Fund HoldingsBOSTON FAMILY OFFICE LLC

Total Portfolio Value
$1.65M
Total Bought
$101.0K
Total Sold
$162.2K
Net Transaction
-$61.2K
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
Palo Alto Networks, Inc.(PANW)0135,164+135,1640462.80%+46
Vanguard S&P 500 ETF79,71594,960+15,24548653.96%+18
NVIDIA Corporation(NVDA)165,659191,826+26,16729382.33%+9
Apple Inc.(AAPL)0284,321+284,3210824.99%+82
Rockwell Automation, Inc.(ROK)062,263+62,2630311.87%+31
Alphabet Inc. Class C(GOOG)0167,341+167,3410593.59%+59
Vanguard Extended Market ETF73,15584,873+11,71815211.27%+6
ASML Holding NV ADR
N Y REGISTRY SHS
7,7897,993+20410160.97%+6
SPDR S&P 500 ETF Trust(SPY)045,064+45,0640342.04%+34
Visa Inc. Class A(V)0131,573+131,5730452.74%+45
Eli Lilly and Company(LLY)018,325+18,3250221.33%+22
Amazon.com, Inc.(AMZN)0236,311+236,3110563.42%+56
Monolithic Power Systems, Inc.(MPWR)4,5446,321+1,777590.53%+4
Arista Networks Inc(ANET)7,92226,958+19,036150.28%+4
Alphabet Inc. Class A(GOOG)054,693+54,6930201.19%+20
Microsoft Corporation(MSFT)0143,994+143,9940543.26%+54
VanEck Morningstar Wide Moat ETF
MRNGSTR WDE MOAT
090,357+90,357090.57%+9
Corning Inc(GLW)24,48724,250-237360.38%+3
Eaton Corp. PLC(ETN)41,15741,088-6915181.06%+3
Union Pacific Corporation(UNP)122,497119,221-3,27630321.97%+3
Applied Materials, Inc.8,1867,364-822350.32%+3
Flextronics Int'l LTD(FLEX)26,27926,179-100240.26%+3
Vanguard Total Stock Market ETF36,03337,495+1,46212140.84%+2
Costco Wholesale Corporation(COST)12,94816,179+3,23113150.92%+2
AbbVie, Inc.(ABBV)069,593+69,5930181.06%+18
iShares iBonds Treasury 2033070,359+70,359020.10%+2
Berkshire Hathaway Inc. Class B057,497+57,4970291.75%+29
Caterpillar Inc.(CAT)04,528+4,528050.29%+5
Procter & Gamble Company(PG)065,388+65,3880100.58%+10
Vanguard Short-Term Inflation-Protected ETF301,326330,842+29,51615171.01%+2
Analog Devices, Inc.(ADI)21,85521,138-717780.51%+1
TJX Companies Inc(TJX)066,070+66,0700100.61%+10
Automatic Data Processing, Inc.070,744+70,7440160.96%+16
JPMorgan Chase & Co.(JPM)045,858+45,8580150.91%+15
Vanguard FTSE Developed Markets ETF65,03676,352+11,316450.33%+1
Zebra Technologies Corporation Class A(ZBRA)043,560+43,5600110.70%+11
Vanguard Core Tax-Exempt Bond ETF030,812+30,812020.14%+2
Parker-Hannifin Corporation(PH)14,54514,533-1213140.86%+1
Taiwan Semiconductor MFG.(TSM)12,34111,156-1,185450.32%+1
iShares Core S&P Small Cap ETF050,576+50,576080.46%+8
Invesco QQQ Trust07,739+7,739060.35%+6
CrowdStrike Holdings, Inc. Class A(CRWD)03,051+3,051020.14%+2
SPDR S&P Midcap 400 ETF Trust(MDY)011,191+11,191080.48%+8
O'Reilly Automotive, Inc.(ORLY)13,79824,928+11,130120.14%+1
PepsiCo, Inc.(PEP)61,82677,794+15,96810110.64%+1
Ecolab Inc.(ECL)088,605+88,6050251.50%+25
Teradyne, Inc.(TER)5,3174,967-350220.15%+1
Broadcom Inc.(AVGO)05,039+5,039020.12%+2
Iqvia Holdings Inc(IQV)0107,121+107,1210211.26%+21
JPMorgan Ultra-Short Income ETF
ULTRA SHRT ETF
059,932+59,932030.18%+3
Intel Corporation(INTC)08,410+8,410010.07%+1
Amphenol Corporation014,902+14,902030.16%+3
Cisco Systems, Inc.(CSCO)20,24819,998-250220.14%+1
Qualcomm Inc(QCOM)013,774+13,774030.15%+3
iShares iBonds Treasury 2029148,083184,177+36,094340.24%+1
Trane Technologies plc(TT)010,197+10,197050.30%+5
GE Aerospace(GE)7,1637,419+256230.17%+1
iShares S&P 500 Growth ETF027,424+27,424040.23%+4
GE Vernova Inc(GEV)1,9582,010+52220.14%+1
American Express Co(AXP)16,93517,004+69560.35%+1
iShares Core S&P 500 ETF06,525+6,525050.30%+5
Innodata Inc Com New(INOD)016,400+16,400010.08%+1
Seagate Technology Holdings
ORD SHS
1,0481,0480010.06%+1
Franklin Municipal Income ETF0106,576+106,576010.05%+1
Vanguard Core Bond ETF89,43397,054+7,621770.45%+1
Vanguard Total International Stock ETF34,21437,459+3,245330.19%+1
Lincoln Electric Holdings, Inc.(LECO)34,24134,226-15990.55%+1
iShares Expanded Tech Sector ETF012,059+12,059020.12%+2
iShares MSCI Emerging Markets Ex China ETF
MSCI EMRG CHN
12,77315,123+2,350120.09%+1
Home Depot, Inc.(HD)021,448+21,448080.46%+8
Welltower, Inc.(WELL)23,09122,400-691550.31%+1
UnitedHealth Group Incorporated(UNH)04,891+4,891020.12%+2
Quest Diagnostics Inc(DGX)02,407+2,407010.03%+1
Johnson & Johnson(JNJ)68,87968,219-66017171.05%0
Novo Nordisk A/S Sponsored ADR Class B(NVO)036,941+36,941020.11%+2
iShares iBonds Treasury 2028265,984289,372+23,388660.39%0
First Solar, Inc.(FSLR)09,612+9,612020.14%+2
The iShares Core Dividend Growth ETF
CORE DIV GRWTH
06,140+6,140000.03%0
Sherwin-Williams Company(SHW)022,814+22,814080.48%+8
Honeywell International Inc01,951+1,951000.03%0
Honeywell Aerospace Inc01,951+1,951000.03%0
iShares U.S. Technology ETF08,500+8,500020.13%+2
Vanguard Short Duration Tax Exempt Bond ETF020,487+20,487020.10%+2
International Business Machines Corporation(IBM)5,4856,175+690120.11%0
iShares iBonds Treasury 2030142,467164,416+21,949330.20%0
Vanguard Large-Cap ETF09,131+9,131030.19%+3
Vanguard FTSE Emerging Markets ETF14,37619,712+5,336110.07%0
iShares Russell 2000 Growth ETF04,441+4,441020.11%+2
Invesco Variable Rate Preferred ETF
VAR RATE PFD
0267,922+267,922070.40%+7
Vanguard Mid-Cap ETF039,899+39,899030.20%+3
Hubbell Incorporated Class B(HUBB)10,61810,6180560.34%0
Prologis, Inc.(PLD)10,02212,237+2,215120.10%0
iShares Russell 2000 ETF06,223+6,223020.11%+2
Vanguard FTSE All-World ex-US ETF030,012+30,012030.15%+3
Fedex Freight Holding Co-W/I02,156+2,156000.02%0
Vanguard Real Estate ETF28,74529,824+1,079330.17%0
RPM International Inc.(RPM)029,332+29,332030.20%+3
iShares Core S&P Mid-Cap ETF55,83453,019-2,815440.25%0
Vanguard Instl Index (FD Ultra-Short Trea)29,99434,110+4,116230.16%0
iShares iBonds Treasury 2031123,346139,397+16,051330.17%0
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