Fund HoldingsDILLON & ASSOCIATES INC

Total Portfolio Value
$817.2K
Total Bought
$77.1K
Total Sold
$76.3K
Net Transaction
+$790
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
Palo Alto Networks(PANW)125,279127,941+2,66220445.34%+24
NVIDIA Corp(NVDA)858,770848,222-10,54814917020.76%+20
Alphabet Inc CL A(GOOG)193,280192,561-71956698.41%+13
Apple Inc(AAPL)252,519251,126-1,39364738.88%+8
American Express(AXP)1,62920,678+19,049070.86%+6
Lilly (Eli)(LLY)8,95112,093+3,1428151.77%+6
VISA Inc(V)116,475117,613+1,13835404.94%+5
Dutch Bros Inc(BROS)061,521+61,521040.54%+4
Alphabet Inc CL C(GOOG)57,96657,547-41917202.49%+4
Amazon.com Inc(AMZN)99,752102,422+2,67021242.98%+4
AstraZeneca PLC(AZN)015,165+15,165030.35%+3
Ecolab Inc(ECL)52,28459,520+7,23614172.03%+3
Casey's General Stores(CASY)29,84630,585+73922242.98%+3
Automatic Data Proc71,19474,710+3,51614172.05%+2
Eaton Corp PLC(ETN)23,15824,693+1,5358111.29%+2
Monster Beverage Corp(MNST)58,54761,784+3,237460.73%+2
Norfolk Southern Corp(NSC)49,08349,318+23514161.90%+1
Canadian Nat'l Railway(CNI)72,64673,054+408791.06%+1
ASML Holding NV
N Y REGISTRY SHS
1,7031,724+21230.42%+1
Microsoft Corp(MSFT)20,59523,204+2,609891.06%+1
Stryker Corp(SYK)87,22494,225+7,00129303.63%+1
Honeywell Int'l03,277+3,277010.09%+1
Honeywell Aerospace Inc03,277+3,277010.09%+1
Generac Holdings Inc(GNRC)5,5685,628+60120.20%+1
JPMorgan Chase & Co(JPM)15,58415,544-40550.62%+1
Intuitive Surgical34,24440,683+6,43916161.98%0
Netflix Inc(NFLX)40,24959,922+19,673440.52%0
Analog Devices(ADI)4,7324,749+17220.23%0
Taiwan Semiconductor Mfg ADR(TSM)1,1251,511+386010.09%0
GE Vernova Inc(GEV)412574+162010.08%0
Caterpillar(CAT)0246+246000.03%0
Advanced Micro Devices(AMD)0435+435000.03%0
AbbVie Inc(ABBV)7,0247,026+2220.22%0
Cisco Systems(CSCO)5,4135,4130010.08%0
GE Aerospace(GE)0564+564000.03%0
Palantir Technologies Inc(PLTR)01,710+1,710000.02%0
QUALCOMM Inc(QCOM)6,3425,497-845110.12%0
Rockwell Automation Inc(ROK)1,3151,353+38010.08%0
Johnson & Johnson(JNJ)23,17323,002-171660.71%0
Air Products & Chemicals56,83856,812-2616172.04%0
UnitedHealth Group Inc(UNH)1,1131,1130000.06%0
Sysco Corp(SYY)12,01412,0140110.12%0
Celsius Holdings Inc(CELH)35,67146,064+10,393110.16%0
Emerson Electric(EMR)3,2083,335+127000.06%0
Tesla Motors Inc(TSLA)865870+5000.04%0
U S Bancorp(USB)5,1765,150-26000.04%0
Berkshire Hathaway Cl B515564+49000.03%0
Capital One Fin'l(COF)1,5021,500-2000.04%0
Linde PLC(LIN)511541+30000.03%0
ImmunityBio Inc(IBRX)23,80023,8000000.03%0
AFLAC Inc(AFL)3,3003,3000000.05%0
Coca-Cola Co(KO)3,7273,728+1000.04%0
Amgen Inc(AMGN)2,5082,483-25110.11%0
Novartis AG ADS(NVS)2,0312,0310000.04%0
Enbridge Inc(ENB)5,2375,337+100000.04%0
Disney Walt Co(DIS)3,4203,397-23000.04%-0
Mondelez Int'l(MDLZ)5,3475,242-105000.04%-0
Marsh & McLennan(MRSH)1,8001,8000000.04%-0
Danaher Corporation(DHR)55,03054,953-7710101.28%-0
Procter & Gamble(PG)16,48915,997-492220.29%-0
NextEra Energy Inc82,84686,923+4,077880.94%-0
Hershey Company(HSY)2,1282,121-7000.05%-0
Home Depot(HD)10,9269,950-976440.43%-0
RTX Corp(RTX)40,79840,908+110880.95%-0
O'Reilly Automotive Inc(ORLY)190,962189,729-1,23318172.14%-0
Colgate-Palmolive(CL)26,48922,650-3,839220.26%-0
Meta Platforms Inc(META)12,28812,126-162770.84%-0
Wal-Mart Stores(WMT)16,07215,775-297220.22%-0
Adobe Inc(ADBE)9230-92300-0
Starbucks Corp(SBUX)75,22962,662-12,567760.78%-0
McDonald's Corp(MCD)9,2949,081-213320.30%-0
PepsiCo Inc(PEP)22,99920,775-2,224430.34%-1
Costco Wholesale Corp(COST)14,42914,503+7414141.66%-1
Regeneron Pharmaceuticals(REGN)4,3914,086-305330.31%-1
Abbott Laboratories231,296252,404+21,10824232.81%-1
Paychex Inc(PAYX)38,06320,359-17,704420.24%-2
Honeywell Int'l(HON)6,7210-6,72120-2
Lowe's Companies Inc(LOW)73,99769,382-4,61517151.87%-2
AstraZeneca PLC(AZN)14,2740-14,27430-3
Chipotle Mexican Grill(CMG)279,707140,314-139,393950.58%-4
Salesforce.com(CRM)33,09111,779-21,312620.23%-4
Paycom Software(PAYC)68,39127,756-40,635830.43%-5
Novo-Nordisk A-S ADR(NVO)206,34957,796-148,553830.34%-5
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