Fund HoldingsVAN LANSCHOT KEMPEN INVESTMENT MANAGEMENT N.V.

Total Portfolio Value
$13.08B
Total Bought
$2.19B
Total Sold
$783.57M
Net Transaction
+$1.40B
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
NXP SEMICONDUCTORS N V COM
COM
2,759,1712,911,008+151,837543,170818,0816.26%+274,910
TAIWAN SEMICONDUCTOR MANUFAC SPONSORED ADS(TSM)952,6221,126,067+173,445321,939537,7764.11%+215,837
ALPHABET INC CAP STK CL A(GOOG)01,991,007+1,991,0070711,5265.44%+711,526
VISA INC COM CL A(V)0849,805+849,8050291,5602.23%+291,560
GALLAGHER ARTHUR J & CO COM(AJG)0415,941+415,941095,4880.73%+95,488
LITTELFUSE INC COM(LFUS)982,714933,511-49,203333,484425,0563.25%+91,572
AMAZON COM INC COM(AMZN)01,932,470+1,932,4700460,5853.52%+460,585
ICON PUB LTD CO SHS(ICLR)0961,665+961,6650167,0511.28%+167,051
BROWN & BROWN INC COM(BRO)5,871,2156,709,042+837,827382,862430,3853.29%+47,523
MICRON TECHNOLOGY INC COM(MU)51,35055,931+4,58117,34664,5610.49%+47,214
SPOTIFY TECHNOLOGY S A SHS(SPOT)679,011818,575+139,564329,259375,8322.87%+46,574
VERIZON COMMUNICATIONS INC COM(VZ)01,242,826+1,242,826052,6210.40%+52,621
CORPAY INC COM SHS(CPAY)912,107922,400+10,293265,414307,4082.35%+41,994
BOOKING HOLDINGS INC COM(BKNG)133,5383,382,804+3,249,266562,236602,9514.61%+40,715
BERKSHIRE HATHAWAY INC DEL CL B NEW0392,413+392,4130196,3601.50%+196,360
CECO ENVIRONMENTAL CORP COM(CECO)0327,348+327,348029,7040.23%+29,704
ADVANCED MICRO DEVICES INC COM(AMD)049,246+49,246028,6070.22%+28,607
PINNACLE FINL PARTNERS INC COM(PNFP)51,002323,292+272,2904,39332,6140.25%+28,220
APPLIED MATLS INC COM67,45667,347-10923,05348,6920.37%+25,639
APPLE INC COM(AAPL)0582,428+582,4280168,5311.29%+168,531
SOTERA HEALTH CO COM(SHC)01,403,962+1,403,962024,9200.19%+24,920
MARSH & MCLENNAN COS INC COM(MRSH)0190,610+190,610031,7690.24%+31,769
GILEAD SCIENCES INC COM(GILD)267,255489,860+222,60537,24761,8890.47%+24,642
YETI HLDGS INC COM(YETI)0718,130+718,130035,5910.27%+35,591
BROADCOM INC COM(AVGO)0263,977+263,977099,7170.76%+99,717
NVIDIA CORPORATION COM(NVDA)01,044,555+1,044,5550209,0051.60%+209,005
GOLDMAN SACHS GROUP INC COM(GS)021,521+21,521021,7660.17%+21,766
LAM RESEARCH CORP COM NEW(LRCX)0123,163+123,163053,3700.41%+53,370
ACI WORLDWIDE INC COM0394,318+394,318019,8300.15%+19,830
CROCS INC COM(CROX)0247,811+247,811029,8960.23%+29,896
MARKEL GROUP INC COM(MKL)0230,637+230,6370450,4363.44%+450,436
CATERPILLAR INC COM(CAT)51,43050,195-1,23536,43453,4530.41%+17,018
MEDTRONIC PLC SHS(MDT)0633,450+633,450049,5550.38%+49,555
ANALOG DEVICES INC COM(ADI)0322,902+322,9020128,2470.98%+128,247
EXPAND ENERGY CORPORATION COM(EXE)264,406487,647+223,24129,02644,4690.34%+15,442
ELI LILLY & CO COM(LLY)047,928+47,928057,4860.44%+57,486
MICROSOFT CORP COM(MSFT)01,775,420+1,775,4200662,2675.06%+662,267
PROCTER & GAMBLE CO COM(PG)400,329489,112+88,78357,82271,7230.55%+13,902
CHUBB LIMITED COM
COM
652,205660,867+8,662212,573225,1841.72%+12,611
LENNAR CORP CL A(LEN)2,662,1472,692,266+30,119231,181243,6231.86%+12,442
BANK OF AMER CORP COM1,354,5981,372,552+17,95466,03578,2080.60%+12,173
WINTRUST FINL CORP COM(WTFC)0329,608+329,608052,9750.41%+52,975
JOHNSON & JOHNSON COM(JNJ)046,955+46,955011,9250.09%+11,925
AMERICAN HOMES 4 RENT CL A(AMH)0909,984+909,984030,5030.23%+30,503
INVITATION HOMES INC COM(INVH)02,023,426+2,023,426061,1280.47%+61,128
QUIDELORTHO CORP COM(QDEL)0647,069+647,069011,3330.09%+11,333
CITIGROUP INC COM NEW(C)0348,041+348,041048,7120.37%+48,712
FIRST SOLAR INC COM(FSLR)084,081+84,081019,8400.15%+19,840
ROYAL BK CDA COM(RY)0152,441+152,441044,1290.34%+44,129
SEMPRA COM(SRE)0111,155+111,155010,3050.08%+10,305
AVERY DENNISON CORP COM063,086+63,086010,2420.08%+10,242
MEDPACE HLDGS INC COM(MEDP)017,593+17,59309,3170.07%+9,317
PINNACLE WEST CAP CORP COM(PNW)085,349+85,34909,1320.07%+9,132
GE VERNOVA INC COM(GEV)29,12629,275+14925,42234,3940.26%+8,973
PALO ALTO NETWORKS INC COM(PANW)051,970+51,970017,7230.14%+17,723
JPMORGAN CHASE & CO COM(JPM)0210,989+210,989069,0630.53%+69,063
AAR CORP COM131,738154,518+22,78014,42022,0850.17%+7,665
REXFORD INDL RLTY INC COM(REXR)0217,580+217,58007,2890.06%+7,289
CNH INDL N V SHS
SHS
3,624,4644,185,886+561,42239,86947,0080.36%+7,138
NEXSTAR MEDIA GROUP INC COMMON STOCK(NXST)0216,232+216,232038,6170.30%+38,617
CADENCE DESIGN SYSTEM INC COM(CDNS)067,776+67,776025,4380.19%+25,438
BLACKROCK INC COM(BLK)043,435+43,435041,7650.32%+41,765
MACERICH CO COM(MAC)0275,422+275,42206,9380.05%+6,938
GE AEROSPACE COM NEW(GE)063,997+63,997023,9180.18%+23,918
THERMO FISHER SCIENTIFIC INC COM(TMO)0444,819+444,8190223,0141.71%+223,014
AVALONBAY CMNTYS INC COM075,993+75,993014,3390.11%+14,339
NVR INC COM(NVR)018,017+18,0170122,7570.94%+122,757
EXTRA SPACE STORAGE INC COM(EXR)082,252+82,252011,9510.09%+11,951
DOMINION ENERGY INC COM(D)116,649186,925+70,2767,21112,7650.10%+5,554
REALTY INCOME CORP COM(O)0119,419+119,41907,3990.06%+7,399
PIEDMONT REALTY TRUST INC COM CL A(PDM)0579,001+579,00105,2980.04%+5,298
EATON CORP PLC SHS(ETN)038,030+38,030016,2050.12%+16,205
TENNANT CO COM(TNC)0226,724+226,724019,8470.15%+19,847
JABIL INC COM(JBL)196,416148,291-48,12552,17457,1630.44%+4,989
TRANSALTA CORP COM(TAC)290,819518,686+227,8675,31910,1770.08%+4,858
BRUNSWICK CORP COM(BC)0578,256+578,256048,7120.37%+48,712
MOTOROLA SOLUTIONS INC COM NEW(MSI)011,443+11,44304,7520.04%+4,752
BERKSHIRE HATHAWAY INC DEL CL A0131+131098,0990.75%+98,099
WESCO INTL INC COM(WCC)189,951163,955-25,99651,97456,6350.43%+4,661
UNITEDHEALTH GROUP INC COM(UNH)025,173+25,173010,4630.08%+10,463
AMPHENOL CORP CL A063,882+63,882011,2640.09%+11,264
PENNYMAC FINL SVCS INC NEW COM(PFSI)0106,161+106,16109,2470.07%+9,247
TESLA INC COM(TSLA)059,804+59,804025,1540.19%+25,154
PPL CORP COM(PPL)446,148574,313+128,16517,04320,8760.16%+3,833
S&P GLOBAL INC COM(SPGI)051,357+51,357020,9160.16%+20,916
DEERE & CO COM(DE)42,89643,264+36824,16127,4440.21%+3,282
THOMSON REUTERS CORP COM(TRI)039,407+39,40703,2190.02%+3,219
ARISTA NETWORKS INC COM SHS(ANET)0105,703+105,703017,9570.14%+17,957
GAMING & LEISURE P COM(GLPI)81,293150,719+69,4263,6076,7120.05%+3,105
CANADIAN PACIFIC KANSAS CITY COM(CP)148,284157,029+8,74516,23319,3080.15%+3,076
ABBVIE INC COM(ABBV)68,97671,684+2,70815,00018,0390.14%+3,039
COCA COLA CO COM(KO)399,671409,683+10,01230,39333,2950.25%+2,902
RYMAN HOSPITALITY PPTYS INC COM(RHP)022,148+22,14802,8470.02%+2,847
GENTEX CORP COM(GNTX)0781,682+781,682019,7530.15%+19,753
ALPHABET INC CAP STK CL C(GOOG)025,044+25,04408,8490.07%+8,849
ESSENTIAL PPTYS RLTY TR INC COM86,683176,071+89,3882,6325,2560.04%+2,624
CROWN CASTLE INC COM(CCI)033,200+33,20002,5140.02%+2,514
AMERICAN HEALTHCARE REIT INC COM SHS(AHR)0118,488+118,48806,1790.05%+6,179
SPACE EXPLORATION TECHN CORP CLASS A COM STK014,029+14,02902,3970.02%+2,397
PROLOGIS INC. COM(PLD)409,238414,545+5,30754,09356,1580.43%+2,066
Page 1 of 1