+148
Oracle(ORCL)030,470+30,47004,4650.52%+4,465
iShares Core S&P 500 ETF836896+605466710.08%+125
GE Vernova Inc(GEV)10,5427,937-2,6059,2029,3251.09%+123
STATE STR SPDR S&P 500 ETF TR(SPY)1,1001,119+197158360.10%+121
Alphabet Class A(GOOG)838921+832413290.04%+88
Vanguard Morningstar Total Sto2,6462,517-1298499310.11%+83
First Trust Rising Dividend Ac5,2915,449+1583614420.05%+80
Coca-Cola(KO)14,16514,16501,0771,1510.13%+74
Boeing(BA)3,4493,489+406877550.09%+69
Vanguard Real Estate ETF3,7344,044+3103313900.05%+59
iShares Convertible Bond ETF
CONV BD ETF
3,1963,139-573253820.04%+57
Woodward Inc(WWD)3,4133,004-4091,2221,2780.15%+56
US Bancorp(USB)5,1575,15702683110.04%+43
iShares TR Russell 1000 ETF675680+52412780.03%+38
iShares U.S. Preferred Stock177,000177,00005,3675,3970.63%+30
Vistra Corp(VST)5,2955,191-1047968230.10%+27
Ventas Inc(VTR)3,1283,130+22562780.03%+22
Amgen Inc(AMGN)1,3871,38704885020.06%+14
Innovator Defined Wealth Shiel
DEFINED WLT SHLD
6,4396,644+2052152280.03%+12
Vanguard Intl Eqty Idx FTSE Eu4,1413,945-1963413490.04%+8
Dnow Inc Com(DNOW)14,58511,700-2,8851741520.02%-22
Walt Disney(DIS)2,3792,151-2282292070.02%-22
Hubbell Inc(HUBB)1,8261,634-1928968550.10%-41
Williams Companies(WMB)9,2088,368-8406706220.07%-48
Waste Management(WM)8,2648,258-61,8991,8410.22%-58
Flagstar Financial Inc New(FLG)19,53013,210-6,3202571970.02%-60
Blackstone Inc9,7558,945-8101,1221,0530.12%-69
Iron Mtn Inc Pa Com(IRM)4,4372,958-1,4794533740.04%-80
American Elec Pwr Inc Com2,2491,500-7492952050.02%-90
Curtiss Wright Corp(CW)2,4212,051-3701,6491,5540.18%-95
Eaton Corp Com(ETN)21,14917,512-3,6377,5647,4620.87%-102
Cheniere Energy Partners Lp Un(CQP)4,8233,417-1,4063122080.02%-103
Bristol-Myers Squibb Co(BMY)42,31242,214-982,5662,4320.28%-134
Sempra Energy Com(SRE)6,7435,623-1,1206555210.06%-134
Kinder Morgan Inc(KMI)42,55439,667-2,8871,4271,2680.15%-159
AT&T Inc(T)20,84420,84406044310.05%-173
AES Corp Com(AES)13,0440-13,0441840-184
Us Bancorp Del Pfd B 1/1000Dp(USB)10,1380-10,1381860-186
Slb Limited Com Stk(SLB)4,1650-4,1652140-214
Xylem Inc(XYL)7,2415,467-1,7748656460.08%-219
Wells Fargo Co Dp Pf Cl A Sr Z11,6920-11,6922210-221
Verizon Communications(VZ)4,5100-4,5102260-226
Becton Dickinson & Co Com(BDX)1,4770-1,4772320-232
Old Republic Intl Corp(ORI)26,23819,775-6,4631,0478090.09%-238
Firefly Aerospace Inc(FLY)18,1049,000-9,1045152650.03%-251
Exxon Mobil8,0158,030+151,3601,0980.13%-262
Nextera Energy(NEE)10,7198,308-2,4119967290.09%-266
QXO Inc New(QXO)29,31417,280-12,0345692990.03%-271
Chevron Corp(CVX)4,1383,526-6128565840.07%-272
Duke Energy Corp Com(DUK)2,1460-2,1462810-281
Energy Transfer Lp Ut Ltd Ptn(ET)15,4210-15,4212980-298
Abbott Laboratories6,5784,064-2,5146753690.04%-307
Pfizer Incorporated(PFE)30,39522,370-8,0258535390.06%-315
Danaher(DHR)34,02531,527-2,4986,4516,0050.70%-446
Booking Holdings(BKNG)014,730+14,73002,6250.31%+2,625
Visa(V)021,465+21,46507,3650.86%+7,365
Coterra Energy Inc14,4010-14,4015060-506
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