Fund HoldingsEmpire Life Investments Inc.

Total Portfolio Value
$1.79B
Total Bought
$447.94M
Total Sold
$479.87M
Net Transaction
-$31.93M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
Vanguard S&P 500 ETF0156,502+156,5020107,4175.99%+107,417
iShares Core MSCI EAFE ETF
CORE MSCI EAFE
0421,505+421,505040,7092.27%+40,709
Valero Energy Corp(VLO)0152,711+152,711039,7722.22%+39,772
Lam Research Corp(LRCX)268,986197,593-71,39359,71885,6234.78%+25,905
Beta Technologies Inc01,337,839+1,337,839022,4091.25%+22,409
Progressive Corp(PGR)091,486+91,486019,9851.12%+19,985
Invesco Nasdaq 100 ETF
NASDAQ 100 ETF
062,000+62,000018,7841.05%+18,784
Applied Materials Inc024,947+24,947018,0371.01%+18,037
iShares MSCI World ETF070,643+70,643014,3150.80%+14,315
Alphabet Inc - CL C(GOOG)277,342268,758-8,58481,78894,9605.30%+13,172
WILLSCOT HLDNG CORP COM CL A(WSC)0401,574+401,574011,5890.65%+11,589
CROWDSTRIKE HLDGS INC CL A(CRWD)34,47932,929-1,55013,56125,1291.40%+11,569
CH Robinson Worldwide Inc(CHRW)055,177+55,177010,3920.58%+10,392
Texas Instruments Inc(TXN)88,91589,660+74517,45426,7251.49%+9,271
Huntington Bancshares Inc/OH(HBAN)0494,583+494,58308,7690.49%+8,769
LEGEND BIOTECH CORP SPONSORED ADS(LEGN)0296,586+296,58608,5650.48%+8,565
Freeport-McMoRan Inc(FCX)0132,759+132,75908,3490.47%+8,349
Vanguard Russell 1000 Growth ETF
VNG RUS1000GRW
063,570+63,57008,1250.45%+8,125
FERMI INC(FRMI)0829,135+829,13507,5950.42%+7,595
Philip Morris International Inc(PM)89,948118,246+28,29814,15221,3921.19%+7,240
Micron Technology Inc(MU)031,801+31,801036,7082.05%+36,708
ExxonMobil Holdings Corp048,670+48,67006,6540.37%+6,654
LINDE PLC(LIN)6,97818,207+11,2293,4469,4480.53%+6,002
Anheuser-Busch Cos Inc.(BUD)072,616+72,61605,9840.33%+5,984
Seagate Technology Holdings(STX)06,180+6,18005,9640.33%+5,964
PNC Financial Services Group Inc(PNC)0198,395+198,395048,8492.73%+48,849
PUTNAM ETF TRUST FOCUSED LAR CAP0108,339+108,33905,5210.31%+5,521
Elevance Health Inc(ELV)071,907+71,907027,8091.55%+27,809
Eaton Corp27,22235,154+7,9329,95114,9800.84%+5,029
Apple Inc(AAPL)244,705233,546-11,15962,55467,5793.77%+5,025
VANGUARD TOTAL WORLD STOCK ETF031,600+31,60004,9600.28%+4,960
SiteOne Landscape Supply(SITE)039,068+39,06804,4700.25%+4,470
Nvidia Corp(NVDA)270,575258,863-11,71247,55451,7962.89%+4,242
Amazon.Com Inc(AMZN)0319,666+319,666076,1894.25%+76,189
ALNYLAM PHARMACEUTICALS INC(ALNY)012,640+12,64003,8050.21%+3,805
ishares MSCI EAFE Growth ETF029,833+29,83303,7120.21%+3,712
iShares Russell Top 200 Growth ETF012,197+12,19703,5450.20%+3,545
FRANKLIN TEMPLETON ETF TR FRANKLIN FOCU
FOCUSED DYNAMIC
052,301+52,30102,6950.15%+2,695
iShares MSCI Global Quality Factor ETF
MSC GLO FAC ETF
085,317+85,31702,6900.15%+2,690
Bank of America Corp0401,879+401,879022,8991.28%+22,899
Fidelity Fundamental LargeCapGrowth ETF36,88991,864+54,9751,0413,1860.18%+2,145
Raymond James Financial Inc(RJF)013,466+13,46602,0470.11%+2,047
AMETEK Inc137,026131,826-5,20029,95831,8941.78%+1,936
Powershares QQQ Trust7,1008,200+1,1004,1496,0380.34%+1,890
SERVICENOW INC(NOW)127,924150,761+22,83713,30914,9680.84%+1,658
Advanced Micro Devices Inc(AMD)4,4674,098-3699392,3810.13%+1,442
ROCKET LAB USA INC(RKLB)042,829+42,82904,3540.24%+4,354
INTUITIVE SURGICAL INC COM NEW03,545+3,54501,4100.08%+1,410
Fidelity Fundamental Large Cap Core ETF021,500+21,50001,2640.07%+1,264
Chevron Corp(CVX)095,285+95,285015,7940.88%+15,794
EVERCORE INC CLASS A(EVR)47,29245,428-1,86414,24815,5110.87%+1,263
T Rowe Price Blue Chip Growth ETF
PRICE BLUE CHIP
024,828+24,82801,2440.07%+1,244
OCULAR THERAPEUTIX INC(OCUL)884,297871,692-12,6057,3668,5600.48%+1,194
Dollar Tree Inc(DLTR)071,985+71,98508,7070.49%+8,707
J P MORGAN EXCHANGE TRADED FD ACTIVE GR
ACTIVE GROWTH
010,738+10,73801,0590.06%+1,059
Sunbelt Rentals Holdings Inc(SUNB)34,88641,697+6,8112,2923,0970.17%+805
VISTRA CORP(VST)256,360253,446-2,91439,46940,2042.24%+735
QUALCOMM INC(QCOM)14,16113,550-6111,8022,5040.14%+701
Coca-Cola Co(KO)304,364293,110-11,25423,15623,8211.33%+665
Altria Group Inc(MO)184,366177,007-7,35912,07212,7360.71%+663
Sphere Entertainment Co(SPHR)03,427+3,42705930.03%+593
Mercadolibre Inc(MELI)1,8952,191+2963,2573,7190.21%+462
iShares MSCI USA Quality Factor ETF
MSCI USA QLT FCT
01,750+1,75003840.02%+384
iShares MSCI USA Min Vol Factor ETF
MSCI USA MIN ETF
03,947+3,94703810.02%+381
Vanguard FTSE Emerging Market ETF06,363+6,36303800.02%+380
iShares Europe ETF04,183+4,18303050.02%+305
Home Depot Inc(HD)17,16916,784-3855,6585,9190.33%+261
Intermap Technologies Corp0287,807+287,80702230.01%+223
Visa Inc - A(V)97,08985,044-12,04528,98229,1781.63%+196
Regal Rexnord Corp(RRX)03,699+3,69908810.05%+881
VEEVA SYS INC CL A COM(VEEV)85,10583,793-1,31214,70114,8710.83%+170
TESLA INC(TSLA)9,8529,308-5443,7563,9150.22%+159
CubeSmart(CUBE)28,17928,276+971,0291,1250.06%+95
Duolingo Inc(DUOL)4,9134,920+74735660.03%+93
Synopsys Inc(SNPS)1,8131,818+57198110.05%+92
Fifth Third Bancorp(FITB)7,3477,634+2873444300.02%+86
ENERGY FUELS INC(UUUU)446,538551,013+104,4758,0588,1210.45%+62
Church & Dwight Co Inc(CHD)11,13011,168+381,0331,0820.06%+49
Mastercard Inc(MA)43,45341,642-1,81121,36421,3871.19%+24
BlackRock Inc(BLK)96896809279310.05%+4
CHENIERE ENERGY INC COM NEW(LNG)1,2451,427+1823433410.02%-2
Oracle Corp(ORCL)2,0411,755-2862962570.01%-39
CRH PLC32,68731,816-8713,4713,4040.19%-67
Morningstar Inc(MORN)7,0977,122+251,2041,1110.06%-93
Burlington Stores Inc(BURL)7,3737,391+182,4392,3410.13%-98
Jack Henry & Associates Inc(JKHY)10,91910,957+381,6991,5090.08%-190
Vanguard FTSE Emerging Market ETF3,6630-3,6631990-199
Ameren Corp(AEE)146,499141,248-5,25116,23115,9670.89%-264
ARS Pharmaceuticals Inc499,150471,856-27,2944,0483,7800.21%-269
Johnson & Johnson(JNJ)151,826144,822-7,00437,06436,7802.05%-283
Cintas Corp(CTAS)48,33947,057-1,2828,3168,0030.45%-313
Motorola Solutions Inc(MSI)38,87239,843+97116,87616,5460.92%-329
iShares Europe ETF5,1480-5,1483550-355
Netflix Inc(NFLX)12,52911,616-9131,1978290.05%-368
ARCTURUS THERAPEUTICS HLDGS383,493366,217-17,2763,0102,4610.14%-549
WEC Energy Group(WEC)188,952182,284-6,66821,95121,2851.19%-665
Intermap Technologies Corp716,8960-716,8969080-908
Booking Holdings Inc(BKNG)088,197+88,197015,7200.88%+15,720
Meta Platforms Inc(META)36,83835,874-96421,33820,2071.13%-1,130
EVI Industries Inc158,407152,515-5,8923,3902,2540.13%-1,136
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