Fund HoldingsARGENT CAPITAL MANAGEMENT LLC

Total Portfolio Value
$3.17B
Total Bought
$423.03M
Total Sold
$831.78M
Net Transaction
-$408.74M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
Dell Technologies, Inc.(DELL)0212,229+212,229091,5682.89%+91,568
Applied Materials, Inc.0213,780+213,7800154,5634.88%+154,563
Exxon Mobil Corp0537,947+537,947073,5482.32%+73,548
Jazz Pharmaceuticals plc(JAZZ)0200,072+200,072048,2111.52%+48,211
Regal Rexnord Corp(RRX)0166,714+166,714039,7101.25%+39,710
United Rentals, Inc.(URI)098,286+98,2860111,3473.52%+111,347
Cintas Corporation(CTAS)36,397193,780+157,3836,15632,9581.04%+26,802
Fortinet, Inc.(FTNT)0472,409+472,409072,5712.29%+72,571
Hewlett Packard Enterprise Company(HPE)0543,873+543,873024,5340.77%+24,534
Alphabet Inc. Class A(GOOG)0632,390+632,3900225,9977.14%+225,997
State Street Corp.(STT)0101,090+101,090017,1450.54%+17,145
CVS Health Corporation(CVS)0158,288+158,288016,3750.52%+16,375
CDW Corporation(CDW)0111,899+111,899015,7380.50%+15,738
Franklin Resources, Inc.(BEN)0363,135+363,135012,0820.38%+12,082
Viatris Inc.(VTRS)2,160,9002,550,355+389,45529,19440,5001.28%+11,306
PNC Financial Services Group, Inc.(PNC)199,075195,932-3,14341,42648,2421.52%+6,817
NVIDIA Corporation(NVDA)01,031,778+1,031,7780206,4486.52%+206,448
Eaton Corporation plc(ETN)162,990147,475-15,51558,29762,8421.98%+4,545
TD SYNNEX Corporation(SNX)016,076+16,07604,2980.14%+4,298
Apple Inc.(AAPL)0318,170+318,170092,0662.91%+92,066
Amazon.com, Inc.(AMZN)0778,967+778,9670185,6595.86%+185,659
Onto Innovation Inc.(ONTO)010,575+10,57504,0020.13%+4,002
JPMorgan Chase & Co.(JPM)0194,449+194,449063,6492.01%+63,649
Twilio Inc.(TWLO)016,333+16,33303,3700.11%+3,370
East West Bancorp, Inc.(EWBC)024,365+24,36503,1450.10%+3,145
Marex Group Ltd050,858+50,85803,1000.10%+3,100
Neurocrine Biosciences, Inc.(NBIX)018,360+18,36003,0940.10%+3,094
MSC Industrial Direct Co., Inc.(MSM)149,087140,596-8,49113,75616,7240.53%+2,968
XPO Inc(XPO)013,944+13,94402,8630.09%+2,863
Mueller Industries, Inc.(MLI)022,949+22,94902,8210.09%+2,821
Broadcom Inc.(AVGO)0264,133+264,133099,7763.15%+99,776
Analog Devices, Inc.(ADI)47,18444,635-2,54915,01117,7280.56%+2,717
D.R. Horton, Inc.(DHI)0442,509+442,509072,0762.28%+72,076
Texas Instruments Incorporated(TXN)075,346+75,346022,4580.71%+22,458
Chord Energy Corporation(CHRD)017,527+17,52702,0030.06%+2,003
Marvell Technology, Inc.(MRVL)10,07210,07209983,0000.09%+2,003
TransDigm Group Incorporated(TDG)75,26566,590-8,67587,22988,7012.80%+1,471
Ultra Clean Holdings, Inc.(UCTT)010,304+10,30401,4690.05%+1,469
Bread Financial Holdings, Inc.012,336+12,33601,3370.04%+1,337
Extreme Networks, Inc.(EXTR)035,391+35,39101,1460.04%+1,146
JFrog Ltd.(FROG)012,571+12,57101,1420.04%+1,142
Bel Fuse Inc.2,8165,045+2,2295581,6800.05%+1,123
Perimeter Solutions, Inc.(PRM)030,228+30,22801,0780.03%+1,078
Atlanticus Holdings Corporation(ATLC)09,100+9,10009300.03%+930
Liquidity Services, Inc(LQDT)023,121+23,12109040.03%+904
WSFS Financial Corporation(WSFS)011,481+11,48108810.03%+881
DXP Enterprises, Inc.(DXPE)04,830+4,83008150.03%+815
Arrow Electronics, Inc.03,747+3,74708000.03%+800
Synaptics Incorporated(SYNA)06,334+6,33407870.02%+787
Powell Industries, Inc.(POWL)02,512+2,51207190.02%+719
Extra Space Storage Inc.(EXR)0103,131+103,131014,9850.47%+14,985
ProPetro Holding Corp.(PUMP)046,934+46,93406730.02%+673
Palo Alto Networks, Inc.(PANW)03,624+3,62401,2360.04%+1,236
The Chefs' Warehouse, Inc.(CHEF)9,18812,066+2,8785461,1600.04%+613
Alphabet Inc. Class C(GOOG)014,658+14,65805,1790.16%+5,179
Ligand Pharmaceuticals Incorporated(LGND)3,4853,802+3176961,2020.04%+506
iShares Russell 1000 ETF01,233+1,23305050.02%+505
Honeywell Technologies02,133+2,13304780.02%+478
Honeywell Aerospace Inc.02,132+2,13204710.01%+471
Johnson & Johnson(JNJ)75,18073,979-1,20118,37718,7880.59%+411
Carpenter Technology Corporation(CRS)0560+56003450.01%+345
IShares Russell Mid-cap ETF02,750+2,75003030.01%+303
Merck & Co, Inc.(MRK)185,453175,679-9,77422,30822,5750.71%+267
Trane Technologies plc(TT)5,3085,038-2702,2122,4740.08%+262
Enova International, Inc.(ENVA)0891+89102140.01%+214
Cisco Systems, Inc.(CSCO)04,109+4,10904830.02%+483
Edwards Lifesciences014,080+14,08001,2740.04%+1,274
The Home Depot, Inc.(HD)053,684+53,684018,9330.60%+18,933
Bank of New York Mellon Corp6,7006,355-3457959190.03%+124
Emerson Electric Co.(EMR)05,507+5,50707880.02%+788
AbbVie Inc.(ABBV)01,685+1,68504240.01%+424
MasTec, Inc.(MTZ)935860-753013580.01%+57
Argent Mid Cap ETF
ARGENT MID CAP
011,915+11,91504340.01%+434
Starbucks Corp(SBUX)3,6383,642+43263720.01%+46
Carrier Global Corporation(CARR)6,6605,660-1,0003754150.01%+40
Cardinal Health Inc(CAH)1,3511,35102853210.01%+35
Berkshire Hathaway Inc. Class B01,608+1,60808050.03%+805
Berkshire Hathaway Inc.01+107490.02%+749
Packaging Corp. of America(PKG)01,178+1,17802810.01%+281
Fair Isaac Corporation(FICO)0206+20602460.01%+246
Factset Research Systems, Inc.(FDS)01,955+1,95504500.01%+450
Automatic Data Processing, Inc.05,051+5,05101,1310.04%+1,131
Philip Morris International(PM)1,2401,24002052240.01%+19
MSA Safety Incorporated(MSA)083,525+83,525014,5820.46%+14,582
iShares Core MSCI EAFE ETF
CORE MSCI EAFE
02,933+2,93302830.01%+283
The Walt Disney Company(DIS)03,950+3,95003800.01%+380
Ameriprise Financial, Inc.(AMP)0445+44502040.01%+204
TJX Co.(TJX)2,7002,70004314090.01%-22
Coca-Cola(KO)10,3109,310-1,0007847570.02%-27
Installed Building Products, Inc.(IBP)0991+99102280.01%+228
EnPro Inc.(NPO)9,6856,326-3,3592,4282,3840.08%-43
The Procter & Gamble Company(PG)8,2017,701-5001,1841,1290.04%-55
Rambus Inc.(RMBS)10,0015,875-4,1268607800.02%-81
Visa Inc.(V)04,519+4,51901,5500.05%+1,550
Blackstone Inc.(BX)02,866+2,86603370.01%+337
Costco Wholesale Corporation(COST)2,4802,48002,4712,3200.07%-151
IES Holdings, Inc.(IESC)4,0492,413-1,6361,9291,7730.06%-156
Halozyme Therapeutics, Inc.(HALO)9,0545,462-3,5925854280.01%-158
Herc Holdings, Inc.(HRI)10,2865,974-4,3121,0248560.03%-168
Novanta Inc.(NOVT)7,6704,505-3,1659067310.02%-175
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