Fund HoldingsIronwood Investment Counsel, LLC

Total Portfolio Value
$762.19M
Total Bought
$68.31M
Total Sold
$59.97M
Net Transaction
+$8.35M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
KLA Corporation(KLAC)044,974+44,974013,5691.78%+13,569
iShares Core Dividend Growth ETF
CORE DIV GRWTH
047,522+47,52204,2630.56%+4,263
Apple(AAPL)0120,730+120,730034,9354.58%+34,935
Schwab Fundemental US Small Company ETF0907,290+907,290034,5314.53%+34,531
Teradyne, Inc.(TER)25,31222,848-2,4647,50411,0551.45%+3,551
Alphabet Inc Class A(GOOG)061,393+61,393021,9402.88%+21,940
JPMorgan Ultra-Short Municipal Inc ETF
ULTRA SHT MUNCPL
0104,355+104,35505,3220.70%+5,322
Qualcomm(QCOM)053,528+53,52809,8921.30%+9,892
ServiceNow, Inc(NOW)22,95054,629+31,6792,3995,4240.71%+3,024
Schwab Fundamental US Large Company ETF521,499563,849+42,35014,52417,5362.30%+3,012
Corning Inc(GLW)23,35421,867-1,4873,1765,5860.73%+2,410
Amazon.com Inc.(AMZN)072,532+72,532017,2882.27%+17,288
Salesforce.com Inc(CRM)22,72740,315+17,5884,2436,3160.83%+2,073
Sysco(SYY)0124,169+124,169010,3781.36%+10,378
iShares Russell 1000 Value Index35,61238,693+3,0817,6099,3801.23%+1,771
Broadcom Ltd(AVGO)023,390+23,39008,8361.16%+8,836
Advanced Micro Devices(AMD)03,987+3,98702,3160.30%+2,316
Cisco Systems Inc(CSCO)039,232+39,23204,6080.60%+4,608
NVIDIA Corp(NVDA)039,561+39,56107,9161.04%+7,916
US Bancorp(USB)154,767157,862+3,0958,0499,5351.25%+1,485
Intel Corporation(INTC)14,65514,65506472,0460.27%+1,400
Elevance Health Inc(ELV)11,79112,386+5953,4524,7900.63%+1,338
Anheuser-Busch Inbev SA ADR(BUD)92,61893,717+1,0996,4257,7221.01%+1,297
American Express(AXP)037,095+37,095012,5471.65%+12,547
Lilly Eli & Co(LLY)03,573+3,57304,2860.56%+4,286
Alphabet Inc Class C(GOOG)016,537+16,53705,8430.77%+5,843
United Parcel Service B(UPS)66,10771,478+5,3716,5047,6841.01%+1,180
iShares S&P 500 Index013,185+13,18509,8741.30%+9,874
Lam Research Corporation(LRCX)6,0885,567-5211,3012,4120.32%+1,112
Micron Tech Inc(MU)1,1891,288+994021,4870.20%+1,086
JP Morgan Chase & Co(JPM)029,069+29,06909,5151.25%+9,515
Caterpillar Inc(CAT)2,9652,96502,1013,1580.41%+1,057
Morgan Stanley(MS)018,033+18,03303,7700.49%+3,770
Cummins Inc(CMI)010,802+10,80207,7051.01%+7,705
NetApp, Inc.(NTAP)013,372+13,37202,0690.27%+2,069
Johnson & Johnson(JNJ)63,07463,795+72115,41816,2022.13%+784
Crown Castle International(CCI)41,75255,104+13,3523,3954,1730.55%+778
Tesla Motors Inc.(TSLA)012,451+12,45105,2370.69%+5,237
Amgen(AMGN)19,43620,809+1,3736,8397,5360.99%+697
Berkshire Hathaway Inc Class B025,472+25,472012,7461.67%+12,746
Franklin Resources Inc(BEN)43,92151,976+8,0551,0371,7290.23%+692
Honeywell Aerospace Inc02,989+2,98906610.09%+661
IBM(IBM)021,510+21,51006,0490.79%+6,049
Colgate-Palmolive Co(CL)06,750+6,75006190.08%+619
T. Rowe Price Group Inc(TROW)015,138+15,13801,7210.23%+1,721
Vanguard Small Cap ETF13,41113,467+563,5134,0820.54%+569
Laboratory Corp of America Holdings24,39124,995+6046,5086,9990.92%+491
Home Depot(HD)015,530+15,53005,4770.72%+5,477
Powershares QQQ03,346+3,34602,4650.32%+2,465
Eversource Energy(ES)21,52927,034+5,5051,4921,9540.26%+462
Applied Materials Inc0627+62704530.06%+453
Taiwan Semiconductr Adrf(TSM)3,7283,559-1691,2601,7000.22%+440
Merck & Co Inc(MRK)47,20847,608+4005,6796,1180.80%+439
Mastercard(MA)019,417+19,41709,9731.31%+9,973
Texas Instruments Inc(TXN)4,2764,229-478301,2610.17%+431
Air Prod & Chemicals Inc6,6607,909+1,2491,9352,3190.30%+384
Paychex Inc(PAYX)018,208+18,20801,7900.23%+1,790
Cardinal Health(CAH)020,768+20,76804,9340.65%+4,934
Seagate Technology PLC
ORD SHS
615614-12415930.08%+352
Vanguard Total Stock Market ETF06,818+6,81802,5230.33%+2,523
Dollar General Corp(DG)046,735+46,73505,3800.71%+5,380
Formfactor Inc(FORM)02,000+2,00003200.04%+320
Ichor Holdings Ltd
SHS
02,689+2,68903020.04%+302
Unitedhealth Group Inc(UNH)02,363+2,36309820.13%+982
Heico Corporation(HEI)03,496+3,49601,2450.16%+1,245
Palo Alto Networks Inc(PANW)0837+83702850.04%+285
General Mills Inc(GIS)030,636+30,63601,0660.14%+1,066
SPDR S&P 500 ETF(SPY)5,7395,375-3643,7324,0140.53%+282
Eaton Corp PLC(ETN)4,1414,135-61,4811,7620.23%+281
United Rentals Inc(URI)0245+24502780.04%+278
AbbVie Inc(ABBV)09,119+9,11902,2950.30%+2,295
iShares PHLX Semiconductor ETF0427+42702740.04%+274
Vanguard Div Apprciation07,591+7,59101,7960.24%+1,796
iShares Russell 2000 Growth Index03,368+3,36801,3270.17%+1,327
Vanguard MSCI EAFE ETF39,67539,261-4142,5422,7970.37%+255
Allegheny Technologies Inc(ATI)01,283+1,28302530.03%+253
Materion Corp(MTRN)0843+84302510.03%+251
Amphenol Corp New05,013+5,01308840.12%+884
Visa(V)07,672+7,67202,6330.35%+2,633
iShares Russell 1000 Growth Index06,843+6,84308500.11%+850
iShares MSCI EAFE Growth Index015,338+15,33801,9080.25%+1,908
Vanguard S&P 500 ETF05,406+5,40603,7130.49%+3,713
Mondelez International Inc(MDLZ)30,39734,301+3,9041,7521,9840.26%+232
iShares S&P 500 Grwth09,389+9,38901,2910.17%+1,291
iShares Russell Midcap Value016,336+16,33602,6890.35%+2,689
General Electric(GE)3,0102,890-1208541,0800.14%+226
State Street Corp(STT)05,742+5,74209740.13%+974
Cohu Inc(COHU)02,833+2,83302090.03%+209
GE Vernova Inc(GEV)952884-688311,0390.14%+208
iShares S&P SmallCap 600 Grwth Idx01,149+1,14902050.03%+205
Synopsys Inc(SNPS)0456+45602030.03%+203
Schwab U.S. Dividend Equity ETF061,335+61,33501,9450.26%+1,945
Schwab U.S. Large-Cap ETF026,632+26,63207840.10%+784
ASML Holding NV ADR
N Y REGISTRY SHS
29529503905870.08%+197
iShares MSCI EAFE Value Index40,70841,517+8093,1763,3650.44%+190
Monster Beverage Corp(MNST)09,173+9,17308820.12%+882
Technology Select SPDR
ST STR TECHN ETF
3,8403,612-2285106880.09%+178
Vanguard Information Technology ETF
INF TECH ETF
04,710+4,71005630.07%+563
Heico Corporation Class A03,466+3,46608940.12%+894
iShares MSCI EAFE Index13,24713,910+6631,2871,4450.19%+158
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