Fund HoldingsBramshill Investments, LLC

Total Portfolio Value
$1.31B
Total Bought
$230.94M
Total Sold
$70.17M
Net Transaction
+$160.78M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
State Street SPDR Bloomberg Sh
ST TERM HIGH ETF
06,067,585+6,067,5850151,87211.62%+151,872
iShares Short Duration Bond Ac
SHOR DURA BD ETF
02,605,312+2,605,3120131,98510.10%+131,985
PIMCO Enhanced Short Maturity
ENHAN SHRT MA AC
01,005,246+1,005,2460101,3397.75%+101,339
iShares Preferred and Income S0344,817+344,817010,5130.80%+10,513
SPDR Gold Shares(GLD)1,22812,842+11,6145284,7310.36%+4,202
Invesco Senior Income Trust6,721,4588,391,783+1,670,32521,64325,1751.93%+3,532
PIMCO Municipal Income Fund II(PML)7,577,0617,767,525+190,46457,35859,1114.52%+1,753
PepsiCo Inc(PEP)08,216+8,21601,1120.09%+1,112
Extra Space Storage Inc(EXR)07,529+7,52901,0940.08%+1,094
Virtus InfraCap US Preferred S
VIRTUS INFRCAP
050,000+50,00001,0290.08%+1,029
First Trust NASDAQ Cybersecuri
NASDAQ CYB ETF
011,000+11,00009880.08%+988
iShares 0-5 Year High Yield Co
0-5YR HI YL CP
02,108,580+2,108,580089,4256.84%+89,425
Crown Castle Inc(CCI)012,026+12,02609110.07%+911
Highwoods Properties Inc(HIW)028,960+28,96008730.07%+873
NIKE Inc(NKE)020,000+20,00008210.06%+821
Omega Healthcare Investors Inc(OHI)016,595+16,59507910.06%+791
Bristol-Myers Squibb Co(BMY)013,561+13,56107810.06%+781
Equable Shares Hedged Equity E
EQUAB EQUIT ETF
0227,986+227,98606,8400.52%+6,840
BlackRock Core Bond Trust083,461+83,46107650.06%+765
Paychex Inc(PAYX)07,555+7,55507430.06%+743
First Trust Intermediate Durat(FPF)040,000+40,00007270.06%+727
Defiance Quantum ETF
DEFIA QUANT ETF
12,50012,50001,3412,0670.16%+726
Omnicom Group Inc(OMC)09,933+9,93307230.06%+723
Eastman Chemical Co(EMN)010,672+10,67207150.05%+715
Vanguard Real Estate ETF015,500+15,50001,4950.11%+1,495
NVIDIA Corp(NVDA)06,000+6,00001,2010.09%+1,201
WisdomTree Cloud Computing Fun(WT)020,000+20,00006410.05%+641
Invesco QQQ Trust Series 103,935+3,93502,8980.22%+2,898
Microsoft Corp(MSFT)01,500+1,50005600.04%+560
Vistra Corp(VST)03,500+3,50005550.04%+555
Home Depot Inc/The(HD)02,500+2,50008820.07%+882
State Street Consumer Staples
ST STR STAPL ETF
6,00012,500+6,5004921,0380.08%+546
Simon Property Group Inc(SPG)6,2227,631+1,4091,1611,7070.13%+546
Vanguard Ultra Short Bond ETF
VANGUARD ULTRA
03,112,942+3,112,9420154,96211.85%+154,962
Grupo Cibest SA06,300+6,30005000.04%+500
Ecopetrol SA(EC)035,000+35,00004980.04%+498
Alibaba Group Holding Ltd(BABA)05,000+5,00004800.04%+480
Invesco Ultra Short Duration E
ULTRA SHRT DUR
01,988,756+1,988,756099,7367.63%+99,736
iShares 0-5 Year Investment Gr
0-5YR INVT GR CP
01,008,271+1,008,271050,7873.89%+50,787
Energy Transfer LP(ET)097,266+97,26601,8600.14%+1,860
iShares U.S. Transportation ET3,0007,500+4,5002246510.05%+427
Nuveen Preferred & Income Oppo(JPC)0126,165+126,16509940.08%+994
iShares MSCI Emerging Markets16,40019,757+3,3579311,3520.10%+420
Hilton Worldwide Holdings Inc(HLT)01,250+1,25004130.03%+413
Mach Natural Resources LP(MNR)50,13187,085+36,9547021,1010.08%+399
State Street Health Care Selec
ST STR CARE ETF
010,169+10,16901,6130.12%+1,613
State Street Materials Select
ST STR MATER ETF
6,00013,500+7,5003006860.05%+386
MPLX LP(MPLX)032,578+32,57801,8350.14%+1,835
iShares U.S. Insurance ETF02,500+2,50003510.03%+351
TXO Partners LP60,35088,123+27,7737591,1020.08%+342
Exxon Mobil Corp02,500+2,50003420.03%+342
JFrog Ltd(FROG)03,500+3,50003180.02%+318
Coherent Corp(COHR)0750+75002960.02%+296
Meta Platforms Inc(META)0500+50002820.02%+282
Honeywell International Inc01,250+1,25002800.02%+280
Warby Parker Inc(WRBY)09,000+9,00002730.02%+273
Kimbell Royalty Partners LP(KRP)56,90675,161+18,2558231,0920.08%+269
State Street Industrial Select
ST STR INDL ETF
4,2505,138+8886879520.07%+264
John Hancock Premium Dividend(PDT)020,000+20,00002590.02%+259
Global X Robotics & Artificial
RBTCS ARTFL INTE
7,00012,500+5,5002334740.04%+242
Cheniere Energy Inc(LNG)01,000+1,00002390.02%+239
Quanta Services Inc0700+70005040.04%+504
Applied Optoelectronics Inc(AAOI)01,500+1,50002220.02%+222
State Street Technology Select
ST STR TECHN ETF
05,000+5,00009530.07%+953
Iron Mountain Inc(IRM)8,2438,323+808421,0510.08%+209
State Street SPDR S&P Biotech
ST STR SP BIOT
12,00011,000-1,0001,5331,7410.13%+208
AGNC Investment Corp(AGNC)194,283196,596+2,3131,9492,1430.16%+194
Neuberger High Yield Strategie(NHS)0133,785+133,78508350.06%+835
First Trust Enhanced Short Mat
FIRST TR ENH NEW
655,802659,483+3,68139,20439,3913.01%+187
Orion Group Holdings Inc010,000+10,00001680.01%+168
Trinity Capital Inc(TRIN)47,70648,268+5627028640.07%+162
Annaly Capital Management Inc0107,085+107,08502,3940.18%+2,394
State Street SPDR S&P Regional
ST STR SP REGBNK
15,00015,00009771,1230.09%+146
Morgan Stanley Emerging Market(EDD)0141,666+141,66608330.06%+833
BlackRock Capital Allocation T(BCAT)50,67751,268+5917168170.06%+101
Global Partners LP/MA(GLP)17,46917,730+2617358260.06%+91
Templeton Emerging Markets Inc0111,370+111,37007510.06%+751
Walmart Inc(WMT)5,0006,250+1,2506217080.05%+86
JPMorgan Chase & Co(JPM)02,500+2,50008180.06%+818
Rockwell Automation Inc(ROK)1,5001,250-2505386190.05%+81
VanEck Semiconductor ETF
SEMICONDUCTR ETF
7,5004,500-3,0002,8762,9520.23%+76
Delek Logistics Partners LP(DKL)029,668+29,66801,5290.12%+1,529
State Street Financial Select
ST STR FINL ETF
015,000+15,00008040.06%+804
Dynex Capital Inc(DX)0120,880+120,88001,5850.12%+1,585
JPMorgan Ultra-Short Income ET
ULTRA SHRT ETF
1,280,7971,282,964+2,16764,82164,8794.96%+58
Ares Capital Corp(ARCC)077,871+77,87101,4430.11%+1,443
Western Midstream Partners LP(WES)17,85118,043+1927357900.06%+55
NextEra Energy Inc(NEE)7,0008,000+1,0006507020.05%+52
State Street SPDR S&P 500 ETF(SPY)0495+49503700.03%+370
Invesco Quality Municipal Inco(IQI)11,30015,291+3,9911091550.01%+46
Boeing Co/The(BA)02,500+2,50005410.04%+541
Rio Tinto PLC(RIO)15,55615,741+1851,4511,4940.11%+43
ARMOUR Residential REIT Inc42,87343,393+5207157570.06%+42
NYLI CBRE Global Infrastructur52,93153,668+7377788160.06%+38
Morgan Stanley Emerging Market085,048+85,04806210.05%+621
Invesco S&P 500 Equal Weight T
S&P500 EQL TEC
35,00025,000-10,0001,5841,6130.12%+28
Realty Income Corp(O)17,73117,952+2211,0851,1120.09%+28
Vertex Pharmaceuticals Inc(VRTX)50050002232480.02%+25
Ford Motor Co(F)61,44652,722-8,7247097330.06%+24
PIMCO Dynamic Income Opportuni(PDO)052,693+52,69306970.05%+697
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