Fund HoldingsTWIN CAPITAL MANAGEMENT INC

Total Portfolio Value
$916.40M
Total Bought
$162.36M
Total Sold
$96.87M
Net Transaction
+$65.50M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
MICRON TECHNOLOGY INC(MU)17,11316,667-4465,78119,2392.10%+13,457
ADVANCED MICRO DEVICES INC(AMD)21,33925,415+4,0764,34114,7641.61%+10,423
NVIDIA CORPORATION(NVDA)0288,742+288,742057,7746.30%+57,774
APPLIED MATERIALS INC9,22416,369+7,1453,15311,8351.29%+8,682
ALPHABET INC CAP STOCK CL A(GOOG)0110,453+110,453039,4734.31%+39,473
APPLE INC(AAPL)0213,177+213,177061,6856.73%+61,685
INTEL CORP(INTC)053,776+53,77607,5090.82%+7,509
LAM RESEARCH CORP NEW(LRCX)16,60622,162+5,5563,5489,6031.05%+6,055
BROADCOM INC(AVGO)075,634+75,634028,5713.12%+28,571
AMAZON.COM INC(AMZN)0116,543+116,543027,7773.03%+27,777
ELI LILLY & CO(LLY)015,076+15,076018,0831.97%+18,083
CATERPILLAR INC(CAT)9,4689,594+1266,70810,2171.11%+3,509
WEST PHARMACEUTICAL SVSC INC(WST)08,520+8,52003,0590.33%+3,059
SANDISK CORP(SNDK)1,4181,674+2569013,8060.42%+2,905
JABIL INC(JBL)1,8848,744+6,8605003,3710.37%+2,870
CARDINAL HEALTH INC(CAH)011,824+11,82402,8090.31%+2,809
KLA CORP NEW(KLAC)032,329+32,32909,7541.06%+9,754
UNITEDHEALTH GROUP INC(UNH)016,577+16,57706,8900.75%+6,890
CISCO SYSTEMS INC(CSCO)60,20260,073-1294,6717,0560.77%+2,385
MORGAN STANLEY(MS)022,058+22,05804,6110.50%+4,611
US BANCORP DEL(USB)037,728+37,72802,2790.25%+2,279
WESTERN DIGITAL CORP(WDC)5,9225,908-141,6023,7740.41%+2,172
MICROSOFT CORP(MSFT)0108,982+108,982040,6524.44%+40,652
FORTINET INC(FTNT)028,106+28,10604,3180.47%+4,318
JPMORGAN CHASE & CO(JPM)047,806+47,806015,6481.71%+15,648
MARVELL TECHNOLOGY INC(MRVL)06,463+6,46301,9250.21%+1,925
TESLA INC(TSLA)032,354+32,354013,6081.48%+13,608
QUANTA SERVICES INC9,6659,897+2325,3067,1260.78%+1,820
ARISTA NETWORKS INC(ANET)016,836+16,83602,8600.31%+2,860
CHARLES RIVER LABORATORIES INT(CRL)07,367+7,36701,6710.18%+1,671
CHIPOTLE MEXICAN GRILL INC(CMG)095,477+95,47703,2460.35%+3,246
CITIGROUP INC NEW(C)038,933+38,93305,4490.59%+5,449
JOHNSON & JOHNSON(JNJ)42,49347,173+4,68010,38711,9811.31%+1,594
GE AEROSPACE(GE)015,695+15,69505,8660.64%+5,866
UNITED THERAPEUTICS CORP(UTHR)02,643+2,64301,4320.16%+1,432
ALBEMARLE CORP(ALB)010,375+10,37501,4010.15%+1,401
ROSS STORES INC(ROST)06,567+6,56701,3980.15%+1,398
HEWLETT PACKARD ENTERPRISE CO(HPE)053,263+53,26302,4030.26%+2,403
INTL BUSINESS MACHINES(IBM)017,169+17,16904,8280.53%+4,828
COCA-COLA CO(KO)086,761+86,76107,0510.77%+7,051
TARGET CORP(TGT)017,063+17,06302,2290.24%+2,229
BERKSHIRE HATHAWAY INC CL B NE014,828+14,82807,4200.81%+7,420
NORTHERN TRUST CORP(NTRS)025,572+25,57204,4450.49%+4,445
MONGODB INC CL A(MDB)03,707+3,70701,2450.14%+1,245
ALPHABET INC CAP STOCK CL C(GOOG)018,274+18,27406,4570.70%+6,457
ROKU INC CL A(ROKU)08,537+8,53701,1790.13%+1,179
DELL TECHNOLOGIES INC CL C(DELL)4,1464,296+1506801,8540.20%+1,173
TEXAS INSTRUMENTS INC(TXN)06,174+6,17401,8400.20%+1,840
QUALCOMM INC(QCOM)014,169+14,16902,6180.29%+2,618
LINDE PLC(LIN)8,44110,266+1,8254,1855,3270.58%+1,143
GOLDMAN SACHS GROUP INC(GS)07,382+7,38207,4660.81%+7,466
VEEVA SYSTEMS INC CL A(VEEV)06,359+6,35901,1290.12%+1,129
GE VERNOVA INC(GEV)3,7183,703-153,2454,3510.47%+1,105
VISA INC CL A(V)026,626+26,62609,1351.00%+9,135
HONEYWELL INTL INC04,745+4,74501,0620.12%+1,062
HONEYWELL AEROSPACE INC04,744+4,74401,0490.11%+1,049
WESTLAKE CORPORATION(WLK)013,135+13,13509590.10%+959
THERMO FISHER SCIENTIFIC INC(TMO)02,512+2,51201,2590.14%+1,259
COPART INC(CPRT)030,432+30,43208580.09%+858
TERADYNE INC(TER)1,5082,662+1,1544471,2880.14%+841
EMCOR GROUP INC(EME)3,3173,938+6212,4493,2680.36%+819
PAYCHEX INC(PAYX)029,657+29,65702,9160.32%+2,916
OCCIDENTAL PETROLEUM CORP(OXY)016,685+16,68508100.09%+810
WELLTOWER INC(WELL)013,734+13,73403,1170.34%+3,117
SYNCHRONY FINANCIAL(SYF)029,859+29,85902,2710.25%+2,271
OLD DOMINION FREIGHT LINE INC(ODFL)3,5306,780+3,2506901,4690.16%+779
RB GLOBAL INC(RBA)016,457+16,45701,9160.21%+1,916
UNITED RENTALS INC(URI)01,222+1,22201,3840.15%+1,384
RALLIANT CORP COM(RAL)22,02221,941-819161,6160.18%+700
ANALOG DEVICES INC(ADI)1,0862,587+1,5013461,0270.11%+682
WILLIAMS SONOMA INC(WSM)013,385+13,38503,1200.34%+3,120
BANK NEW YORK MELLON CORP025,551+25,55103,6950.40%+3,695
WAL-MART INC(WMT)48,58659,068+10,4826,0386,6900.73%+652
PULTE GROUP INC(PHM)033,328+33,32804,5730.50%+4,573
CVS HEALTH CORP(CVS)018,965+18,96501,9620.21%+1,962
STATE STREET CORP(STT)014,120+14,12002,3950.26%+2,395
UNION PACIFIC CORP(UNP)05,115+5,11501,3910.15%+1,391
BANK OF AMERICA CORP54,14156,488+2,3472,6393,2190.35%+579
TEXAS ROADHOUSE INC(TXRH)06,579+6,57901,2710.14%+1,271
TAPESTRY INC(TPR)03,752+3,75205490.06%+549
INTERCONTINENTAL EXCHANGE INC(ICE)08,989+8,98901,1070.12%+1,107
AMPHENOL CORP CL A10,00910,033+241,2651,7690.19%+504
WISDOMTREE YIELD ENHANCED U.S.(WT)011,536+11,53605020.05%+502
3M CO(MMM)027,314+27,31404,4220.48%+4,422
EQUINIX INC(EQIX)2,1012,429+3282,0592,5320.28%+472
DIGITAL REALTY TRUST INC(DLR)08,222+8,22201,4770.16%+1,477
DUKE ENERGY CORP NEW(DUK)028,252+28,25203,5760.39%+3,576
AMERICAN AIRLINES GROUP INC(AAL)59,69759,096-6016411,0680.12%+427
MONSTER BEVERAGE CORP(MNST)012,184+12,18401,1710.13%+1,171
MERCK & CO INC(MRK)040,649+40,64905,2230.57%+5,223
APPLOVIN CORP CL A(APP)03,501+3,50101,8040.20%+1,804
EOG RESOURCES INC(EOG)23,98029,870+5,8903,4673,8750.42%+408
MCDONALDS CORP(MCD)01,467+1,46703970.04%+397
KEYSIGHT TECHNOLOGIES INC(KEYS)5,6045,581-231,5821,9540.21%+371
TRAVELERS COMPANIES INC(TRV)09,147+9,14703,0200.33%+3,020
AT&T INC(T)120,153183,886+63,7333,4833,8060.42%+323
TJX COS INC(TJX)19,76822,951+3,1833,1573,4770.38%+320
EXPEDIA GROUP INC NEW(EXPE)03,763+3,76309630.11%+963
KIMCO REALTY CORP(KIM)114,400114,010-3902,5712,8900.32%+320
AMERICAN EXPRESS CO(AXP)09,256+9,25603,1310.34%+3,131
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