Fund HoldingsSUMMITRY LLC

Total Portfolio Value
$3.04B
Total Bought
$339.89M
Total Sold
$268.57M
Net Transaction
+$71.32M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
VISA INC(V)364,521435,853+71,332110,173149,5374.92%+39,364
UBER TECHNOLOGIES INC(UBER)3,937519,597+515,66028337,4941.23%+37,211
MASTERCARD INCORPORATED(MA)0217,969+217,9690111,9493.68%+111,949
HOME DEPOT INC(HD)083,036+83,036029,2850.96%+29,285
ZEBRA TECHNOLOGIES CORPORATI(ZBRA)0237,187+237,187062,4422.05%+62,442
CARRIER GLOBAL CORPORATION(CARR)1,419,8121,366,130-53,68279,950100,2063.30%+20,256
ALPHABET INC(GOOG)412,502373,263-39,239118,619133,3934.39%+14,774
GXO LOGISTICS INCORPORATED(GXO)01,148,726+1,148,726058,2401.92%+58,240
APPLE INC(AAPL)179,522205,044+25,52245,56159,3311.95%+13,771
AMAZON COM INC(AMZN)618,471593,631-24,840128,809141,4864.65%+12,677
HONEYWELL AEROSPACE INC056,478+56,478012,4860.41%+12,486
AGILENT TECHNOLOGIES INC(A)0666,332+666,332088,5092.91%+88,509
OTIS WORLDWIDE CORP(OTIS)0138,630+138,63009,9260.33%+9,926
CORNING INC(GLW)196,710141,305-55,40526,74736,0941.19%+9,347
META PLATFORMS INC(META)0106,458+106,458059,9671.97%+59,967
CATERPILLAR INC(CAT)20,31019,781-52914,38921,0650.69%+6,676
STATE STR SPDR S&P 500 ETF T(SPY)06,085+6,08504,5440.15%+4,544
TEXAS INSTRS INC(TXN)122,87895,045-27,83323,85628,3300.93%+4,475
CISCO SYS INC(CSCO)0114,915+114,915013,4980.44%+13,498
CANADIAN NATL RY CO(CNI)215,518219,683+4,16522,14926,1950.86%+4,046
MICRON TECHNOLOGY INC(MU)03,640+3,64004,2020.14%+4,202
EMERSON ELEC CO(EMR)235,624240,422+4,79830,87134,4161.13%+3,545
BERKSHIRE HATHAWAY INC DEL55,63760,035+4,39826,66130,0410.99%+3,380
MICROSOFT CORP(MSFT)214,462221,816+7,35479,38882,7422.72%+3,354
JPMORGAN CHASE & CO(JPM)84,86584,829-3624,96427,7670.91%+2,803
ISHARES TR1,905,5032,022,397+116,89444,32246,8391.54%+2,517
VANGUARD WORLD FD025,302+25,30202,2240.07%+2,224
EATON CORP PLC(ETN)21,95222,880+9287,8529,7500.32%+1,898
WELLS FARGO & CO(WFC)0873,433+873,433072,1812.37%+72,181
MEDTRONIC PLC(MDT)243,997293,212+49,21521,14222,9380.75%+1,796
US BANCORP(USB)0150,880+150,88009,1130.30%+9,113
GUARDANT HEALTH INC(GH)08,863+8,86301,3300.04%+1,330
MOODYS CORP(MCO)079,967+79,967036,2191.19%+36,219
ISHARES TR
IBDS DEC28 ETF
1,453,3621,507,612+54,25036,81438,0671.25%+1,254
AMGEN INC(AMGN)73,73275,057+1,32525,94227,1800.89%+1,237
KIMBERLY-CLARK CORP(KMB)059,701+59,70106,5530.22%+6,553
NUVEEN CA DIVI ADV MUN(NAC)095,654+95,65401,1590.04%+1,159
3M CO(MMM)042,436+42,43606,8710.23%+6,871
ISHARES TR1,604,6221,659,714+55,09233,58534,5881.14%+1,004
ISHARES TR03,340+3,34001,0040.03%+1,004
ISHARES TR
IBONDS DEC 2044
01,883,848+1,883,848046,0381.51%+46,038
ISHARES TR01,435+1,43509190.03%+919
ISHARES TR011,869+11,86909150.03%+915
ADVANCED MICRO DEVICES INC(AMD)02,127+2,12701,2360.04%+1,236
PROCTER & GAMBLE CO(PG)59,45564,257+4,8028,5889,4230.31%+835
BLACKROCK INC(BLK)22,70523,546+84121,83622,6410.74%+805
J P MORGAN EXCHANGE TRADED F
BETABULDRS JAPAN
09,880+9,88007440.02%+744
BROOKFIELD ASSET MANAGMT LTD(BAM)0181,848+181,84808,1560.27%+8,156
INTEL CORP(INTC)6,9717,221+2503081,0080.03%+701
ELI LILLY & CO(LLY)1,4771,711+2341,3582,0520.07%+694
J P MORGAN EXCHANGE TRADED F
BETA DEVE EX ETF
011,518+11,51806900.02%+690
INVESCO QQQ TR5891,350+7613409940.03%+654
ISHARES TR23,45053,125+29,6755131,1580.04%+645
ALPHABET INC(GOOG)39,91434,213-5,70111,45012,0880.40%+639
JOHNSON & JOHNSON(JNJ)50,52051,089+56912,34912,9750.43%+626
ISHARES TR
IBONDS DEC 2034
01,290,108+1,290,108033,6071.11%+33,607
VANGUARD SCOTTSDALE FDS
INTER TERM TREAS
010,424+10,42406150.02%+615
ISHARES TR023,352+23,35205880.02%+588
ISHARES TR
IBONDS 27 ETF
043,476+43,47601,0530.03%+1,053
ISHARES TR1,529,6681,554,803+25,13535,05235,5891.17%+537
ALEXANDRIA REAL ESTATE EQ IN09,119+9,11904820.02%+482
LAM RESEARCH CORP(LRCX)01,863+1,86308070.03%+807
SELECT SECTOR SPDR TR
ST STR TECHN ETF
02,502+2,50204770.02%+477
ISHARES INC
MSCI JAPAN ETF
05,079+5,07904740.02%+474
AUTOMATIC DATA PROCESSING IN03,232+3,23207240.02%+724
ONTO INNOVATION INC(ONTO)02,909+2,90901,1010.04%+1,101
J P MORGAN EXCHANGE TRADED F
BETA EURO ET NE
05,698+5,69804430.01%+443
J P MORGAN EXCHANGE TRADED F
BETA CDA ETF NEW
04,302+4,30204280.01%+428
APPLIED MATLS INC842984+1422887120.02%+424
ASML HLDG NV
N Y REGISTRY SHS
0713+71301,4190.05%+1,419
ISHARES INC010,054+10,05404160.01%+416
AXON ENTERPRISE INC(AXON)0722+72204050.01%+405
ALTRIA GROUP INC(MO)05,571+5,57104010.01%+401
CENTENE CORP DEL(CNC)018,412+18,41201,1820.04%+1,182
UNITEDHEALTH GROUP INC(UNH)01,821+1,82107570.02%+757
PIMCO DYNAMIC INCOME FD(PDI)035,000+35,00005850.02%+585
SANDISK CORP(SNDK)0165+16503750.01%+375
AMPHENOL CORP02,089+2,08903680.01%+368
AIR PRODUCTS AND CHEMICALS I87,99588,441+44625,56225,9290.85%+367
VANGUARD WORLD FD02,230+2,23003640.01%+364
BANK OF NY MELLON CORP02,485+2,48503590.01%+359
LOAR HOLDINGS INC(LOAR)04,426+4,42603570.01%+357
ISHARES TR01,042,372+1,042,372026,8360.88%+26,836
BLOCK INC(XYZ)04,236+4,23603220.01%+322
THE CAMPBELLS COMPANY(CPB)014,373+14,37303200.01%+320
VANGUARD INDEX FDS01,600+1,60003160.01%+316
KROGER CO(KR)05,663+5,66303140.01%+314
DIGI INTL INC(DGII)09,435+9,43507070.02%+707
ILLINOIS TOOL WKS INC(ITW)01,153+1,15303120.01%+312
GENERAL MILLS INC(GIS)08,938+8,93803110.01%+311
ISHARES TR
IBONDS DEC 2035
01,018,921+1,018,921025,5600.84%+25,560
ISHARES TR
MSCI UK ETF NEW
06,538+6,53803020.01%+302
PAYCHEX INC(PAYX)2,9465,799+2,8532715700.02%+299
ATMOS ENERGY CORP(ATO)01,721+1,72102960.01%+296
COMFORT SYS USA INC(FIX)0149+14902950.01%+295
SELECT SECTOR SPDR TR
ST STR FINL ETF
05,500+5,50002950.01%+295
DELL TECHNOLOGIES INC(DELL)0678+67802930.01%+293
CROWDSTRIKE HLDGS INC(CRWD)0383+38302920.01%+292
KLA CORP(KLAC)01,664+1,66405020.02%+502
ISHARES INC04,976+4,97602870.01%+287
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