Fund HoldingsINDEPENDENT INVESTORS INC

Total Portfolio Value
$523.62M
Total Bought
$2.36M
Total Sold
$46.70M
Net Transaction
-$44.34M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
Apple Inc.(AAPL)1,081,0731,027,983-53,090274,366297,45756.81%+23,092
Qualcomm Inc.(QCOM)34,29233,592-7004,4166,2071.19%+1,791
JPMorgan Chase & Co.(JPM)55,80454,204-1,60016,41517,7433.39%+1,327
Honeywell Aerospace Inc.05,373+5,37301,1880.23%+1,188
NVIDIA Corporation(NVDA)38,56538,260-3056,7267,6551.46%+930
Pershing Square USA, Ltd.020,000+20,00007480.14%+748
Emerson Electric Co.(EMR)48,89648,89606,4066,9991.34%+593
United Rentals, Inc.(URI)1,3251,32509651,5010.29%+536
Johnson & Johnson(JNJ)71,15670,356-80017,39317,8683.41%+475
CrowdStrike Holdings, Inc.(CRWD)1,2701,245-254969500.18%+454
Goldman Sachs Group, Inc.(GS)3,6403,490-1503,0793,5300.67%+450
AbbVie Inc.(ABBV)44,67440,274-4,4009,71610,1351.94%+418
Boeing Company(BA)30,35729,457-9006,0426,3771.22%+335
Norfolk Southern Corporation(NSC)17,51717,017-5005,0275,3531.02%+326
Dover Corporation(DOV)20,40020,40004,2524,5750.87%+323
Morgan Stanley(MS)6,7836,533-2501,1161,3660.26%+249
Howard Hughes Holdings(HHH)28,63728,63701,8122,0470.39%+236
PureCycle Technologies, Inc.(PCT)80,56780,56704186530.12%+235
UnitedHealth Group Incorporated(UNH)2,5802,230-3506989270.18%+229
United Parcel Service, Inc.(UPS)24,02824,02802,3642,5830.49%+219
Vanguard Emerging Markets ETF03,650+3,65002180.04%+218
Union Pacific Corporation(UNP)11,64011,140-5002,8243,0300.58%+206
Bank of America Corporation24,58024,58001,1981,4010.27%+202
Seaport Entertainment Group Inc.07,584+7,58402020.04%+202
iShares Core S&P 500 ETF2,1062,10601,3761,5770.30%+202
GE Vernova Inc.(GEV)996907-898691,0660.20%+196
Amgen Inc.(AMGN)29,47629,176-30010,37110,5652.02%+194
Coca-Cola Company(KO)35,49635,49602,6992,8850.55%+185
SPDR S&P 500 ETF(SPY)1,9721,922-501,2821,4350.27%+153
Cisco Systems, Inc.(CSCO)7,8706,160-1,7106117240.14%+113
Solstice Advanced Materials Inc.(SOLS)10,32910,129-2007878970.17%+111
International Business Machines Corporation(IBM)2,3502,35005706610.13%+91
American Express Company(AXP)12,00011,000-1,0003,6303,7210.71%+91
Alphabet Inc. Class C(GOOG)9,2907,790-1,5002,6652,7520.53%+88
Eaton Corporation PLC(ETN)1,2001,20004295110.10%+82
GE Aerospace(GE)4,1143,342-7721,1671,2490.24%+82
Novartis AG(NVS)17,90017,90002,7342,8050.54%+71
Colgate-Palmolive Company(CL)28,03326,833-1,2002,3892,4600.47%+71
Amazon.com, Inc.(AMZN)2,4652,410-555135740.11%+61
Invesco QQQ Trust38338302212820.05%+61
Visa Inc.(V)1,3801,38004174730.09%+56
iShares S&P Mid-Cap 400 Growth ETF2,8002,80002823290.06%+47
Metaverse Roundhill Ball ETF
ROUNDHILL BALL
10,00010,00001591850.04%+25
Merck & Co., Inc.(MRK)2,5002,50003013210.06%+21
JPMorgan NASDAQ Equity Premium Income ETF
NASDAQ EQT PREM
9,1208,410-7105065170.10%+11
Air Products and Chemicals, Inc.74674602172190.04%+2
iShares MSCI India ETF
MSCI INDIA ETF
4,6204,210-4102162080.04%-8
Uber Technologies Inc(UBER)9,0408,880-1606506410.12%-9
Oracle Corporation(ORCL)29,90029,90004,3994,3820.84%-17
SLB N.V.(SLB)4,4254,42502272060.04%-22
Kinder Morgan, Inc.(KMI)18,61618,61606245950.11%-29
Stryker Corporation(SYK)3,0003,00009869450.18%-41
Waters Corporation(WAT)26,16320,663-5,5007,7917,7491.48%-42
Walt Disney Company(DIS)44,02643,576-4504,2434,1940.80%-49
JPMorgan Equity Premium Income ETF
EQUITY PREMIUM
15,21114,251-9608628050.15%-57
Lowe's Companies, Inc.(LOW)3,8003,80008988380.16%-60
Pfizer Inc.(PFE)12,25011,650-6003442810.05%-63
Alphabet Inc. Class A(GOOG)5,9204,420-1,5001,7021,5800.30%-123
Bristol-Myers Squibb Company(BMY)26,43825,438-1,0001,6031,4660.28%-138
Home Depot, Inc.(HD)6,0015,016-9851,9741,7690.34%-205
Alibaba Group Holding Ltd ADS(BABA)10,10010,10001,2679690.19%-298
Chevron Corporation(CVX)6,5905,440-1,1501,3639020.17%-462
L3Harris Technologies, Inc.(LHX)9,7499,74903,3652,8330.54%-532
Costco Wholesale Corporation(COST)2,8652,415-4502,8552,2590.43%-596
Procter & Gamble Company(PG)40,09535,415-4,6805,7915,1930.99%-598
Kenvue Inc.(KVUE)38,2490-38,2496590-659
Microsoft Corporation(MSFT)54,30052,050-2,25020,10019,4163.71%-685
Nike, Inc.(NKE)60,00060,00003,1692,4630.47%-706
McDonald's Corporation(MCD)17,11616,616-5005,3194,4910.86%-828
Berkshire Hathaway Inc. Class B14,88712,577-2,3107,1346,2931.20%-840
Abbott Laboratories34,39027,840-6,5503,5312,5260.48%-1,005
PepsiCo, Inc.(PEP)18,2138,263-9,9502,8281,1190.21%-1,709
Exxon Mobil Corporation61,04958,649-2,40010,3588,0181.53%-2,339
Honeywell International Inc.(HON)41,55020,373-21,1779,3924,5620.87%-4,830
Page 1 of 1