Fund HoldingsEast Coast Asset Management, LLC.

Total Portfolio Value
$338.60M
Total Bought
$21.11M
Total Sold
$25.43M
Net Transaction
-$4.32M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
ALPHABET INC(GOOG)165,966159,525-6,44147,60956,36516.65%+8,756
TESLA INC(TSLA)99,862102,906+3,04437,12443,28212.78%+6,158
PERIMETER SOLUTIONS INC(PRM)1,357,5831,090,264-267,31933,15238,86811.48%+5,716
TRANSDIGM GROUP INC(TDG)23,22024,009+78926,91231,9819.45%+5,070
AMAZON COM INC(AMZN)59,47466,992+7,51812,38715,9674.72%+3,580
ECHOSTAR CORP(ECHO)137,244190,609+53,36516,06719,3475.71%+3,280
VEEVA SYS INC(VEEV)9,48019,483+10,0031,6653,4581.02%+1,792
WOODWARD INC(WWD)28,72928,243-48610,28312,0163.55%+1,733
APPLE INC(AAPL)38,70436,936-1,7689,82310,6883.16%+865
DEERE & CO(DE)10,1529,888-2645,7196,2721.85%+553
SPACE EXPLORATION TECHN CORP02,915+2,91504980.15%+498
VISA INC(V)16,04015,462-5784,8485,3051.57%+457
ALPHABET INC(GOOG)5,3975,237-1601,5521,8720.55%+320
STATE STR SPDR S&P 500 ETF T(SPY)5,0414,793-2483,2783,5791.06%+301
ISHARES TR01,528+1,52802270.07%+227
VANGUARD INDEX FDS01,002+1,00202180.06%+218
YUM BRANDS INC(YUM)01,263+1,26302020.06%+202
UNION PAC CORP(UNP)8,1937,969-2241,9882,1680.64%+180
SYSCO CORP(SYY)14,74214,343-3991,0521,1990.35%+147
SHERWIN WILLIAMS CO(SHW)10,37610,057-3193,3263,4631.02%+137
ISHARES TR2,7462,74608731,0050.30%+131
ISHARES TR2,4582,440-186107330.22%+123
BERKSHIRE HATHAWAY INC DEL3302,1542,2470.66%+92
VANGUARD INDEX FDS7,9027,756-1461,4561,5330.45%+76
INTERNATIONAL BUSINESS MACHS(IBM)1,7931,79304355040.15%+70
ELEVANCE HEALTH INC FORMERLY(ELV)73073002142820.08%+69
LOUISIANA PAC CORP(LPX)31,42529,748-1,6772,2862,3400.69%+54
AMERICAN EXPRESS CO(AXP)1,4421,44204364880.14%+52
BERKSHIRE HATHAWAY INC DEL30,16328,980-1,18314,45414,5014.28%+47
VANGUARD INDEX FDS50050002993430.10%+45
VANGUARD INDEX FDS5413,246+2,7052362800.08%+43
EATON CORP PLC(ETN)61761702212630.08%+42
PAYCHEX INC(PAYX)8,4608,324-1367798180.24%+39
ISHARES TR5142,056+1,5422192550.08%+36
3M CO(MMM)2,5842,538-463754110.12%+36
ISHARES INC7,1017,10104184460.13%+29
FERRARI N V
COM
74574502522770.08%+25
VANGUARD INTL EQUITY INDEX F4,3374,33702342590.08%+24
AMGEN INC(AMGN)1,6281,62805735900.17%+17
PROCTER & GAMBLE CO(PG)3,1073,108+14494560.13%+7
HOME DEPOT INC(HD)852813-392802870.08%+6
DANAHER CORP DEL(DHR)3,5783,579+16786820.20%+3
PROFESIONALLY MANAGED PORTFO
AKRE FOCUS ETF
4,8724,87202572590.08%+2
ISHARES TR4,1933,963-2303923900.12%-2
INVESCO EXCH TRADED FD TR II7,1916,887-3045265160.15%-10
LABCORP HOLDINGS INC(LH)4,1613,926-2351,1101,0990.32%-11
AMERICAN TOWER CORP(AMT)1,2531,25302162050.06%-11
MOODYS CORP(MCO)13,83013,295-5356,0336,0221.78%-12
RTX CORPORATION(RTX)2,7952,766-295395250.15%-15
COSTCO WHOLESALE CORPORATION(COST)24224202412260.07%-15
JOHNSON & JOHNSON(JNJ)5,3585,075-2831,3101,2890.38%-21
AUTOMATIC DATA PROCESSING IN6,2995,596-7031,2801,2530.37%-27
WALMART INC(WMT)2,6052,568-373242910.09%-33
ADOBE INC(ADBE)1,0531,05302562160.06%-40
MARKEL GROUP INC(MKL)2,0672,001-663,9563,9071.15%-49
COLGATE PALMOLIVE CO(CL)20,25818,204-2,0541,7271,6690.49%-58
FIDELITY WISE ORIGIN BITCOIN(FBTC)7,5507,55004463850.11%-60
COMCAST CORP NEW(CCZ)15,28215,100-1824393710.11%-68
LOCKHEED MARTIN CORP(LMT)93293205634750.14%-88
REPUBLIC SVCS INC(RSG)1,5631,063-5003422270.07%-116
SCHWAB CHARLES CORP(SCHW)44,11943,501-6184,1464,0141.19%-133
WASTE MGMT INC DEL(WM)13,31913,035-2843,0612,9050.86%-156
MASTERCARD INCORPORATED(MA)22,88321,879-1,00411,43411,2373.32%-197
BOSTON SCIENTIFIC CORP(BSX)3,3040-3,3042070-207
JPMORGAN CHASE & CO(JPM)7390-7392170-217
ACCENTURE PLC IRELAND
SHS CLASS A
1,1060-1,1062190-219
PFIZER INC(PFE)8,1410-8,1412290-229
INTUIT(INTU)6000-6002590-259
BROADRIDGE FINL SOLUTIONS IN(BR)4,4383,363-1,0757214610.14%-261
MICROSOFT CORP(MSFT)7,9846,804-1,1802,9562,5380.75%-418
TJX COS INC NEW(TJX)45,04243,911-1,1317,1936,6531.96%-541
META PLATFORMS INC(META)14,2049,754-4,4508,1275,4941.62%-2,632
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