Fund HoldingsBURNS J W & CO INC/NY

Total Portfolio Value
$959.47M
Total Bought
$66.26M
Total Sold
$82.88M
Net Transaction
-$16.62M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
APPLE INC(AAPL)0298,613+298,613086,4079.01%+86,407
ALPHABET CLASS C(GOOG)0134,085+134,085047,3764.94%+47,376
PALO ALTO NETWORKS INC COM(PANW)037,210+37,210012,6891.32%+12,689
NASDAQ 100 ETF044,862+44,862033,0363.44%+33,036
VANGUARD TOTAL STOCK MARKET ETF0101,396+101,396037,5213.91%+37,521
NVIDIA CORPORATION COM(NVDA)0145,017+145,017029,0163.02%+29,016
EXXONMOBIL HOLDINGS CORP COM SHS034,581+34,58104,7280.49%+4,728
AMAZON INC(AMZN)0139,338+139,338033,2103.46%+33,210
VISA INC(V)0103,140+103,140035,3863.69%+35,386
DELL TECHNOLOGIES INC CL C(DELL)15,91514,632-1,2832,6126,3130.66%+3,701
APPLIED MATLS INC COM9,1509,183+333,1276,6390.69%+3,512
ISHARES CORE S&P MID-CAP ETF303,556304,712+1,15620,49923,4962.45%+2,997
S&P TECHNOLOGY SECTOR ETF
ST STR TECHN ETF
052,914+52,914010,0811.05%+10,081
MORGAN STANLEY COM NEW(MS)065,104+65,104013,6091.42%+13,609
VANGUARD DIVIDEND APPRECIATION ETF0106,884+106,884025,2912.64%+25,291
ISHARES CORE S&P SMALL-CAP ETF86,66390,166+3,50310,77313,3721.39%+2,599
LAM RESEARCH CORP COM NEW(LRCX)11,19911,214+152,3934,8590.51%+2,467
BROADCOM INC COM(AVGO)019,593+19,59307,4010.77%+7,401
JPMORGAN CHASE & CO COM(JPM)077,579+77,579025,3942.65%+25,394
UNITED RENTALS INC COM(URI)04,539+4,53905,1420.54%+5,142
ABBVIE INC(ABBV)036,406+36,40609,1610.95%+9,161
VANGUARD HIGH DIVIDEND ETF71,47277,678+6,20610,58512,2751.28%+1,690
VANGUARD TOTAL INTERNATIONAL STOCK ETF116,036122,042+6,0068,94810,4331.09%+1,486
ALPHABET CLASS A(GOOG)021,512+21,51207,6880.80%+7,688
CORNING INC COM(GLW)11,50211,627+1251,5642,9700.31%+1,406
VANGUARD INTERNATIONAL DIVIDEND ETF333,846334,655+80931,46232,8633.43%+1,401
INTEL CORP COM(INTC)13,19413,201+75821,8430.19%+1,261
SPDR S&P 500 ETF(SPY)012,537+12,53709,3620.98%+9,362
ELI LILLY & CO COM(LLY)04,335+4,33505,2000.54%+5,200
CATERPILLAR INC COM(CAT)2,4862,512+261,7612,6750.28%+914
S&P INDUSTRIAL SECTOR ETF
ST STR INDL ETF
48,76347,485-1,2787,8868,7960.92%+909
DEERE & CO COM(DE)13,98013,813-1677,8758,7620.91%+887
ISHARES SMALL CAP VALUE ETF40,04940,438+3894,7445,5270.58%+783
MICRON TECHNOLOGY INC COM(MU)0646+64607460.08%+746
QUANTA SVCS INC COM3,8873,892+52,1342,8020.29%+668
ISHARES HIGH YIELD CORPORATE BOND ETF44,97152,380+7,4093,5784,1890.44%+611
ISHARES SHORT-TERM BOND ETF167,820178,750+10,9308,8219,3680.98%+548
NORFOLK SOUTHN CORP COM(NSC)20,26620,198-685,8166,3540.66%+538
BERKSHIRE HATHAWAY B040,953+40,953020,4922.14%+20,492
S&P 500 QUALITY ETF
S&P500 QUALITY
38,04636,808-1,2382,8613,3160.35%+456
STARBUCKS CORP COM(SBUX)48,87547,167-1,7084,3794,8200.50%+441
AMPHENOL CORP CL A09,622+9,62201,6970.18%+1,697
GE VERNOVA INC COM(GEV)0311+31103650.04%+365
CISCO SYS INC COM(CSCO)09,023+9,02301,0600.11%+1,060
VANECK SEMICONDUCTOR ETF
SEMICONDUCTR ETF
0540+54003540.04%+354
JOHNSON & JOHNSON COM(JNJ)54,20453,495-70913,25013,5861.42%+336
SPDR CONVERTIBLE SECURITIES ETF
ST STR CONV ETF
21,24321,088-1551,9442,2740.24%+330
HOME DEPOT INC COM(HD)014,795+14,79505,2180.54%+5,218
ISHARES U.S. TECHNOLOGY ETF04,560+4,56001,1500.12%+1,150
COCA COLA CO COM(KO)58,99758,869-1284,4874,7840.50%+298
ISHARES S&P 500 GROWTH ETF09,746+9,74601,3400.14%+1,340
TAIWAN SEMICONDUCTOR MANUFACT SPONSORED ADS(TSM)1,3421,527+1854547290.08%+276
ISHARES ULTRA SHORT TERM BOND ETF
ULTRA SHORT DUR
05,450+5,45002760.03%+276
LATTICE SEMICONDUCTOR CORP COM(LSCC)01,700+1,70002600.03%+260
ISHARES RUSSELL 1000 GROWTH ETF016,008+16,00801,9880.21%+1,988
ISHARES CORE S&P 500 ETF0991+99107420.08%+742
ISHARES S&P 500 VALUE ETF01,044+1,04402370.02%+237
ISHARES ESG SELECT SCREENED S&P MID-CAP ETF04,350+4,35002270.02%+227
JPMORGAN EQUITY PREMIUM INCOME ETF
EQUITY PREMIUM
03,840+3,84002170.02%+217
BIOGEN INC COM(BIIB)01,000+1,00002160.02%+216
TEXAS INSTRS INC COM(TXN)0714+71402130.02%+213
NOVO-NORDISK A S ADR(NVO)04,350+4,35002090.02%+209
S&P FINANCIAL SECTOR ETF
ST STR FINL ETF
0106,204+106,20405,6940.59%+5,694
FEDEX FREIGHT CO01,370+1,37002070.02%+207
ISHARES BIOTECHNOLOGY ETF010,973+10,97302,0870.22%+2,087
PHILIP MORRIS INTL INC COM(PM)014,600+14,60002,6410.28%+2,641
QUALCOMM INC COM(QCOM)03,274+3,27406050.06%+605
CALAMOS CONV & HIGH INCOME FD COM SHS
COM SHS
066,325+66,32509030.09%+903
VANECK FALLEN ANGEL HIGH YIELD BOND ETF
FALLEN ANGEL HG
75,09079,915+4,8252,1572,3370.24%+180
INTERNATIONAL BUSINESS MACHS COM(IBM)03,683+3,68301,0360.11%+1,036
CASEYS GENERAL STORES(CASY)2,4482,460+121,7821,9550.20%+173
AMGEN INC COM(AMGN)22,86122,691-1708,0448,2170.86%+173
VANGUARD S&P 500 ETF01,944+1,94401,3350.14%+1,335
BOEING CO COM(BA)012,047+12,04702,6080.27%+2,608
UNITEDHEALTH GROUP INC COM(UNH)01,158+1,15804810.05%+481
ARROW ELECTRS INC COM2,3702,37003405060.05%+166
CAPITAL ONE FINL CORP COM(COF)09,526+9,52601,9110.20%+1,911
CARRIER GLOBAL CORPORATION COM(CARR)9,3029,253-495246790.07%+155
SPDR DOW JONES ETF(DIA)01,551+1,55108100.08%+810
ISHARES U.S. AEROSPACE & DEFENSE ETF7,1857,074-1111,5721,7150.18%+143
M & T BK CORP COM(MTB)04,561+4,56101,0860.11%+1,086
METLIFE INC COM(MET)010,246+10,24608670.09%+867
ARISTA NETWORKS INC COM SHS(ANET)02,929+2,92904980.05%+498
TESLA INC COM(TSLA)03,723+3,72301,5660.16%+1,566
UNION PAC CORP COM(UNP)5,0624,986-761,2281,3560.14%+128
VANGUARD VALUE ETF6,9046,801-1031,3551,4820.15%+128
TRAVELERS COMPANIES INC COM(TRV)3,2593,249-109511,0730.11%+122
ISHARES RUSSELL 3000 ETF02,085+2,08508890.09%+889
MSCI 400 SOCIAL RESPONSIBLE ETF05,185+5,18507380.08%+738
NUVEEN ESG INTERNATIONAL EQUITY ETF
NUVEEN ESG INTL
11,00012,500+1,5003975000.05%+103
STATE STREET SPDR S&P 500 FOSSIL FUEL RESERVES FREE ETF
ST STR SP500FF
010,750+10,75006570.07%+657
INVESCO S&P 500 EQUAL WEIGHT ETF
S&P500 EQL WGT
13,57512,655-9202,6052,6930.28%+87
STATE STR CORP COM(STT)2,1002,080-202663530.04%+87
VANGUARD INFORMATION TECHNOLOGY ETF
INF TECH ETF
02,479+2,47902960.03%+296
GE AEROSPACE COM NEW(GE)0745+74502780.03%+278
TORONTO DOMINION BK ONT COM NEW(TD)3,5683,331-2373334050.04%+72
GENERAL DYNAMICS CORP COM(GD)1,2861,448+1624415130.05%+72
NORDSON CORP COM(NDSN)2,0002,00005326030.06%+71
MARATHON PETE CORP COM(MPC)5,3855,420+351,3151,3860.14%+71
HOWMET AEROSPACE INC COM(HWM)1,8121,81204184870.05%+70
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