Fund HoldingsBOYD WATTERSON ASSET MANAGEMENT LLC/OH

Total Portfolio Value
$325.59M
Total Bought
$12.99M
Total Sold
$38.55M
Net Transaction
-$25.56M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
Exxon Mobil Corp47,39646,596-8005,7047,9052.43%+2,202
Honeywell International(HON)036,712+36,71208,2982.55%+8,298
Zebra Technologies Corp Cl(ZBRA)08,574+8,57401,7930.55%+1,793
Caterpillar Inc(CAT)10,76610,305-4616,1687,3012.24%+1,133
Chevron Corp(CVX)017,528+17,52803,6271.11%+3,627
Texas Instruments Inc(TXN)09,465+9,46501,8380.56%+1,838
Johnson & Johnson(JNJ)22,08621,440-6464,5715,2411.61%+670
Waters Corp(WAT)1602,371+2,211617060.22%+645
Phillips 66(PSX)011,237+11,23702,0470.63%+2,047
Eaton Corp PLC(ETN)024,880+24,88008,8992.73%+8,899
Merck & Company(MRK)35,20735,559+3523,7064,2771.31%+571
Paylocity Holding Corp(PCTY)05,150+5,15005560.17%+556
PPG Industries Inc(PPG)6,02410,328+4,3046171,1040.34%+487
Kimberly Clark Corp(KMB)7,71812,784+5,0667791,2330.38%+455
PepsiCo Inc(PEP)21,41722,542+1,1253,0743,5011.08%+427
Linde PLC(LIN)06,160+6,16003,0540.94%+3,054
Target Corp(TGT)8,3329,731+1,3998141,1790.36%+365
Citigroup Inc(C)38,72242,384+3,6624,5184,8071.48%+288
Bristol-Myers Squibb Co(BMY)42,76642,665-1012,3072,5880.79%+281
Occidental Petroleum Corp(OXY)010,000+10,00006500.20%+650
Nextera Energy Inc(NEE)16,75216,75201,3451,5560.48%+211
Solstice Advanced Matls Inc(SOLS)7,5427,504-383665720.18%+205
iShares 7-10 Year Treasury Bond ETF7,1689,309+2,1416898880.27%+199
SPDR S & P Midcap 400 ETF(MDY)13,93613,93608,4078,5952.64%+188
TESLA Inc(TSLA)1,4102,195+7856348160.25%+182
Becton Dickinson & Co(BDX)6,6779,369+2,6921,2961,4730.45%+177
iShares MSCI Emrg Mkt Indx72,63972,63903,9744,1251.27%+151
Masco Corp(MAS)015,043+15,04309080.28%+908
Charles Schwab Corp(SCHW)12,97015,028+2,0581,2961,4120.43%+116
iShares S&P SmallCap 60023,85023,85002,8662,9650.91%+99
Air Products & Chemicals02,561+2,56107440.23%+744
GE Vernova LLC(GEV)1,061898-1636937840.24%+90
Marsh & McLennan Cos Inc(MRSH)07,736+7,73601,3420.41%+1,342
SPDR Bloomberg Barclay 1-3 T Bill ETF
ST STR BLO 1 ETF
0870+8700800.02%+80
iShares MBS Bond ETF011,616+11,61601,1030.34%+1,103
HP Inc(HPQ)07,865+7,86501510.05%+151
ConocoPhillips(COP)02,802+2,80203700.11%+370
EOG Resources Inc(EOG)01,103+1,10301590.05%+159
O'Reilly Automotive Inc(ORLY)021,143+21,14301,9520.60%+1,952
Fastenal Co(FAST)05,292+5,29202460.08%+246
Netflix Inc(NFLX)012,990+12,99001,2490.38%+1,249
Coca-Cola Co(KO)23,33621,856-1,4801,6311,6620.51%+31
TJX Companies Inc(TJX)5,0005,00007687990.25%+30
WisdomTree FR Tsy ETF(WT)0580+5800290.01%+29
Marathon Petroleum Corp(MPC)0356+3560870.03%+87
Oneok Inc New(OKE)01,659+1,65901500.05%+150
iShares MSCI EAFE Index Fd25,04525,04502,4052,4330.75%+28
Quadratic Deflation ETF0266+2660260.01%+26
DNP Select Income Fund Inc(DNP)074,420+74,42007670.24%+767
Canadian Natural Resources(CNQ)1,5001,500051730.02%+22
Vanguard Short-Term TIPS ETF0347+3470170.01%+17
AT & T Inc(T)04,025+4,02501170.04%+117
Mitsui & Co Ltd ADR9393055700.02%+15
BAE Systems PLC ADR(BAESF)0556+5560650.02%+65
Regeneron Pharmaceuticals(REGN)1,0721,087+158278400.26%+12
Procter & Gamble Co(PG)021,866+21,86603,1580.97%+3,158
Enterprise Products Part(EPD)01,980+1,9800750.02%+75
Keysight Technologies Inc W/I(KEYS)0132+1320370.01%+37
Altria Group Inc(MO)01,234+1,2340810.03%+81
KLA-Tencor Corporation(KLAC)8476-81021120.03%+10
Taiwan Semiconductor ADR(TSM)287287087970.03%+10
MPLX LP(MPLX)2,4652,46501321410.04%+9
IShares Broad USD HY Corp Bond ETF
BROAD USD HIGH
011,627+11,62704280.13%+428
Valero Energy Corp(VLO)095+950230.01%+23
American Electric Power0460+4600600.02%+60
Vanguard World Fds Utiliti
UTILITIES ETF
0550+55001090.03%+109
Southern Company(SO)0734+7340710.02%+71
Totaleneries SE(TTE)266266017240.01%+7
Duke Energy Corp(DUK)0479+4790630.02%+63
Plains All American Pipe(PAA)01,423+1,4230320.01%+32
Corning Inc(GLW)0125+1250170.01%+17
Motorola Solutions Inc(MSI)0114+1140490.02%+49
Travelers Companies Inc(TRV)3,5383,53801,0261,0320.32%+6
Centerpoint Energy(CNP)01,132+1,1320490.02%+49
NiSource Inc(NI)01,076+1,0760500.02%+50
Micron Technology Inc(MU)9797028330.01%+5
Eni Spa-Sponsored ADR(E)0258+2580150.00%+15
Consolidated Edison Inc(ED)0339+3390380.01%+38
W.W. Grainger Inc(GWW)056+560610.02%+61
FedEx Corp(FDX)066+660240.01%+24
L3Harris Technologies Inc.(LHX)086+860300.01%+30
Alerian MLP ETN 2044(JPM)0943+9430330.01%+33
Lyondellbasell Indu Cl A
SHS - A -
0117+117090.00%+9
Vanguard Long-Term Corp Bond ETF
LG-TERM COR BD
03,193+3,19302390.07%+239
Energy Transfer Equity LP(ET)01,385+1,3850270.01%+27
Komatsu Ltd Spons ADR0629+6290240.01%+24
BHP Limited Spons ADR0297+2970220.01%+22
Mondelez International Inc(MDLZ)04,802+4,80202770.09%+277
Plains GP Holdings LP-CL A(PAGP)0700+7000170.01%+17
Enbridge Inc(ENB)0564+5640310.01%+31
Rio Tinto PLC-SPON ADR(RIO)0267+2670250.01%+25
Lockheed Martin Corp(LMT)026+260160.00%+16
Novartis AG ADR(NVS)0193+1930290.01%+29
Chubb Ltd
COM
200200062650.02%+3
Public Storage(PSA)0240+2400650.02%+65
GlaxoSmithKline PLC(GSK)0419+4190230.01%+23
Edison International(EIX)0195+1950140.00%+14
Mitsubishi Financial Group ADR(MUFG)02,238+2,2380380.01%+38
ABB Ltd-Spon ADR0622+6220490.02%+49
Ericsson LM TEL-SP ADR(ERIC)01,456+1,4560160.01%+16
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