Fund Holdings

Nicollet Investment Management, Inc.

Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
Goldman Sachs Group Inc(GS)04,482+4,48203,7921.30%+3,792
Equinix, Inc(EQIX)8,0817,870-2116,1917,7142.64%+1,523
Schlumberger LTD(SLB)117,204114,203-3,0014,4985,8692.01%+1,371
E O G Resources Inc.(EOG)21,49621,989+4932,2573,1791.09%+922
Moderna Inc(MRNA)30,41329,122-1,2918971,4790.51%+582
Akamai Technologies Inc(AKAM)19,68219,582-1001,7172,2490.77%+532
United Therapeutics(UTHR)5,9315,699-2322,8903,3791.16%+489
Grainger W W Inc(GWW)8,9258,687-2389,0069,4763.25%+470
Novo-Nordisk AS(NVO)20,57239,205+18,6331,0471,4410.49%+394
Generac Holdings Inc(GNRC)7,7347,410-3241,0551,4470.50%+392
Wheaton Precious Metal Cl F(WPM)02,685+2,68503520.12%+352
Fastenal Company(FAST)76,84673,890-2,9563,0843,4281.17%+344
Alkermes Plc(ALKS)44,47943,301-1,1781,2451,5310.52%+286
Coterra Energy Inc35,37434,014-1,3609311,1950.41%+264
IShares S&P 500 Growth ETF02,324+2,32402630.09%+263
L3 Harris Technologies Inc(LHX)6,8846,614-2702,0212,2830.78%+262
Coca Cola Co.(KO)60,82258,769-2,0534,2524,4691.53%+217
HF Sinclair Corp(DINO)13,43612,866-5706198030.28%+184
Starbucks Corp(SBUX)24,16424,202+382,0352,1680.74%+133
F5 Networks, Inc(FFIV)4,3214,153-1681,1031,2020.41%+99
Align Technology Inc6,2926,042-2509821,0360.35%+54
Costco Wholesale Corp(COST)40340303474010.14%+54
Spdr Gold TR Gold Shs(GLD)1,5751,57506246780.23%+54
Knight Swift Transportation(KNX)17,97717,226-7519409920.34%+52
Chubb Ltd F13,01612,601-4154,0634,1071.41%+44
XCEL Energy Inc(XEL)7,0117,01105185570.19%+39
Schwab US Small Cap ETF42,55842,55801,2121,2380.42%+26
Union Pacific Corp(UNP)19,35718,557-8004,4784,5021.54%+24
TJX Cos Inc New(TJX)32,24131,113-1,1284,9534,9691.70%+16
The Scotts Miracle-Gro Company(SMG)12,03011,766-2647027150.24%+13
Ishares Core S&P Small Cap ETF1,8851,88502272340.08%+7
IShares Tr Russell 2000 ETF1,5991,59903943970.14%+3
Vanguard Total Stock Market ETF88188102952830.10%-12
Berkshire Hathaway Cl B58758702952810.10%-14
Sysco Corp.(SYY)26,62027,168+5481,9621,9380.66%-24
Medtronic Inc(MDT)3,1112,986-1252992590.09%-40
IShares Core S&P 500 ETF1,4851,48501,0179700.33%-47
SPDR S&P 500 ETF(SPY)1,3601,348-129278770.30%-50
Broadcom Inc(AVGO)1,7201,72005955320.18%-63
Schwab U.S. Mid Cap ETF122,252116,422-5,8303,6763,6041.23%-72
Skyworks Solutions Inc(SWKS)6,9056,692-2134383580.12%-80
Ecolab Inc.(ECL)20,19519,587-6085,3025,2111.78%-91
Valmont Inds Inc(VMI)5,1694,975-1942,0801,9880.68%-92
Expeditors Int'l WA(EXPD)11,11510,698-4171,6561,5320.52%-124
Radian Group Inc(RDN)30,03428,786-1,2481,0819520.33%-129
Solventum Corp(SOLV)7,6217,177-4446044690.16%-135
Ionis Pharmaceuticals Inc(IONS)20,52319,646-8771,6241,4750.51%-149
Home Depot Inc.(HD)8,1137,880-2332,7922,5920.89%-200
Fiserv Inc(FISV)17,50617,066-4401,1769520.33%-224
Invsc SP 500 Equal ETF43,94342,696-1,2478,4188,1942.81%-224
Eli Lilly(LLY)2140-2142300-230
Spdr S&P Midcap 400 ETF(MDY)8,4487,829-6195,0974,8291.65%-268
Lyft Inc Cl A(LYFT)47,85346,932-9219276240.21%-303
Ulta Beauty Inc(ULTA)3,1873,052-1351,9281,5950.55%-333
Schwab U.S. Large Cap ETF293,530292,876-6547,8997,5092.57%-390
FIS(FIS)18,67718,123-5541,2418500.29%-391
Paypal Holdings Inc(PYPL)28,45327,459-9941,6611,2420.43%-419
Palo Alto Networks Inc(PANW)16,39915,523-8763,0212,4890.85%-532
Unitedhealth Group Inc(UNH)7,8247,479-3452,5832,0240.69%-559
Thermo Fisher Scientific(TMO)5,7005,504-1963,3032,7050.93%-598
Resmed Inc(RMD)25,67724,783-8946,1855,5631.91%-622
3M Company(MMM)39,28337,902-1,3816,2895,5051.89%-784
Uber Technologies(UBER)65,85663,414-2,4425,3814,5611.56%-820
Accenture PLC CL A12,44212,467+253,3382,4720.85%-866
Servicenow, Inc(NOW)21,04520,248-7973,2242,1170.73%-1,107
Nvidia(NVDA)68,62266,575-2,04712,79811,6113.98%-1,187
Salesforce.com(CRM)14,38114,009-3723,8102,6150.90%-1,195
Ishares Russell Top 200 ETF47,63240,299-7,3338,1276,4672.22%-1,660
Boston Scientific Co(BSX)49,52547,855-1,6704,7223,0031.03%-1,719
Oracle Corp(ORCL)38,20436,998-1,2067,4465,4431.86%-2,003
Visa Inc(V)35,33334,164-1,16912,39210,3263.54%-2,066
Alphabet Inc Cl A(GOOG)49,25946,258-3,00115,41813,3024.56%-2,116
Alphabet Inc Cl C(GOOG)64,21062,634-1,57620,14917,9676.15%-2,182
Apple Computer(AAPL)76,09272,873-3,21920,68618,4946.33%-2,192
Meta Platforms Inc Cl A(META)22,80021,836-96415,05012,4934.28%-2,557
Amazon Com Inc.(AMZN)99,02595,744-3,28122,85719,9416.83%-2,916
Microsoft Corp(MSFT)44,82643,762-1,06421,67916,2005.55%-5,479
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