Fund HoldingsLATHROP INVESTMENT MANAGEMENT CO

Total Portfolio Value
$534.3K
Total Bought
$30.1K
Total Sold
$46.0K
Net Transaction
-$15.9K
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
Exxon Mobil Corp109,986114,521+4,53513193.64%+6
Schlumberger Ltd(SLB)186,648227,417+40,7697122.19%+5
Schwab US Aggregate Bond ETF231,455369,953+138,498591.61%+3
Kirby Corp(KEX)128,726130,329+1,60314173.24%+3
Kinder Morgan Inc P(KMI)633,721607,715-26,00617203.81%+3
Teradyne Inc(TER)51,99542,882-9,11310132.38%+3
Analog Devices Inc(ADI)67,89165,581-2,31018213.90%+2
Johnson Controls International PLC
SHS
133,910131,439-2,47116173.22%+1
Labcorp Holdings Inc(LH)69,45869,384-7417193.46%+1
Huntington Bancshares Inc(HBAN)036,818+36,818010.11%+1
Illinois Tool Works Inc(ITW)48,76148,288-47312132.35%+1
Alcon Inc(ALC)164,058176,860+12,80213132.49%0
United Parcel Service Inc Class B(UPS)44,86247,152+2,290450.87%0
Johnson & Johnson(JNJ)4,5334,535+2110.21%0
Entergy Corp(ETR)5,0005,0000010.11%0
Merck & Co Inc(MRK)5,8665,8660110.13%0
EMCOR Group Inc(EME)6986980010.10%0
GE Vernova Inc(GEV)569517-52000.08%0
Coca-Cola Co(KO)12,68612,6860110.18%0
Southern Co(SO)7,1267,1260110.13%0
Caterpillar Inc(CAT)4074070000.05%0
Invesco S&P 500 Equal Weight ETF
S&P500 EQL WGT
5,9846,256+272110.22%0
Tyson Foods Inc Class A(TSN)9,5929,5920110.12%0
American Electric Power Co Inc3,1603,1600000.08%0
Costco Wholesale Corp(COST)410402-8000.08%0
GE Aerospace(GE)24,88027,161+2,281881.44%0
JB Hunt Transport Services Inc(JBHT)2,7882,743-45110.11%0
Bristol-Myers Squibb Company(BMY)4,7164,601-115000.05%0
PepsiCo Inc(PEP)1,8091,8090000.05%0
Schwab International Equity ETF13,46813,792+324000.06%0
iShares Russell Mid-Cap Value ETF1,7811,7810000.05%0
Westrock Coffee23,61523,6150000.02%0
Bank OZK(OZK)6,8416,8410000.06%-0
Dimensional US Core Equity ETF
US COR EQU 2 ETF
5,5025,5020000.04%-0
Wal-Mart Stores Inc(WMT)249,700223,788-25,91228285.20%-0
Regions Financial Corp(RF)13,16813,1680000.06%-0
Netflix Inc(NFLX)2,6102,320-290000.04%-0
Waste Connections Inc(WCN)1,7721,7720000.05%-0
Home BancShares Inc(HOMB)19,94119,594-347110.10%-0
Invesco QQQ Trust434405-29000.04%-0
AbbVie Inc(ABBV)4,3554,3550110.18%-0
Arista Networks Inc(ANET)5,5495,513-36110.13%-0
Amentum Holdings Inc20,31420,044-270110.10%-0
Schwab US Large-Cap Growth ETF8,3837,068-1,315000.04%-0
Visa Inc Class A(V)767666-101000.04%-0
Alphabet Inc C(GOOG)2,4892,469-20110.13%-0
Berkshire Hathaway Inc A220210.27%-0
Schwab US Large-Cap ETF48,58047,989-591110.23%-0
Alphabet Inc A(GOOG)2,7312,691-40110.14%-0
Abbott Laboratories3,8703,8700000.07%-0
Meta Platforms Inc Class A(META)915890-25110.10%-0
Cisco Systems Inc(CSCO)224,117220,719-3,39817173.21%-0
Amazon.com Inc(AMZN)5,5445,414-130110.21%-0
Marsh & Mclennan Companies Inc(MRSH)31,02932,256+1,227661.05%-0
Bank of America Corporation17,00615,602-1,404110.14%-0
Schwab US Mid-Cap ETF147,991137,249-10,742440.80%-0
Sony Financial Group ADR(SFGRF)39,3280-39,32800-0
Berkshire Hathaway Inc B10,10810,123+15550.91%-0
Palo Alto Networks Inc(PANW)10,22310,2230220.31%-0
Accenture PLC A
SHS CLASS A
14,47618,230+3,754440.68%-0
Vanguard Mid-Cap ETF1,0300-1,03000-0
NVIDIA Corp(NVDA)20,91220,569-343440.67%-0
Eli Lilly and Co(LLY)1,2081,048-160110.18%-0
Cullen/Frost Bankers Inc(CFR)27,58622,726-4,860330.58%-0
Nike Inc B(NKE)100,834110,516+9,682661.09%-1
Cadence Bank15,2000-15,20010-1
Lam Research Corp(LRCX)16,74010,338-6,402320.41%-1
Jacobs Solutions Inc(J)125,861125,298-56317162.98%-1
RTX CORP(RTX)113,908104,400-9,50821203.77%-1
JPMorgan Chase & Co(JPM)40,13141,252+1,12113122.27%-1
The Home Depot Inc(HD)36,45135,414-1,03713122.18%-1
Danaher Corp(DHR)28,19529,038+843661.03%-1
Charles Schwab Corp(SCHW)182,227182,420+19318173.21%-1
Stryker Corp(SYK)44,43243,432-1,00016142.67%-1
Apple Inc(AAPL)70,34870,030-31819183.33%-1
Martin Marietta Materials Inc(MLM)30,88129,802-1,07919183.28%-2
Markel Group Inc(MKL)7,1957,049-14615132.52%-2
Walt Disney Co(DIS)126,647125,581-1,06614122.27%-2
Oracle Corp(ORCL)53,05954,468+1,4091081.50%-2
International Business Machines Corp(IBM)38,83437,530-1,3041291.70%-2
Thermo Fisher Scientific Inc(TMO)30,37730,770+39318152.83%-2
Adobe Systems Inc(ADBE)27,47528,365+8901071.29%-3
CVS Health Corp(CVS)113,37380,984-32,389961.09%-3
Sony Group Corp(SONY)605,727591,040-14,68716122.29%-3
Acuity Brands Inc(AYI)49,70248,558-1,14418142.55%-4
Microsoft Corp(MSFT)51,43849,530-1,90825183.43%-7
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