Fund HoldingsMengis Capital Management, Inc.

Total Portfolio Value
$657.67M
Total Bought
$64.90M
Total Sold
$61.79M
Net Transaction
+$3.11M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
MARVELL TECH INC COM(MRVL)45,98546,555+5704,55513,8682.11%+9,313
EXXON MOBIL CORP062,238+62,23808,5091.29%+8,509
APPLE INC(AAPL)0141,611+141,611040,9776.23%+40,977
ALPHABET INC. CLASS C - GOOG063,775+63,775022,5343.43%+22,534
DELL TECHNOLOGIES INC CLASS C(DELL)17,55015,722-1,8282,8806,7831.03%+3,903
ADVANCED MICRO DEVIC(AMD)09,600+9,60005,5770.85%+5,577
QUANTA SERV INC28,21026,408-1,80215,48819,0152.89%+3,527
ATI INC70,65269,614-1,03810,27713,7212.09%+3,444
LILLY ELI & CO(LLY)010,186+10,186012,2181.86%+12,218
QUALCOMM INC(QCOM)065,488+65,488012,1021.84%+12,102
MICROSOFT CORP(MSFT)069,793+69,793026,0343.96%+26,034
SEAGATE TECHNOLOGY HLD F(STX)4,1853,960-2251,6403,8210.58%+2,182
THERMO FISHER SCNTFC(TMO)05,085+5,08502,5490.39%+2,549
DEERE & CO(DE)27,11527,124+915,27417,2062.62%+1,932
JPMORGAN CHASE&CO(JPM)054,286+54,286017,7702.70%+17,770
AMAZON.COM INC(AMZN)047,943+47,943011,4271.74%+11,427
ASML HOLDING N V F SPONSORED A2,5132,523+103,3195,0190.76%+1,700
INTEL CORP(INTC)16,81116,81107422,3470.36%+1,605
XYLEM INC COM(XYL)013,188+13,18801,5590.24%+1,559
BROADCOM INC(AVGO)12,55214,079+1,5273,8855,3180.81%+1,433
UNION PACIFIC CORP(UNP)17,12320,250+3,1274,1545,5080.84%+1,354
SCHWAB US LARGE CAP ETF0223,908+223,90806,5901.00%+6,590
BOEING CO(BA)26,68030,200+3,5205,3106,5370.99%+1,227
SCHWAB US MIDCAP ETF168,917174,436+5,5195,2306,4310.98%+1,202
CUMMINS INC(CMI)6,4636,457-63,4774,6050.70%+1,128
GS INTL DVLPD ETF304,249309,091+4,84213,12214,1252.15%+1,003
BRUKER CORP(BRKR)040,750+40,75002,4520.37%+2,452
NOVO-NORDISK ADR(NVO)070,145+70,14503,3630.51%+3,363
IBM CORP(IBM)019,703+19,70305,5410.84%+5,541
APPLIED MATERIALS2,1762,065-1117441,4930.23%+749
NXP SEMI F(NXPI)08,280+8,28002,3270.35%+2,327
GS ACTVBETA US LRG ETF030,154+30,15404,2790.65%+4,279
DATADOG CL A COM(DDOG)05,225+5,22501,3600.21%+1,360
VANECK MORNINGSTAR WIDE MOAT E069,347+69,34707,2091.10%+7,209
FEDEX FGHT HLDG CO INC COMMON04,575+4,57506910.11%+691
BANK AMERICA CORP084,217+84,21704,7990.73%+4,799
ALPHABET INC. CLASS A - GOOGL09,555+9,55503,4150.52%+3,415
PHILIP MORRIS INTL(PM)44,40044,262-1387,3418,0071.22%+666
WOODWARD INC(WWD)9,4389,43803,3784,0150.61%+637
HONEYWELL INTL INC02,738+2,73806130.09%+613
FIRST SOLAR INC(FSLR)08,971+8,97102,1170.32%+2,117
SPDR S&P 500 ETF06,461+6,46104,8260.73%+4,826
HONEYWELL AEROSPACE IN COM02,738+2,73806050.09%+605
TAIWAN SEMICONDUCTR SPONSORED(TSM)2,9013,226+3259801,5410.23%+560
AGILENT TECHNOLOGIES INC(A)016,496+16,49602,1910.33%+2,191
QNITY ELECTRONICS, INC.10,98210,944-381,2671,7870.27%+520
PACCAR INC(PCAR)111,314111,314012,85713,3712.03%+514
INTUITIVE SURGICAL01,871+1,87107440.11%+744
KEYSIGHT TECHNOLOGIES INC(KEYS)7,1137,11302,0082,4900.38%+482
DEVON ENERGY CORP(DVN)011,643+11,64304810.07%+481
MEDLINE INC COM CL A012,180+12,18004800.07%+480
PNC FINL SERVICES(PNC)012,370+12,37003,0460.46%+3,046
EMERSON ELECTRIC(EMR)038,867+38,86705,5640.85%+5,564
CISCO SYSTEMS INC(CSCO)011,495+11,49501,3500.21%+1,350
SPX TECHNOLOGIES INC REGSHS010,000+10,00002,4520.37%+2,452
CVS HEALTH CORP(CVS)013,294+13,29401,3750.21%+1,375
ISHARES CORE S&P 500 ETF04,430+4,43003,3180.50%+3,318
MERCK & CO. INC.(MRK)48,92248,873-495,8856,2800.95%+395
JOHNSON & JOHNSON(JNJ)40,96840,975+710,01410,4071.58%+392
ABRDN BLMBR AL CM LN D SY K 170,71185,537+14,8262,5302,9210.44%+391
CATERPILLAR INC(CAT)1,3361,241-959471,3220.20%+375
GLDMN SACH ACTVBETA EMRG MKT E21,66525,114+3,4499361,3060.20%+370
ILLUMINA INC(ILMN)06,780+6,78001,1920.18%+1,192
TECHNIPFMC PLC19,36025,460+6,1001,3381,6880.26%+350
EATON CORP PLC F(ETN)4,8384,828-101,7302,0570.31%+327
BLOOM ENERGY CORP COM CL A01,065+1,06503220.05%+322
CLOROX CO(CLX)49,74957,240+7,4915,1565,4630.83%+308
ABBVIE INC(ABBV)09,174+9,17402,3090.35%+2,309
3M CO018,333+18,33302,9680.45%+2,968
HUBBELL INC(HUBB)9,0009,00004,4174,7090.72%+292
AMERICAN EXPRESS(AXP)07,791+7,79102,6350.40%+2,635
NESTLE ADR51,05551,895+8405,0605,3290.81%+270
FLUOR CORP(FLR)50,19749,835-3622,3422,6110.40%+269
COLUMBIA BNKNG SYS(COLB)052,115+52,11501,6700.25%+1,670
THE COCA-COLA CO(KO)47,58347,58303,6193,8670.59%+248
SCHWAB US SMALL CAP ETF037,413+37,41301,3520.21%+1,352
AEROVIRONMENT INC COM03,155+3,15505210.08%+521
CORNING INC(GLW)1,9751,97502695050.08%+236
NOVARTIS AG ADR70,64870,348-30010,79111,0251.68%+233
U S BANCORP(USB)020,832+20,83201,2580.19%+1,258
NVIDIA CORP(NVDA)08,340+8,34001,6690.25%+1,669
BERKSHIRE HATHAWAY INC CL B09,880+9,88004,9440.75%+4,944
VANGUARD INFORMATION TECHNOLOG07,064+7,06408440.13%+844
ISHARES TR HDG MSCI EAFE
HDG MSCI EAFE
04,702+4,70202210.03%+221
WISDOMTREE US AI ENHNCD VALUE01,670+1,67002190.03%+219
VANGUARD FTSE ALL WORLD EX US25,90225,778-1241,9452,1590.33%+214
VANGUARD EXTENDED MARKET ETF0850+85002090.03%+209
EVERGY INC COM(EVRG)02,347+2,34702030.03%+203
SUN LIFE FINL F(SLF)02,577+2,57702020.03%+202
WATERS CORP(WAT)02,260+2,26008480.13%+848
SCHWAB US DIVIDEND EQUITY ETF125,703126,627+9243,8574,0150.61%+159
CORVUS PHARMA COM(CRVS)010,450+10,45001560.02%+156
WABTEC(WAB)7,8157,81501,9532,1070.32%+154
SCHWAB US BROAD MARKET ETF041,072+41,07201,1890.18%+1,189
HOME DEPOT INC(HD)06,181+6,18102,1800.33%+2,180
SPDR SER TR S&P600 SMALL CAP
ST STR SP600 SML
11,18211,990+8085406910.11%+151
TELEDYNE TECHNOLOGIE(TDY)2,3972,39701,4501,5990.24%+148
WSDMTRE EMRG MKT EX STT OWN EN016,261+16,26108000.12%+800
TEXAS INSTRUMENTS(TXN)1,1231,198+752183570.05%+139
ISHARES RUSSELL 2000 ETF02,592+2,59207790.12%+779
Page 1 of 1