Fund HoldingsFOSTER & MOTLEY INC

Total Portfolio Value
$1.94M
Total Bought
$117.3K
Total Sold
$105.6K
Net Transaction
+$11.7K
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
Avantis International Equity ETF288,093398,670+110,57724341.75%+10
Schwab Fundamental Intl Lg Co ETF2,491,5592,442,949-48,6101131206.17%+7
Janus Henderson Mortgage-Backed ETF
HENDERSON MTG
1,809,4571,949,409+139,95283884.54%+5
Tortoise North American Pipeline Fund0641,022+641,0220271.40%+27
Vanguard Total Bond Market ETF296,362349,392+53,03022261.33%+4
JPMorgan Municipal ETF
MUNICIPAL ETF
072,615+72,615040.19%+4
Nvidia Corp(NVDA)22,51444,055+21,541480.40%+3
SPDR Barclays Cap Interm Term Corp Bond ETF
ST INTER BD ETF
273,163356,638+83,4759120.62%+3
CF Industries Holdings, Inc.(CF)045,120+45,120060.30%+6
Kroger Company(KR)0229,772+229,7720170.86%+17
Schwab International Equity ETF3,098,9863,112,346+13,36075773.97%+3
Dell Inc.(DELL)054,787+54,787090.46%+9
Cambria Emerging Shareholder Yield ETF1,078,4071,054,409-23,99841442.25%+2
Verizon Communications(VZ)0163,498+163,498080.42%+8
Exxon Mobil Corporation42,65843,364+706570.38%+2
Schwab US TIPS ETF903,600982,470+78,87024261.35%+2
Schwab Fundamental Emerg Mkts Lg Co ETF01,241,800+1,241,8000482.45%+48
Avnet, Inc.0147,024+147,024090.47%+9
Jabil Circuit Inc.(JBL)59,31457,583-1,73114150.79%+2
Marathon Petroleum Corporation(MPC)021,513+21,513050.27%+5
Cirrus Logic Inc(CRUS)21,42829,372+7,944340.22%+2
Chevron Corp(CVX)035,517+35,517070.38%+7
Target Corporation(TGT)036,675+36,675040.23%+4
Johnson & Johnson(JNJ)47,26246,297-96510110.58%+2
Valero Energy Corp New(VLO)019,318+19,318050.25%+5
National Fuel Gas Co(NFG)079,631+79,631070.39%+7
Corning Inc(GLW)067,079+67,079090.47%+9
Janus Henderson Group31,88856,506+24,618230.15%+1
Caterpillar Inc(CAT)15,52714,481-1,0469100.53%+1
EOG Resources, Inc(EOG)039,495+39,495060.29%+6
Equinor ASA(EQNR)074,211+74,211030.16%+3
PIMCO Mortgage Backed Securities
MTG BKD SECS ACT
026,825+26,825010.07%+1
Applied Materials Inc17,47716,986-491460.30%+1
Allison Transmission Holdings, INc.(ALSN)66,65066,700+50780.40%+1
SPDR S&P 500 ETF(SPY)25,36228,550+3,18817190.96%+1
J M Smuckers Co(SJM)15,67528,772+13,097230.14%+1
Northrop Grumman Corp(NOC)012,474+12,474090.44%+9
Avantis US Small Cap Value ETF89,12393,422+4,2999100.53%+1
Schwab Fundamental US Large Company ETF281,888318,893+37,005890.46%+1
iShares Emerging Markets Local Currency Bond ETF222,468255,579+33,1119100.54%+1
Vanguard Reit Index ETF287,636299,616+11,98025271.37%+1
Schwab U.S. REIT ETF0990,058+990,0580211.10%+21
Pacer Benchmark Data & Infrastructure Real Estate ETF
DATA AND INFRAST
0376,935+376,9350120.61%+12
Boyd Gaming Corp(BYD)82,61198,730+16,119780.42%+1
Sensata Technologies Holding NV
SHS
16,46645,518+29,052120.08%+1
Ovintiv Inc.(OVV)31,61638,330+6,714120.12%+1
FedEx Corp.(FDX)04,224+4,224020.08%+2
PIMCO Intermediate Muni Bond Strgy ETF
INTER MUN BD ACT
123,094141,690+18,596670.38%+1
Avantis Emerging Markets Equity ETF533,244521,207-12,03741422.17%+1
LAM Research Corporation(LRCX)29,27327,734-1,539560.31%+1
SYNNEX Corp.(SNX)038,667+38,667070.34%+7
Merck & Co Inc(MRK)33,22136,499+3,278340.23%+1
First Trust Managed Municipal ETF
MANAGD MUN ETF
108,922127,437+18,515660.33%+1
Janus Henderson AAA CLO ETF
HENDRSON AAA CL
554,696574,201+19,50528291.49%+1
Amgen Incorporated(AMGN)33,54833,608+6011120.61%+1
LyondellBasell Industrials NV
SHS - A -
024,185+24,185020.10%+2
iShares Russell 1000 Value ETF44,67647,742+3,0669100.53%+1
Bristol-Myers Squibb Co(BMY)047,739+47,739030.15%+3
Suncor Energy Inc(SU)036,583+36,583020.12%+2
Textron, Inc.(TXT)5,38113,488+8,107010.06%+1
K L A Tencor Corp(KLAC)2,8892,852-37440.22%+1
Amcor Plc
COM NEW
016,989+16,989010.03%+1
Murphy Oil Corp Hldg(MUR)9,05022,822+13,772010.05%+1
Franklin Resources Inc(BEN)9,18836,975+27,787010.05%+1
Pfizer Incorporated(PFE)154,753160,338+5,585450.23%+1
Ingredion Incorporated(INGR)035,469+35,469040.21%+4
GlaxoSmithKline plc(GSK)35,83743,109+7,272220.12%+1
General Dynamics Corp(GD)017,743+17,743060.31%+6
Bank OZK(OZK)012,648+12,648010.03%+1
Match Group, Inc.(MTCH)48,53969,856+21,317220.11%+1
VeriSign, Inc.018,225+18,225050.23%+5
Lockheed Martin Corp(LMT)01,481+1,481010.05%+1
Lear Corp(LEA)3,9548,065+4,111010.05%+1
A T & T Inc.(T)0148,024+148,024040.22%+4
Travel & Leisure Co.(TNL)175,279185,895+10,61612130.66%+1
Leidos Holdings Inc(LDOS)036,122+36,122060.29%+6
Arrow Electronics, Inc.016,190+16,190020.12%+2
Texas Instruments Inc(TXN)024,229+24,229050.24%+5
Vontier Corp(VNT)0173,642+173,642060.32%+6
iShares JPMorgan USD Emerg Markets Bond ETF98,188105,482+7,2949100.51%0
Aptiv PLC(APTV)06,427+6,427000.02%0
Flextronics Intl Ltd(FLEX)06,733+6,733000.02%0
PGIM AAA CLO ETF
AAA CLO ETF
39,84048,315+8,475220.13%0
Vanguard Emerging Markets Stock ETF44,70652,418+7,712230.15%0
Crown Holdings, Inc.(CCK)15,04419,478+4,434220.10%0
SPDR Portfolio High Yield Bond ETF
ST PORT HIGH ETF
83,603102,121+18,518220.12%0
UGI Corporation New(UGI)165,187180,398+15,211670.34%0
Clear Secure, Inc.(YOU)026,748+26,748010.07%+1
Archer-Daniels-Midland Co.025,503+25,503020.10%+2
Novartis A G Spon Adr(NVS)22,05522,113+58330.17%0
Molson Coors Brewing Clb(TAP)68,39881,912+13,514340.18%0
US Bancorp(USB)044,613+44,613020.12%+2
Canadian Natural Resources Limited(CNQ)024,630+24,630010.06%+1
Belden Inc040,594+40,594050.24%+5
Vanguard Information Technology ETF
INF TECH ETF
0456+456000.02%0
Snap On Inc(SNA)019,319+19,319070.36%+7
SPDR Portfolio S&P
ST STR P500ETF
04,142+4,142000.02%0
PPG Industries Inc(PPG)02,827+2,827000.02%0
G-III Apparel Group, Ltd.(GIII)010,864+10,864000.02%0
Schwab Intermediate-Term U.S. Trsy ETF01,141,716+1,141,7160281.47%+28
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