Fund HoldingsJ. W. Coons Advisors, LLC

Total Portfolio Value
$442.02M
Total Bought
$64.40M
Total Sold
$9.91M
Net Transaction
+$54.49M
Filing Period:
Securities
SharesValue ($K)
Q1 2025
Q2 2025
Change
Q1 2025
Q2 2025
Weight (%)
Change
MICROSOFT CORP(MSFT)048,061+48,061023,9065.41%+23,906
APPLIED MATLS INC6,34331,158+24,8159215,7041.29%+4,784
COSTCO WHSL CORP NEW(COST)4,8057,605+2,8004,5457,5291.70%+2,984
ORACLE CORP(ORCL)031,989+31,98906,9941.58%+6,994
ALPHABET INC(GOOG)044,598+44,59807,8601.78%+7,860
ZURN ELKAY WATER SOLNS CORP(ZWS)0688,164+688,164025,1665.69%+25,166
KLA CORP(KLAC)10,88210,88207,3989,7472.21%+2,350
INTERNATIONAL BUSINESS MACHS(IBM)20,30823,990+3,6825,0507,0721.60%+2,022
STRYKER CORPORATION(SYK)08,128+8,12803,2160.73%+3,216
VISA INC(V)6,92612,101+5,1752,4274,2960.97%+1,869
AMAZON COM INC(AMZN)029,705+29,70506,5171.47%+6,517
MASTERCARD INCORPORATED(MA)3,7516,631+2,8802,0563,7260.84%+1,670
AMPHENOL CORP NEW035,391+35,39103,4950.79%+3,495
MOTOROLA SOLUTIONS INC(MSI)04,481+4,48101,8840.43%+1,884
BLACKROCK INC(BLK)05,272+5,27205,5321.25%+5,532
NVIDIA CORPORATION(NVDA)026,945+26,94504,2570.96%+4,257
BOOKING HOLDINGS INC(BKNG)0464+46402,6860.61%+2,686
JPMORGAN CHASE & CO.(JPM)26,60226,832+2306,5257,7791.76%+1,254
HOME DEPOT INC(HD)010,610+10,61003,8900.88%+3,890
AMERIPRISE FINL INC(AMP)03,714+3,71401,9820.45%+1,982
TYLER TECHNOLOGIES INC(TYL)01,929+1,92901,1440.26%+1,144
SONY GROUP CORP(SONY)043,010+43,01001,1200.25%+1,120
ACCENTURE PLC IRELAND
SHS CLASS A
021,498+21,49806,4261.45%+6,426
SERVICENOW INC(NOW)01,064+1,06401,0940.25%+1,094
VEEVA SYS INC(VEEV)03,666+3,66601,0560.24%+1,056
SPDR S&P 500 ETF TR(SPY)017,764+17,764010,9752.48%+10,975
BROADCOM INC(AVGO)010,027+10,02702,7640.63%+2,764
FACTSET RESH SYS INC(FDS)03,465+3,46501,5500.35%+1,550
J P MORGAN EXCHANGE TRADED F
MORTGAGE BACKED
017,355+17,35508710.20%+871
PRESTIGE CONSMR HEALTHCARE I(PBH)010,100+10,10008060.18%+806
TJX COS INC NEW(TJX)038,111+38,11104,7061.06%+4,706
EATON CORP PLC(ETN)011,687+11,68704,1720.94%+4,172
SPDR SERIES TRUST
ST STR BLO 1 ETF
26,96834,573+7,6052,4743,1710.72%+698
META PLATFORMS INC(META)03,621+3,62102,6730.60%+2,673
INGREDION INC(INGR)1,9185,852+3,9342597940.18%+534
WALMART INC(WMT)051,583+51,58305,0441.14%+5,044
ENSIGN GROUP INC(ENSG)5,0667,321+2,2556561,1290.26%+474
WILLIAMS COS INC(WMB)11,70818,585+6,8777001,1670.26%+468
CISCO SYS INC(CSCO)59,15859,15803,6514,1040.93%+454
CORNING INC(GLW)063,578+63,57803,3440.76%+3,344
FASTENAL CO(FAST)63,955128,327+64,3724,9605,3901.22%+430
CAPITAL ONE FINL CORP(COF)01,905+1,90504050.09%+405
DISNEY WALT CO(DIS)014,691+14,69101,8220.41%+1,822
APPLE INC(AAPL)0128,706+128,706026,4075.97%+26,407
TEXAS INSTRS INC(TXN)025,220+25,22005,2361.18%+5,236
GILEAD SCIENCES INC(GILD)10,49313,630+3,1371,1761,5110.34%+335
EMERSON ELEC CO(EMR)013,000+13,00001,7330.39%+1,733
ANALOG DEVICES INC(ADI)014,510+14,51003,4540.78%+3,454
CONSTELLATION ENERGY CORP(CEG)0866+86602800.06%+280
MERCADOLIBRE INC(MELI)0100+10002610.06%+261
NIKE INC(NKE)035,045+35,04502,4900.56%+2,490
BERKSHIRE HATHAWAY INC DEL10,73012,286+1,5565,7155,9681.35%+254
ALPHABET INC(GOOG)011,780+11,78002,0900.47%+2,090
BLACKSTONE INC(BX)04,004+4,00405990.14%+599
PACKAGING CORP AMER(PKG)01,253+1,25302360.05%+236
AMERICAN TOWER CORP NEW(AMT)01,041+1,04102300.05%+230
CORTEVA INC(CTVA)19,70419,70401,2401,4690.33%+229
SEI INVTS CO(SEIC)02,430+2,43002180.05%+218
WELLS FARGO CO NEW(WFC)02,720+2,72002180.05%+218
KROGER CO(KR)41,12541,781+6562,7842,9970.68%+213
SPDR SERIES TRUST
ST STR SW SERV
06,730+6,73001,2780.29%+1,278
ABBOTT LABS5,9437,318+1,3757889950.23%+207
DEERE & CO(DE)0400+40002030.05%+203
AT&T INC(T)07,028+7,02802030.05%+203
MARRIOTT INTL INC NEW(MAR)05,372+5,37201,4680.33%+1,468
CARLISLE COS INC(CSL)05,700+5,70002,1280.48%+2,128
ENBRIDGE INC(ENB)75,34177,738+2,3973,3383,5230.80%+185
CASEYS GEN STORES INC(CASY)565815+2502454160.09%+171
AMERICAN EXPRESS CO(AXP)04,232+4,23201,3500.31%+1,350
NORTHERN TR CORP(NTRS)05,400+5,40006850.15%+685
L3HARRIS TECHNOLOGIES INC(LHX)3,1613,236+756628120.18%+150
AUTODESK INC02,625+2,62508130.18%+813
PIMCO ETF TR
MULTISECTOR BD
72,27076,975+4,7051,9042,0430.46%+139
ISHARES TR02,142+2,14209100.21%+910
VANGUARD INDEX FDS01,807+1,80704280.10%+428
JABIL INC(JBL)01,600+1,60003490.08%+349
EXTRA SPACE STORAGE INC(EXR)9,21210,163+9511,3681,4980.34%+131
2023 ETF SERIES TRUST II
US QUALITY ETF
030,654+30,65401,0500.24%+1,050
ASML HOLDING N V
N Y REGISTRY SHS
417487+702763900.09%+114
NETFLIX INC(NFLX)230245+152143280.07%+114
MSA SAFETY INC(MSA)05,400+5,40009050.20%+905
ISHARES SILVER TR(SLV)22,20024,200+2,0006887940.18%+106
DIGITAL RLTY TR INC(DLR)03,408+3,40805940.13%+594
WABTEC(WAB)03,817+3,81707990.18%+799
J P MORGAN EXCHANGE TRADED F
ULTRA SHRT ETF
146,740148,580+1,8407,4297,5301.70%+101
WISDOMTREE TR(WT)08,495+8,49507110.16%+711
INTUITIVE SURGICAL INC01,542+1,54208380.19%+838
U S GLOBAL INVS INC037,000+37,0000950.02%+95
MCKESSON CORP(MCK)1,5701,57001,0571,1500.26%+94
TRANE TECHNOLOGIES PLC(TT)0900+90003940.09%+394
NETAPP INC(NTAP)04,033+4,03304300.10%+430
VANGUARD INDEX FDS01,289+1,28905650.13%+565
ISHARES GOLD TR(IAU)23,69123,69101,3971,4770.33%+81
IMPERIAL OIL LTD(IMO)11,86511,760-1058589350.21%+77
MOODYS CORP(MCO)2,1282,12809911,0670.24%+76
VANGUARD SCOTTSDALE FDS
SHRT TRM CORP BD
32,28432,998+7142,5482,6230.59%+75
CACI INTL INC(CACI)0657+65703130.07%+313
INTERCONTINENTAL EXCHANGE IN(ICE)6,3956,39501,1031,1730.27%+70
IDEXX LABS INC(IDXX)0600+60003220.07%+322
INTUIT(INTU)0419+41903300.07%+330
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