Fund Holdings — BANK OF STOCKTON

Total Portfolio Value
$356.28M
Total Bought
$12.93M
Total Sold
$46.33M
Net Transaction
-$33.40M
Filing Period:
Securities
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SharesValue ($K)
Q1 2026
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Q2 2026
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Change
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Q1 2026
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Q2 2026
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Weight (%)
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Change
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MICRON TECHNOLOGY INC(MU)14,39013,664-7264,86215,7724.43%+10,911
KLA CORP(KLAC)3,56234,447+30,8855,24510,3932.92%+5,148
ISHARES: S&P 500 INDEX91,25984,585-6,67459,61163,34517.78%+3,734
ISHARES: S&P MIDCAP 400 INDEX542,553518,901-23,65236,63940,01211.23%+3,374
ISHARES: S&P SMALLCAP 600 INDEX128,215124,554-3,66115,93818,4735.18%+2,534
ALPHABET INC CL A(GOOG)29,60728,799-8088,51410,2922.89%+1,778
ADVANCED MICRO DEVICES INC(AMD)4,4564,472+169062,5980.73%+1,691
ISHARES: Core MSCI Emerging Mar
CORE MSCI EMKT
114,429115,265+8367,9819,5492.68%+1,567
APPLE COMPUTER INC(AAPL)43,30942,295-1,01410,99112,2383.44%+1,247
TAIWAN SEMICONDUCTOR ADR(TSM)3,4814,475+9941,1762,1370.60%+961
ASML HOLDING NV
N Y REGISTRY SHS
1,7191,609-1102,2713,2010.90%+931
PALO ALTO NETWORKS INC(PANW)5,0554,884-1718101,6660.47%+855
CUMMINS(CMI)5,5595,258-3012,9913,7501.05%+759
CATERPILLAR INC.(CAT)2,9452,658-2872,0862,8310.79%+744
ANALOG DEVICES(ADI)10,59910,279-3203,3724,0831.15%+711
FLEXTRONICS INTERNATIONAL LTD(FLEX)8,3687,673-6955481,2440.35%+696
AMAZON.COM INC(AMZN)21,28621,073-2134,4335,0231.41%+589
VANGUARD TOTAL STOCK MARKET ETF8,8509,112+2622,8393,3720.95%+533
JP MORGAN CHASE & CO.(JPM)21,72721,037-6906,3916,8861.93%+495
VISA INC(V)13,25612,961-2954,0064,4471.25%+440
QUALCOMM INC.(QCOM)12,01010,540-1,4701,5471,9480.55%+401
WILLIAMS-SONOMA INC(WSM)8,2158,089-1261,4981,8860.53%+388
PARKER HANNIFIN CORP(PH)5,0895,037-524,5564,9271.38%+371
HONEYWELL INTERNATIONAL01,666+1,66603700.10%+370
HONEYWELL AEROSPACE01,666+1,66603660.10%+366
ELI LILLY & CO.(LLY)525672+1474838060.23%+323
UNITED HEALTH GROUP(UNH)2,1452,121-245808820.25%+301
MORGAN STANLEY(MS)7,8737,631-2421,2961,5950.45%+300
ISHARES: MSCI EAFE SMALL CAP89,42988,871-5587,0127,3112.05%+299
FIRST INDUSTRIAL REALTY TRUS CO(FR)26,20529,251+3,0461,5161,7930.50%+277
GOLDMAN SACHS GROUP INC.(GS)2,1802,092-881,8442,1160.59%+272
AMERICAN EXPRESS CO(AXP)7,9417,767-1742,4022,6270.74%+225
ALPHABET INC CL C(GOOG)3,2793,27909411,1590.33%+218
PNC FINANCIAL SERVICES GROUP(PNC)5,3535,361+81,1141,3200.37%+206
STATE STREET INDUSTRIAL SELECT
ST STR INDL ETF
01,080+1,08002000.06%+200
INTERNATIONAL BUSINESS MACHINES(IBM)4,3494,433+841,0541,2470.35%+192
ILLUMINA INC.(ILMN)4,3874,043-3445417110.20%+170
FLOWSERVE CORP(FLS)26,10128,063+1,9621,9192,0810.58%+162
STATE STREET TECHNOLOGY SELECT
ST STR TECHN ETF
2,6002,60003464950.14%+150
PROGRESSIVE CORP(PGR)9,8319,604-2271,9492,0980.59%+149
APPLIED INDUSTRIAL(AIT)2,0002,00005316760.19%+146
ISHARES: S&P 500 GROWTH INDEX7,3777,107-2708349770.27%+143
DEERE & CO(DE)1,3771,434+577769100.26%+134
ISHARES: S&P MIDCAP GROWTH8,6288,503-1258689990.28%+131
3M COMPANY(MMM)5,3055,560+2557709000.25%+130
METLIFE INC(MET)6,1096,621+5124325600.16%+128
WELLS FARGO & CO.(WFC)41,18241,18203,2783,4030.96%+125
BANK OF AMERICA CORP.14,03314,03306848000.22%+115
TRAVELERS COMPANIES INC(TRV)2,8612,86108349440.27%+110
UNION PAC CORP(UNP)6,0865,814-2721,4771,5810.44%+105
U.S. BANCORP(USB)17,67216,741-9319191,0110.28%+92
STATE STREET SPDR BLOOMBERG CON
ST STR CONV ETF
4,7004,70004305070.14%+77
WATERS CORP.(WAT)1,7901,616-1745336060.17%+73
ALLSTATE CORP(ALL)2,4102,405-55005720.16%+73
VANGUARD INDEX FDS GROWTH ETF8204,920+4,1003584240.12%+66
STATE STREET SPDR S&P 500 ETF(SPY)55255203594120.12%+53
MERCK(MRK)7,7127,615-979289790.27%+51
ECOLAB INC(ECL)1,7511,848+974665150.14%+49
PPG IND INC(PPG)3,3933,39303634120.12%+49
ISHARES: RUSSELL 1000 GROWTH8803,320+2,4403754120.12%+37
AMERICAN ELECTRIC POWER CO.7,4507,358-929771,0070.28%+30
HOME DEPOT(HD)7,2446,838-4062,3822,4120.68%+29
ENTERGY CORP(ETR)10,81610,786-301,2151,2390.35%+24
COCA COLA CO(KO)3,8563,844-122933120.09%+19
KRAFT HEINZ CO(KHC)19,70419,515-1894434610.13%+18
CENTERPOINT ENERGY INC(CNP)6,8006,80002932990.08%+6
WALT DISNEY COMPANY(DIS)9,98710,056+699639680.27%+5
EDISON INTL(EIX)2,7662,76602022060.06%+4
WEC ENERGY GROUP INC(WEC)2,9822,98203453480.10%+3
AIR PRODUCTS AND CHEMICALS2,4922,447-457247170.20%-6
EVEREST RE GROUP LTD(EG)730647-832392310.06%-7
BECTON DICKINSON AND CO(BDX)1,6171,61702542450.07%-10
AMGEN, INC.(AMGN)1,4311,358-735034920.14%-12
CINTAS CORP(CTAS)2,5542,467-874324200.12%-12
CHARLES SCHWAB CO(SCHW)12,72212,810+881,1961,1820.33%-14
SOUTHERN CO(SO)2,3932,243-1502312150.06%-16
ISHARES: US PFD STOCK INDEX138,134136,819-1,3154,1884,1721.17%-17
ASTRAZENECA(AZN)3,9404,006+667777600.21%-17
VENTAS INC(VTR)2,9302,500-4302402220.06%-18
DANAHER CORP(DHR)6,5336,388-1451,2391,2170.34%-22
LOWES COMPANIES INC.(LOW)1,4511,45103433200.09%-23
ELECTRONIC ARTS INC.4,0873,947-1408338090.23%-24
GENERAL DYNAMICS(GD)2,1091,971-1387246980.20%-26
WASTE MANAGEMENT INC.(WM)1,4801,375-1053403060.09%-34
KINDER MORGAN INC(KMI)15,26314,863-4005124750.13%-37
PEPSICO INC(PEP)1,8441,84402862500.07%-37
JOHNSON & JOHNSON(JNJ)4,8004,450-3501,1731,1300.32%-43
SALESFORCE.COM(CRM)1,5991,597-22982500.07%-48
HASBRO INC COM(HAS)6,8397,131+2926405890.17%-51
iShares: Select US REIT ETF8,8887,368-1,5205504980.14%-52
NEXTERA ENERGY, INC.(NEE)8,7298,629-1008117570.21%-53
META PLATFORMS INC(META)4,6464,621-252,6582,6030.73%-55
INTERCONTINENTAL EXCHANGE(ICE)1,7201,72002712120.06%-59
STRYKER CORP(SYK)3,1623,107-551,0399780.27%-61
STATE STREET ENERGY SELECT SECT
ST STR ENERG ETF
7,7437,711-324744100.11%-65
ISHARES: MSCI EAFE INDEX FUND5,5104,510-1,0005354680.13%-67
EMERSON ELEC CO(EMR)3,7232,923-8004884180.12%-69
ORACLE CORP(ORCL)13,92413,431-4932,0481,9680.55%-80
ISHARES: S&P CA MUNI BOND FUND39,53737,492-2,0452,2482,1610.61%-87
INTUITIVE SURGICAL INC1,8731,949+768637750.22%-88
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BANK OF STOCKTON — 13F Holdings — Q2 2026 | TickerTrail