Fund HoldingsL & S Advisors Inc

Total Portfolio Value
$967.41M
Total Bought
$342.09M
Total Sold
$250.43M
Net Transaction
+$91.66M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
MORGAN STANLEY(MS)054,325+54,325011,3561.17%+11,356
AMERICAN EXPRESS(AXP)032,374+32,374010,9511.13%+10,951
CORNING INC(GLW)041,569+41,569010,6181.10%+10,618
RALPH LAUREN CORP(RL)026,353+26,353010,5781.09%+10,578
DEVON ENERGY CORP(DVN)0244,547+244,547010,1051.04%+10,105
UNITEDHEALTH GROUP(UNH)024,250+24,250010,0791.04%+10,079
DELTA AIR LINES INC(DAL)0106,485+106,48509,9731.03%+9,973
VALERO ENERGY CORP(VLO)037,707+37,70709,8201.02%+9,820
DELL TECHNOLOGIES INC(DELL)022,507+22,50709,7111.00%+9,711
SIMON PROPERTY GROUP(SPG)043,268+43,26809,6771.00%+9,677
TRAVELERS COMPANIES INC(TRV)029,083+29,08309,6010.99%+9,601
VICTORIA'S SECRET & CO(VSXY)0114,880+114,88009,5900.99%+9,590
VISA INC(V)028,419+28,41909,7501.01%+9,750
ROYAL CARIBBEAN CRUISES029,608+29,60809,4010.97%+9,401
UNITED AIRLINES(UAL)068,975+68,97509,3800.97%+9,380
BANK OF AMERICA CORP0172,839+172,83909,8481.02%+9,848
JPMORGAN CHASE & CO(JPM)036,341+36,341011,8961.23%+11,896
ISHARES BIOTECHNOLOGY046,044+46,04408,7570.91%+8,757
INTEL CORP(INTC)6,70357,743+51,0402968,0630.83%+7,767
ARM HOLDINGS PLC ADR017,588+17,58806,2360.64%+6,236
CITIGROUP INC(C)0102,988+102,988014,4141.49%+14,414
LAM RESEARCH CORP(LRCX)031,320+31,320013,5721.40%+13,572
CATERPILLAR INC(CAT)14,61715,032+41510,35616,0081.65%+5,652
LINDE PLC(LIN)010,642+10,64205,5230.57%+5,523
VANECK FALLEN ANGEL HIGH YIELD
FALLEN ANGEL HG
0185,662+185,66205,4290.56%+5,429
ABBVIE INC(ABBV)030,958+30,95807,7900.81%+7,790
ADVANCED MICRO DEVICES(AMD)08,888+8,88805,1630.53%+5,163
UNION PACIFIC CORP(UNP)018,767+18,76705,1050.53%+5,105
WILLIAMS SONOMA INC(WSM)021,576+21,57605,0290.52%+5,029
CVS HEALTH CORP(CVS)047,408+47,40804,9040.51%+4,904
JOHNSON CONTROLS033,524+33,52404,8980.51%+4,898
UNITED RENTALS INC(URI)04,296+4,29604,8670.50%+4,867
COLGATE-PALMOLIVE COMPANY(CL)052,974+52,97404,8570.50%+4,857
GOLDMAN SACHS(GS)015,101+15,101015,2721.58%+15,272
HERSHEY COMPANY(HSY)027,005+27,00504,7380.49%+4,738
CHUBB LTD026,969+26,96909,1890.95%+9,189
ABERCROMBIE & FITCH CO048,986+48,98604,4090.46%+4,409
DICKS SPORTING GOODS INC(DKS)019,118+19,11804,3360.45%+4,336
MCKESSON CORPORATION(MCK)05,720+5,72004,3220.45%+4,322
HONEYWELL019,219+19,21904,3030.44%+4,303
EQUINIX INC (REIT)(EQIX)04,075+4,07504,2480.44%+4,248
HONEYWELL AEROSPACE INC019,091+19,09104,2210.44%+4,221
TAIWAN SEMICONDUCTOR(TSM)031,300+31,300014,9481.55%+14,948
PALO ALTO NETWORKS INC(PANW)022,333+22,33307,6160.79%+7,616
MARVELL TECHNOLOGY INC(MRVL)012,454+12,45403,7100.38%+3,710
CROWDSTRIKE HLDGS(CRWD)06,752+6,75205,1530.53%+5,153
BANK NEW YORK MELLON CORP078,005+78,005011,2801.17%+11,280
RTX CORPORATION(RTX)32,89750,033+17,1366,3469,4930.98%+3,147
MODERNA INC(MRNA)041,976+41,97602,9400.30%+2,940
GUARDANT HEALTH INC019,057+19,05702,8590.30%+2,859
BLOOM ENERGY CORP023,725+23,72507,1820.74%+7,182
CUMMINS INC(CMI)16,34415,881-4638,79311,3261.17%+2,533
STATE STREET CORP(STT)062,158+62,158010,5421.09%+10,542
ROCKWELL AUTOMATION INC(ROK)020,767+20,767010,2811.06%+10,281
MICRON TECHNOLOGY INC(MU)05,988+5,98806,9120.71%+6,912
EATON CORP PLC(ETN)30,07530,393+31810,75712,9511.34%+2,194
MASTEC INC(MTZ)26,11025,067-1,0438,40110,4291.08%+2,029
DIGITAL REALTY TRUST INC(DLR)25,93437,108+11,1744,6746,6640.69%+1,990
ELI LILLY & COMPANY(LLY)012,439+12,439014,9191.54%+14,919
EXXON MOBIL CORP012,718+12,71801,7390.18%+1,739
KLA CORPORATION(KLAC)017,637+17,63705,3210.55%+5,321
DJ INDUSTRIAL ETF(DIA)027,396+27,396014,3121.48%+14,312
GE VERNOVA(GEV)10,0978,817-1,2808,81410,3591.07%+1,545
CHEVRON CORPORATION(CVX)1,74111,490+9,7493601,9050.20%+1,544
MERCK & CO INC(MRK)116,590120,404+3,81414,02515,4721.60%+1,447
JOHNSON & JOHNSON(JNJ)49,60352,966+3,36312,12513,4521.39%+1,327
SEAGATE TECHNOLOGY(STX)06,229+6,22906,0110.62%+6,011
SANDISK CORP(SNDK)01,500+1,50003,4110.35%+3,411
3M COMPANY048,401+48,40107,8370.81%+7,837
WESTERN DIGITAL CORP(WDC)09,502+9,50206,0690.63%+6,069
VANGUARD TOTAL STOCK ETF018,863+18,86306,9800.72%+6,980
FIRST TRUST TECH ALPHA ETF014,888+14,88803,2340.33%+3,234
DOVER CORP(DOV)40,33441,074+7408,4089,2120.95%+804
AVANTIS US EQUITY ETF045,677+45,67705,8500.60%+5,850
QUANTA SERVICES INC0959+95906910.07%+691
NUVEEN ESG LARGE CAP GROWTH ET027,558+27,55803,2260.33%+3,226
CISCO SYSTEMS INC(CSCO)023,081+23,08102,7110.28%+2,711
GLOBAL X ART INTEL & TECH035,520+35,52002,3300.24%+2,330
ISHARES SEMICONDUCTOR ETF1,7331,863+1305701,1940.12%+624
HEALTH CARE SELECT ETF05,865+5,86509300.10%+930
DIMENSIONAL US HIGH PROFIT ETF0114,587+114,58704,7820.49%+4,782
SPDR CONSUMER DISCRETION04,661+4,66105470.06%+547
JPMORGAN US QUALITY FACTOR ETF045,630+45,63003,2980.34%+3,298
ALPHABET INC C07,346+7,34602,5950.27%+2,595
REAL ESTATE SELECTOR SPDR010,882+10,88204790.05%+479
FINANCIAL SELECT SPDR011,473+11,47306150.06%+615
TECHNOLOGY SPDR ETF05,101+5,10109720.10%+972
FIRST RISING DIVIDEND ACHIEVER026,145+26,14502,1190.22%+2,119
NEBIUS GROUP N.V. CLASS A2,0941,969-1252175440.06%+327
INVESCO QQQ TRUST ETF02,003+2,00301,4750.15%+1,475
WISDOMTREE US MIDCAP ETF29,91630,276+3602,0112,2940.24%+283
TC ENERGY CORP60,98661,765+7793,8184,0940.42%+277
1ST TR DEVELOPED MKT EX-US ETF
DEV MRK EX US
34,17434,171-32,9713,2350.33%+265
VANGUARD S&P 50004,178+4,17802,8700.30%+2,870
DIMENSIONAL EMERGING CORE ETF38,32438,354+301,2981,5420.16%+245
BRIGHTSPRING HEALTH SERVICES(BTSG)037,941+37,94102,6460.27%+2,646
PROLOGIS INC(PLD)34,06934,887+8184,5034,7260.49%+223
ISHARES S&P SMALL-CAP ETF01,494+1,49402220.02%+222
ISHARES INC MSCI TAIWAN ETF
MSCI TAIWAN ETF
02,000+2,00002170.02%+217
VANECK MORNINGSTAR WIDE MOAT025,392+25,39202,6400.27%+2,640
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