Fund HoldingsCornerstone Investment Partners, LLC

Total Portfolio Value
$2.99B
Total Bought
$566.99M
Total Sold
$279.28M
Net Transaction
+$287.70M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
KLA Corporation(KLAC)82,951607,345+524,394122,138183,2426.13%+61,104
Micron Technology Inc(MU)0134,961+134,9610155,7845.21%+155,784
Stryker Corporation(SYK)0181,906+181,906057,2711.91%+57,271
Blackstone Inc.(BX)0428,346+428,346050,4031.68%+50,403
United Rentals Inc.(URI)096,492+96,4920109,3153.65%+109,315
Taiwan Semiconductor(TSM)304,581309,088+4,507102,933147,6114.93%+44,678
Applied Materials Inc.336,604218,915-117,689115,048158,2765.29%+43,228
Thermo Fisher Scientific Inc.(TMO)0158,616+158,616079,5242.66%+79,524
Take-Two Interactive Software(TTWO)0389,831+389,831097,4503.26%+97,450
Visa Inc.(V)0362,532+362,5320124,3814.16%+124,381
Amazon.com, Inc.(AMZN)409,406481,377+71,97185,267114,7313.84%+29,464
JPMorgan Chase & Co(JPM)168,941231,074+62,13349,69675,6372.53%+25,942
W. R. Berkley Corporation01,336,146+1,336,146094,2383.15%+94,238
Broadcom Inc.(AVGO)0322,229+322,2290121,7224.07%+121,722
AutoZone, Inc.(AZO)15,20822,763+7,55551,36972,7492.43%+21,380
Alphabet Inc. Class A(GOOG)0436,781+436,7810156,0925.22%+156,092
American Express Co.(AXP)0211,997+211,997071,7082.40%+71,708
Meta Platforms, Inc.(META)0199,210+199,2100112,2133.75%+112,213
UnitedHealth Group, Inc.(UNH)0139,775+139,775058,0951.94%+58,095
Apollo Global Management, LLC(APO)0677,475+677,475080,1522.68%+80,152
The Travelers Companies, Inc.(TRV)0199,611+199,611065,8962.20%+65,896
Cummins Inc.(CMI)080,225+80,225057,2171.91%+57,217
Chubb Limited
COM
0231,026+231,026078,7202.63%+78,720
Vanguard Short-Term Bond0185,356+185,356014,4410.48%+14,441
ACM Research, Inc. Class A(ACMR)6,39114,049+7,6582511,7830.06%+1,531
Element Solutions Inc(ESI)023,032+23,03201,1000.04%+1,100
Sanmina Corporation(SANM)04,164+4,16401,0540.04%+1,054
Everus Construction Group(ECG)05,209+5,20908640.03%+864
StandardAero, Inc.(SARO)028,791+28,79108610.03%+861
Extreme Networks Inc.(EXTR)026,201+26,20108480.03%+848
Cencora, Inc.0304,829+304,829086,2612.88%+86,261
Solstice Advanced Materials, Inc.(SOLS)09,128+9,12808090.03%+809
Acadian Asset Management Inc.(AAMI)011,117+11,11707950.03%+795
Valmont Industries, Inc.(VMI)01,356+1,35607830.03%+783
Custom Truck One Source Inc(CTOS)0114,163+114,16301,3480.05%+1,348
Onto Innovation Inc.(ONTO)04,099+4,09901,5510.05%+1,551
STERIS plc(STE)03,071+3,07106470.02%+647
Adeia Inc.(ADEA)016,957+16,95705580.02%+558
Knowles Corporation(KN)013,378+13,37805550.02%+555
SharkNinja, Inc.(SN)03,613+3,61305500.02%+550
IES Holdings, Inc.(IESC)0730+73005360.02%+536
Backblaze, Inc. A(BLZE)032,677+32,67705180.02%+518
Bruker Corporation(BRKR)015,662+15,66209430.03%+943
MKS Inc.(MKSI)9,4136,002-3,4112,1632,6700.09%+506
CSW Industrials, Inc.(CSW)02,986+2,98608310.03%+831
Anterix Inc.(ATEX)04,866+4,86605010.02%+501
Sezzle Inc(SEZL)04,730+4,73008120.03%+812
SPDR Barclays 1-3 Month T-Bill
ST STR BLO 1 ETF
47,42552,499+5,0744,3464,8110.16%+465
Nexstar Media Group, Inc. Cl A(NXST)06,705+6,70501,1970.04%+1,197
TPG Inc Class A(TPG)016,842+16,84206830.02%+683
Chemours Co.(CC)020,128+20,12804130.01%+413
Akamai Technologies, Inc.(AKAM)03,491+3,49104130.01%+413
Life Time Group Holdings, Inc.(LTH)027,529+27,52901,1240.04%+1,124
PDF Solutions Inc(PDFS)05,243+5,24303710.01%+371
Core & Main, Inc. Class A(CNM)07,469+7,46903600.01%+360
Kinsale Capital Group, Inc.(KNSL)02,029+2,02906690.02%+669
NWPX Infrastructure Inc(NWPX)05,012+5,01207510.03%+751
Varonis Systems, Inc.(VRNS)08,161+8,16103420.01%+342
Dave Inc.(DAVE)0908+90803380.01%+338
Ichor Holdings, Ltd.
SHS
5,5485,294-2542595940.02%+336
PATTERN GROUP INC-CL A(PTRN)013,215+13,21503330.01%+333
Ultra Clean Holdings, Inc.(UCTT)4,4284,224-2042756020.02%+327
ARTERIS INC(AIP)06,683+6,68303250.01%+325
CareDx, Inc.(CDNA)011,266+11,26603210.01%+321
Texas Roadhouse Inc.(TXRH)03,594+3,59406940.02%+694
CARTER BANKSHARES INC09,301+9,30103160.01%+316
Pebblebrook Hotel Trust(PEB)016,119+16,11903130.01%+313
Mercury Systems Inc(MRCY)02,543+2,54303110.01%+311
EXZEO GROUP INC(XZO)017,961+17,96103030.01%+303
Healthcare Services Group(HCSG)012,133+12,13302980.01%+298
Pubmatic, Inc.022,630+22,63002970.01%+297
ACV Auctions Inc.(ACVA)041,138+41,13802960.01%+296
PBF Energy, Inc. Class A(PBF)06,359+6,35902890.01%+289
Xenia Hotels & Resorts, Inc.(XHR)014,160+14,16002880.01%+288
CEVA, Inc.(CEVA)06,088+6,08802870.01%+287
Latham Group Inc(SWIM)044,234+44,23402860.01%+286
NAVAN INC-CL A(NAVN)012,489+12,48902860.01%+286
Benchmark Electronics, Inc.(BHE)02,872+2,87202830.01%+283
Freshworks Inc. Class A Common(FRSH)027,485+27,48502780.01%+278
Ooma, Inc.014,324+14,32402750.01%+275
AngioDynamics Inc021,084+21,08402740.01%+274
Lexicon Pharmaceuticals, Inc.(LXRX)0113,739+113,73902730.01%+273
Knife River Corp(KNF)06,427+6,42705380.02%+538
PC Connection, Inc.(CNXN)03,729+3,72902720.01%+272
MasterCraft Boat Holdings, Inc010,439+10,43902700.01%+270
iRhythm Technologies, Inc.(IRTC)02,214+2,21402630.01%+263
Materion Corporation(MTRN)1,8751,791-842715330.02%+261
NetScout Systems, Inc.(NTCT)05,999+5,99902610.01%+261
Theravance Biopharma Inc(TBPH)015,348+15,34802610.01%+261
Sunstone Hotel Investors Inc.(SHO)022,686+22,68602600.01%+260
ONE STOP SYSTEMS INC014,218+14,21802580.01%+258
CTO Realty Growth, Inc.(CTO)011,957+11,95702570.01%+257
Kulicke & Soffa Industries(KLIC)4,1463,958-1882725290.02%+257
Lincoln Educational Services Corporation(LINC)05,132+5,13202560.01%+256
Cerus Corporation087,524+87,52402560.01%+256
Progyny, Inc.08,860+8,86002550.01%+255
Highpeak Energy Inc(HPK)036,396+36,39602540.01%+254
LXP Industrial Trust(LXP)04,689+4,68902530.01%+253
Phillips Edison & Company, Inc.(PECO)06,041+6,04102510.01%+251
Tennant Company(TNC)02,840+2,84002490.01%+249
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