Fund HoldingsPRAXIS INVESTMENT MANAGEMENT INC

Total Portfolio Value
$1.90M
Total Bought
$161.7K
Total Sold
$141.8K
Net Transaction
+$19.9K
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
INTUITIVE SURGIC017,647,767+17,647,767027714.56%+277
MICRON TECH(MU)25,75425,211-5439291.53%+20
ADV MICRO DEVICE(AMD)038,530+38,5300221.18%+22
NVIDIA CORP(NVDA)0498,107+498,10701005.24%+100
APPLIED MATERIAL31,87331,873011231.21%+12
APPLE INC(AAPL)0331,457+331,4570965.05%+96
ALPHABET INCA(GOOG)0124,440+124,4400442.34%+44
INTEL CORP(INTC)107,44688,826-18,6205120.65%+8
BROADCOM INC(AVGO)0102,919+102,9190392.05%+39
LAM RESEARCH(LRCX)31,22731,22707140.71%+7
ALPHABET INCC(GOOG)0100,630+100,6300361.87%+36
ELI LILLY and CO(LLY)021,410+21,4100261.35%+26
SANDISK CORP(SNDK)3,4933,4930280.42%+6
FIRST AM GOVT OB FB09,900,018+9,900,0180100.52%+10
PALO ALTO NETWOR(PANW)024,994+24,994090.45%+9
KLA CORP(KLAC)3,03030,300+27,270490.48%+5
AMAZONCOM INC(AMZN)0151,010+151,0100361.89%+36
MARVELL TECHNOLO(MRVL)022,460+22,460070.35%+7
CISCO SYSTEMS(CSCO)104,22398,040-6,1838120.61%+3
WELLS FARGO and CO(WFC)039,424+39,424030.17%+3
MARATHON PETROLE(MPC)012,708+12,708030.17%+3
SEAGATE TECHNOLO
ORD SHS
8,9436,691-2,252460.34%+3
TESLA INC(TSLA)062,842+62,8420261.39%+26
WESTERN DIGITAL(WDC)11,7168,897-2,819360.30%+3
JPMORGAN CHASE(JPM)071,665+71,6650231.23%+23
CROWDSTRIKE HOA(CRWD)06,320+6,320050.25%+5
GE VERNOVA INC(GEV)5,9006,313+413570.39%+2
TEXAS INSTRUMENT(TXN)17,23618,601+1,365360.29%+2
ABBVIE INC(ABBV)054,506+54,5060140.72%+14
HOME DEPOT INC(HD)040,656+40,6560140.75%+14
REPUBLIC SVCS(RSG)13,05322,948+9,895350.26%+2
DELL TECHNC(DELL)07,264+7,264030.16%+3
GENERAL MOTORS C(GM)022,152+22,152020.09%+2
FORTINET INC(FTNT)23,15323,1530240.19%+2
LISCRP 41 06/15/2701,650,000+1,650,000020.09%+2
SandP GLOBAL INC(SPGI)09,199+9,199040.20%+4
ROCKWELL AUTOMAT(ROK)011,678+11,678060.30%+6
ARISTA NETWORKS(ANET)032,530+32,530060.29%+6
GOLDMAN SACHS GP(GS)08,730+8,730090.46%+9
MORGAN STANLEY(MS)032,291+32,291070.36%+7
DATADOG INCA(DDOG)010,068+10,068030.14%+3
BANK OF AMERICA0173,310+173,3100100.52%+10
CITIGROUP INC(C)050,406+50,406070.37%+7
JOHNSONandJOHNSON(JNJ)55,94359,055+3,11214150.79%+1
COLGATEPALMOLIV(CL)037,705+37,705030.18%+3
QUALCOMM INC(QCOM)030,609+30,609060.30%+6
CADENCE DESIGN(CDNS)012,442+12,442050.25%+5
TRANE TECHNOLOGI(TT)16,06016,0600780.42%+1
ROPER TECHNOLOGI(ROP)07,093+7,093020.13%+2
VISA INCCLASS A(V)037,706+37,7060130.68%+13
CROWN CASTLE INC(CCI)013,216+13,216010.05%+1
CVS HEALTH CORP(CVS)031,342+31,342030.17%+3
THERMO FISHER(TMO)018,872+18,872090.50%+9
SNOWFLAKE INC(SNOW)08,695+8,695020.12%+2
WW GRAINGER INC(GWW)03,400+3,400050.24%+5
CENTENE CORP(CNC)029,045+29,045020.10%+2
VERTIV HOLDINGA(VRT)10,54410,5440340.19%+1
DEERE and CO(DE)12,22312,2230780.41%+1
BANK NY MELLON032,984+32,984050.25%+5
INTL PAPER CO(IP)034,491+34,491010.07%+1
KEYSIGHT TEC(KEYS)8,0088,850+842230.16%+1
HUMANA INC(HUM)02,765+2,765010.06%+1
TRAVELERS COS IN(TRV)010,733+10,733040.19%+4
KEURIG DR PEPPER(KDP)052,513+52,513020.09%+2
COSTAR GROUP INC(CSGP)18,73454,382+35,648120.08%+1
APPLOVIN COCL A(APP)06,660+6,660030.18%+3
PAYCHEX INC(PAYX)010,814+10,814010.06%+1
ABBOTT LABS052,064+52,064050.25%+5
COREWEAVE ICL A(CRWV)9,77515,138+5,363120.08%+1
MEDLINE INCA(MDLN)8,11328,161+20,048010.06%+1
VERTEX PHARM(VRTX)05,269+5,269030.14%+3
KENVUE INC(KVUE)049,916+49,916010.05%+1
PAYPAL HOLDINGS(PYPL)022,112+22,112010.05%+1
CREDO TECHNOLOGY
ORDINARY SHARES
04,492+4,492010.06%+1
HEICO CORP(HEI)08,218+8,218030.15%+3
ROBINHOOD MARKA(HOOD)030,163+30,163030.16%+3
FLEX LTD(FLEX)9,5227,826-1,696110.07%+1
HEWLETT PACKA(HPE)030,160+30,160010.07%+1
REVOLUTION MEDIC(RVMD)06,152+6,152010.06%+1
DELTA AIR LI(DAL)022,800+22,800020.11%+2
MCCORMICKN/V(MKC)018,049+18,049010.05%+1
INTL FLVR and FRAG(IFF)011,302+11,302010.05%+1
UBER TECHNOLOGIE(UBER)058,411+58,411040.22%+4
WASTE MANAGEMENT(WM)15,23118,312+3,081440.21%+1
MERCK and CO(MRK)70,25470,2540890.48%+1
FERVO ENERGY CA019,659+19,659010.03%+1
HERSHEY CO/THE(HSY)03,228+3,228010.03%+1
AMERICAN EXPRESS(AXP)015,794+15,794050.28%+5
DUPONT DE NEMOUR04,163+4,163010.03%+1
TERADYNE INC(TER)03,018+3,018010.08%+1
WORKDAY INCA(WDAY)09,018+9,018010.06%+1
COCACOLA CO/THE(KO)105,220105,2200890.45%+1
FAIR ISAAC CORP(FICO)01,271+1,271020.08%+2
CARNIVAL CORP LT
COMMON SHARES
018,750+18,750010.03%+1
QUANTA SERVICES3,1283,1280220.12%+1
AXON ENTERPRISE(AXON)01,970+1,970010.06%+1
DT MIDSTREAM(DTM)03,577+3,577010.03%+1
AMPHENOL CORPA022,287+22,287040.21%+4
ZSCALER INC(ZS)08,325+8,325010.06%+1
UNITED AIRLINES(UAL)011,600+11,600020.08%+2
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