Fund HoldingsSippican Capital Advisors

Total Portfolio Value
$163.92M
Total Bought
$40.25M
Total Sold
$41.31M
Net Transaction
-$1.06M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
Ge Aerospace(GE)014,782+14,78205,5243.37%+5,524
ALPHABET INC010,475+10,47503,7012.26%+3,701
IRON MTN INC DEL020,602+20,60202,6021.59%+2,602
FLAGSTAR BANK NATIONAL ASSOC(FLG)0173,565+173,56502,5931.58%+2,593
INTERNATIONAL BUSINESS MACHS(IBM)1,0399,023+7,9842522,5371.55%+2,286
IREN LIMITED048,945+48,94502,2381.37%+2,238
BERKSHIRE HATHAWAY INC DEL04,410+4,41002,2071.35%+2,207
LENNAR CORP(LEN)018,802+18,80201,7011.04%+1,701
DEVON ENERGY CORP NEW(DVN)034,703+34,70301,4340.87%+1,434
Citigroup Inc(C)09,215+9,21501,2900.79%+1,290
BANCORP INC DEL(TBBK)0146,021+146,02109,1475.58%+9,147
Morgan Stanley(MS)05,593+5,59301,1690.71%+1,169
Triumph Financial Inc70,42370,198-2254,2015,3573.27%+1,155
Meritage Homes Corp(MTH)8,10719,344+11,2375011,6220.99%+1,121
NETFLIX INC.(NFLX)012,929+12,92909230.56%+923
Builders FirstSource Inc(BLDR)08,965+8,96508020.49%+802
ALERUS FINL CORP(ALRS)113,141111,891-1,2502,6833,4802.12%+797
CIPHER DIGITAL INC70,60069,200-1,4009091,6951.03%+787
Caterpillar Inc(CAT)2,2002,20001,5592,3431.43%+784
ENTERPRISE PRODS PARTNERS L(EPD)020,860+20,86007670.47%+767
DRAFTKINGS INC NEW(DKNG)030,149+30,14907620.46%+762
PLAINS ALL AMERN PIPELINE L(PAA)032,750+32,75007290.44%+729
ELI LILLY & CO(LLY)02,769+2,76903,3212.03%+3,321
Terawulf Inc(WULF)79,15075,345-3,8051,1421,8611.14%+719
Banner Corp(BANR)010,640+10,64007070.43%+707
AMAZON COM INC(AMZN)10,53411,826+1,2922,1942,8191.72%+625
GOODYEAR TIRE & RUBR CO(GT)0421,755+421,75502,7841.70%+2,784
VISA INC(V)01,580+1,58005420.33%+542
STAR BULK CARRIERS CORP.021,627+21,62705400.33%+540
Fidelity Tr 500 Index Ins Prem10,51010,959+4492,3902,8631.75%+473
EAGLE BANCORPORATION INC(EGBN)107,517110,517+3,0002,6743,1381.91%+464
BROWN FORMAN CORP(BF-A)016,895+16,89504500.27%+450
AbbVie Inc(ABBV)13,02212,947-752,8323,2581.99%+426
COLUMBIA BKG SYS INC(COLB)105,752103,527-2,2252,9013,3182.02%+417
METROPOLITAN BK HLDG CORP(MCB)27,82627,676-1502,3182,7331.67%+416
ALPHABET INC01,110+1,11003970.24%+397
Customers Bancorp Inc(CUBB)39,75439,75402,7593,1451.92%+385
GE Vernova Inc(GEV)1,7941,654-1401,5661,9431.19%+377
FIRST WESTN FINL INC46,47546,47501,1421,4920.91%+350
Banc Of California Inc121,420121,370-502,1352,4801.51%+345
BRIDGEWATER BANCSHARES INC96,68596,68501,7112,0341.24%+323
BROWN FORMAN CORP(BF-A)011,292+11,29203090.19%+309
3M Co18,68218,652-302,7133,0201.84%+307
INVESCO EXCHANGE TRADED FD T01,391+1,39102960.18%+296
US BANCORP(USB)04,857+4,85702930.18%+293
EQUITY BANCSHARES INC05,865+5,86502870.18%+287
TOTALENERGIES SE(TTE)03,648+3,64802840.17%+284
ONEMAIN HLDGS INC032,856+32,85602,0031.22%+2,003
Oracle Corp(ORCL)17,11118,842+1,7312,5172,7611.68%+244
Apple Inc(AAPL)6,0086,00801,5251,7381.06%+214
CSX Corp(CSX)04,475+4,47502130.13%+213
Arcosa Inc01,399+1,39902030.12%+203
MILLROSE PPTYS INC(MRP)06,745+6,74502030.12%+203
JPMorgan Chase & Co(JPM)6,2456,230-151,8372,0391.24%+202
VULCAN MATLS CO(VMC)0685+68502020.12%+202
PINNACLE FINL PARTNERS INC(PNFP)01,990+1,99002010.12%+201
Merck & Co Inc(MRK)22,03022,03002,6502,8311.73%+181
QCR HLDGS INC(QCRH)14,95514,95501,2781,4560.89%+178
MVB FINL CORP39,91839,91809911,1580.71%+167
Price T Rowe Growth Stock Fund12,01511,715-3001,1551,3150.80%+160
Deere & Co(DE)2,2302,23001,2561,4150.86%+158
Cleanspark Inc(CLSK)010,650+10,65001550.09%+155
Stock Yds Bancorp Inc(SYBT)15,85415,639-2151,0511,1960.73%+145
WSFS FINL CORP(WSFS)11,08911,08907268510.52%+125
Eastern Bankshares Inc41,80641,80608189300.57%+112
NVR Inc0488+48803,3252.03%+3,325
Microsoft Corp(MSFT)1,0181,215+1973774530.28%+76
American Express Co(AXP)2,0142,01406096810.42%+72
BANK OF AMER CORP014,560+14,56008300.51%+830
ZIONS BANCORPORATION NATL AS(ZION)5,0505,05002913490.21%+58
CINCINNATI FINL CORP(CINF)1,9001,90002993520.21%+53
Boeing Co(BA)2,9392,93905856360.39%+51
Chubb Limited3,4503,45001,1241,1760.72%+51
Vanguard 500 Index Admir556557+13353860.24%+51
TAYLOR MORRISON HOME CORP(TMHC)3,5003,50002042510.15%+47
Colgate Palmolive Co(CL)6,6976,69705716140.37%+43
Travelers Companies Inc(TRV)1,1251,100-253283630.22%+35
Home Depot Inc(HD)1,4501,45004775110.31%+34
UNION PAC CORP(UNP)1,1741,17402853190.19%+34
General Dynamics Corp(GD)2,9672,96701,0181,0510.64%+33
COCA COLA CO(KO)5,3735,37304094370.27%+28
DISNEY WALT CO(DIS)6,8157,096+2816576830.42%+26
Nicolet Bankshares Inc3,7273,502-2255545790.35%+25
Johnson & Johnson(JNJ)2,6042,60406376610.40%+25
BLACKSTONE INC7,2257,226+18318500.52%+19
Textron Inc(TXT)2,5002,50002192290.14%+10
Wells Fargo & Co(WFC)7,1657,020-1455705800.35%+10
ILLINOIS TOOL WKS INC(ITW)92592502412500.15%+9
Enbridge Inc(ENB)17,70117,676-259589580.58%-0
V F CORP(VFC)106,700108,675+1,9751,8131,8131.11%-0
Ernexa Therapeutics Inc10,0000-10,00020-2
ONEOK INC NEW(OKE)4,5934,653+604154050.25%-11
PROCTER & GAMBLE CO(PG)1,5661,466-1002262150.13%-11
General Mills Inc(GIS)6,3006,30002342190.13%-15
RTX CORPORATION(RTX)012,215+12,21502,3181.41%+2,318
Abbott Laboratories3,4253,42503523110.19%-41
Pathward Financial Inc20,18520,135-501,8011,7531.07%-48
MGM Resorts International(MGM)16,01611,235-4,7815935370.33%-56
Hershey Co(HSY)1,8501,85003853250.20%-60
PepsiCo Inc(PEP)4,4944,49406986080.37%-89
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