Fund HoldingsNorth Star Investment Management Corp.

Total Portfolio Value
$1.84B
Total Bought
$126.30M
Total Sold
$128.61M
Net Transaction
-$2.32M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
ISHARES S&P 500 GROWTH ETF0505,966+505,966069,5863.78%+69,586
APPLE INC(AAPL)0239,122+239,122069,1923.76%+69,192
JPMORGAN CHASE & CO COM(JPM)0262,927+262,927086,0644.68%+86,064
EXXONMOBIL HOLDINGS CORP COM SHS057,716+57,71607,8910.43%+7,891
VANGUARD TOTAL STK MKT0142,204+142,204052,6212.86%+52,621
STATE STREET SPDR S&P 500 ETF(SPY)064,572+64,572048,2202.62%+48,220
INTEL CORP COM(INTC)056,962+56,96207,9540.43%+7,954
CATERPILLAR INC COM(CAT)11,79212,195+4038,35412,9870.71%+4,633
ADVANCED MICRO DEVICES INC COM(AMD)016,729+16,72909,7180.53%+9,718
GOOGLE INC(GOOG)064,315+64,315022,9841.25%+22,984
ISHARES S&P 500 VALUE ETF193,952197,887+3,93540,95344,9322.44%+3,979
VANGUARD S&P 500 ETF044,013+44,013030,2281.64%+30,228
SPHERE ENTERTAINMENT CO CL A(SPHR)073,032+73,032012,6370.69%+12,637
POWERSHARES QQQ TR019,390+19,390014,2780.78%+14,278
CISCO SYS INC(CSCO)089,044+89,044010,4590.57%+10,459
ALPHABET INC CAP STK CL C(GOOG)036,288+36,288012,8220.70%+12,822
BLUE BIRD CORP COM110,610110,61006,2828,7340.47%+2,452
POSTAL REALTY TRUST INC CL A(PSTL)513,342483,411-29,9319,52811,9110.65%+2,384
QUALCOMM INC COM(QCOM)039,964+39,96407,3850.40%+7,385
ALLIENT INC COM057,771+57,77105,9460.32%+5,946
LINDBLAD EXPEDITIONS HLDGS INC COM(LIND)204,800204,80003,5435,7840.31%+2,241
ABBVIE INC COM(ABBV)073,803+73,803018,5721.01%+18,572
AMAZON.COM INC(AMZN)064,801+64,801015,4450.84%+15,445
REDWIRE CORPORATION COM(RDW)0165,910+165,91002,0290.11%+2,029
MOVADO GROUP INC COM(MOV)131,025131,02503,2005,1510.28%+1,951
FIFTH THIRD BANCORP(FITB)189,895189,868-278,82310,7030.58%+1,880
DELL TECHNOLOGIES INC CL C(DELL)06,971+6,97103,0080.16%+3,008
VANGUARD EXTENDED MARKET ETF047,599+47,599011,7190.64%+11,719
ISHARES S&P 500 INDEX020,607+20,607015,4330.84%+15,433
TEXAS INSTRS INC COM(TXN)017,141+17,14105,1090.28%+5,109
BEL FUSE INC CL B12,55012,55002,4854,1800.23%+1,695
SIMULATIONS PLUS INC0219,188+219,18804,0130.22%+4,013
UNION PAC CORP COM(UNP)56,02956,056+2713,59415,2470.83%+1,653
ISHARES AGGREGATE BOND ETF49,93366,547+16,6144,9576,5870.36%+1,630
ORION ENERGY SYSTEMS INC0526,952+526,95206,1600.33%+6,160
SUPERIOR GROUP OF CO INC COM537,475533,475-4,0005,4616,9990.38%+1,538
WINNEBAGO INDS INC 3.25 01/15/2030(WGO)01,647,000+1,647,00001,5280.08%+1,528
MADISON SQUARE GARDEN ENTMT COM CL A(MSGE)075,486+75,48606,1060.33%+6,106
CECO ENVIRONMENTAL CORP COM(CECO)048,150+48,15004,3690.24%+4,369
ISHARES TR RUSSELL 1000 INDEX ETF028,310+28,310011,5930.63%+11,593
HOME DEPOT(HD)014,425+14,42505,0870.28%+5,087
NWPX INFRASTRUCTURE INC COM(NWPX)20,00020,00001,5572,9990.16%+1,442
WESTWOOD SALIENT ENHANCED MIDSTREAM INCOME ETF
WEST SA MIDS ETF
169,686217,786+48,1004,8536,2790.34%+1,426
OIL DRI CORP AMER COM(ODC)46,40043,400-3,0003,0204,4360.24%+1,416
NEWTEKONE INC COM NEW094,000+94,00001,3920.08%+1,392
GLOBAL NET LEASE INC COM NEW(GNL)0150,481+150,48101,3450.07%+1,345
MICRON TECHNOLOGY(MU)01,703+1,70301,9660.11%+1,966
NVIDIA CORP(NVDA)032,628+32,62806,5290.35%+6,529
MODIV INDUSTRIAL INC COM STK CL C60,000122,000+62,0008592,1230.12%+1,264
VANGUARD FTSE DEVELOPED MARKETS ETF145,515148,317+2,8029,32510,5680.57%+1,243
HONEYWELL INTL INC05,547+5,54701,2420.07%+1,242
TECHNOLOGY SELECT SECTOR SPDR
ST STR TECHN ETF
021,335+21,33504,0650.22%+4,065
MITEK SYS INC COM NEW(MITK)124,095144,095+20,0001,6752,9010.16%+1,225
HONEYWELL AEROSPACE INC COM05,532+5,53201,2230.07%+1,223
BANK OF AMER CORP COM0190,935+190,935010,8790.59%+10,879
ELI LILLY & CO COM(LLY)07,401+7,40108,8770.48%+8,877
LIQUIDITY SERVICES INC(LQDT)0137,975+137,97505,3980.29%+5,398
SALESFORCE COM(CRM)013,651+13,65102,1390.12%+2,139
WESTWOOD HLDGS GROUP INC COM0387,800+387,80007,4300.40%+7,430
INTERFACE INC COM(TILE)0103,075+103,07503,6940.20%+3,694
GCM GROSVENOR INC COM CL A0324,630+324,63003,9930.22%+3,993
PALO ALTO NETWORKS INC COM(PANW)05,633+5,63301,9210.10%+1,921
GREEN BRICK PARTNERS INC COM(GRBK)068,275+68,27505,4650.30%+5,465
CORNING INC COM(GLW)010,403+10,40302,6570.14%+2,657
VANGUARD DIVIDEND APPRECIATION ETF044,121+44,121010,4400.57%+10,440
ISHARES TRUST ISHARES 0-1 YEAR TREASURY BOND ETF47,38956,745+9,3565,2316,2620.34%+1,031
HEALTHCARE SERVICES GROUP INC(HCSG)0170,950+170,95004,1990.23%+4,199
ENERGIZER HLDGS INC COM(ENR)0145,550+145,55003,1210.17%+3,121
VIRGINIA NATL BK CHRLOTSVLE VA COM22,00041,000+19,0008401,8200.10%+979
JOHNSON OUTDOORS CL A CLASS A52,70074,500+21,8002,4513,4300.19%+979
HACKETT GROUP INC COM0175,475+175,47501,8900.10%+1,890
GOLDMAN SACHS GROUP INC(GS)04,764+4,76404,8180.26%+4,818
OCEANFIRST FINL CORP COM(OCFC)053,244+53,24401,0400.06%+1,040
STRATEGIC ED INC COM(STRA)012,000+12,00009190.05%+919
SCHWAB US DIVIDEND EQUITY ETF281,978300,951+18,9738,6519,5430.52%+892
STATE STREET SPDR S&P MIDCAP 400 ETF TRUST(MDY)08,898+8,89806,2580.34%+6,258
OLD REP INTL CORP COM(ORI)0800,125+800,125032,7411.78%+32,741
VANGUARD TOTAL INTL STOCK IDEX ETF76,62479,012+2,3885,9086,7550.37%+846
STATE STREET SPDR S&P HOMEBUILDERS ETF
ST STR SP HOME
041,775+41,77504,8280.26%+4,828
CUMMINS INC COM(CMI)04,608+4,60803,2860.18%+3,286
INNOVATIVE INDL PPTYS INC COM(IIPR)15,04525,045+10,0007551,5520.08%+798
DUCOMMUN INC DEL COM(DCO)017,975+17,97503,3290.18%+3,329
BARRETT BUSINESS SERVICES INC0123,350+123,35004,3810.24%+4,381
HAMILTON BEACH BRANDS HLDG CO COM CL A190,600190,60003,6124,3900.24%+778
BAR HBR BANKSHARES COM0145,580+145,58005,4970.30%+5,497
ISHARES IBONDS OCT 2028 TERM TIPS ETF
IBONDS OCT 2028
196,038224,023+27,9855,1445,8920.32%+748
MARVELL TECHNOLOGY INC COM(MRVL)03,347+3,34709970.05%+997
STATE STREET SPDR S&P REGIONAL BANKING ETF
ST STR SP REGBNK
59,50861,284+1,7763,8774,5870.25%+710
BOOT BARN HLDGS INC COM039,400+39,40006,4720.35%+6,472
AEBI SCHMIDT HLDG AG COM(AEBI)076,000+76,00009540.05%+954
INTL BUSINESS MACHINES(IBM)015,063+15,06304,2360.23%+4,236
EZCORP INC CL A NON VTG(EZPW)70,00070,00001,7772,4200.13%+643
ESCALADE INC COM422,345420,345-2,0007,2527,8940.43%+642
ELECTROMED INC COM34,00034,00007961,4380.08%+642
NORTHERN TR CORP COM(NTRS)018,461+18,46103,2090.17%+3,209
II-VI INC(COHR)04,020+4,02001,5860.09%+1,586
WW GRAINGER INC COM(GWW)03,431+3,43104,6670.25%+4,667
CONCRETE PUMPING HLDGS INC COM124,000124,00008851,4940.08%+609
THE BEACHBODY COMPANY INC COM CL A NEW075,000+75,00007670.04%+767
STARBUCKS CORP(SBUX)044,708+44,70804,5690.25%+4,569
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