Fund HoldingsKendall Capital Management

Total Portfolio Value
$487.95M
Total Bought
$38.59M
Total Sold
$29.33M
Net Transaction
+$9.26M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
Dell Technologies Inc(DELL)59,96363,918+3,9557,54810,4912.15%+2,943
Avnet Inc0168,925+168,925010,4092.13%+10,409
T. Rowe Price Small-Mid Cap ETF
SMALL MID CAP
692,124741,348+49,22424,84727,1855.57%+2,338
Eli Lilly And Company(LLY)01,419+1,41901,3050.27%+1,305
KLA Corp(KLAC)5,8865,698-1887,1528,3901.72%+1,238
JPMorgan International Research Enhanced Equity ETF
INTRNL RES EQT
325,315334,741+9,42624,36025,3535.20%+994
Federated Hermes Inc(FHI)87,63596,375+8,7404,5635,4651.12%+902
BorgWarner Inc49,04557,090+8,0452,2103,0980.63%+888
Permian Resources Corp(PR)78,48591,975+13,4901,1011,9610.40%+860
V2X Inc(VVX)31,11537,115+6,0001,6972,5420.52%+845
Vanguard FTSE All-World ex-US ETF36,69547,147+10,4522,6993,5410.73%+841
Arrow Electronics Inc025,175+25,17503,6100.74%+3,610
Vanguard Emerging Markets Stock ETF217,894231,540+13,64611,71412,5152.56%+801
AstraZeneca plc(AZN)03,976+3,97607840.16%+784
Fidelity Enhanced Mid Cap ETF
ENH MID COR ETF
10,90232,043+21,1413971,1520.24%+756
John Wiley & Sons Inc Class A(WLY)089,972+89,97203,4280.70%+3,428
Bristol-Myers Squibb Co(BMY)56,78561,555+4,7703,0633,7330.77%+670
Deluxe Corp(DLX)045,466+45,46601,2520.26%+1,252
iShares Russell 2500 ETF
RUSEL 2500 ETF
352,861354,936+2,07526,44327,0995.55%+656
Stride Inc(LRN)025,637+25,63702,2600.46%+2,260
Vanguard Value Index Fund ETF16,16518,869+2,7043,0873,7020.76%+615
Tidewater Inc(TDW)10,03013,340+3,3105071,1150.23%+608
JPMorgan Ultra-Short Income ETF
ULTRA SHRT ETF
219,358230,873+11,51511,09711,6842.39%+587
United Therapeutics Corp(UTHR)6,5596,281-2783,1963,7250.76%+529
Valero Energy Corp(VLO)05,665+5,66501,4000.29%+1,400
Johnson & Johnson(JNJ)7,4648,136+6721,5451,9890.41%+444
Global Payments Inc(GPN)06,518+6,51804390.09%+439
Merck & Co Inc(MRK)18,80719,782+9751,9802,3800.49%+400
Teekay Tankers Ltd(TNK)019,842+19,84201,4550.30%+1,455
PepsiCo Inc(PEP)02,451+2,45103810.08%+381
Photronics Inc(PLAB)46,38545,772-6131,4841,8500.38%+365
Acadian Asset Management Inc(AAMI)32,26034,460+2,2001,5161,8750.38%+359
Glaxosmithkline Plc(GSK)41,95643,766+1,8102,0582,4150.50%+358
Jazz Pharmaceutical PLC(JAZZ)8,3049,344+1,0401,4121,7660.36%+355
SM Energy Co(SM)010,786+10,78603360.07%+336
Coca-Cola Co(KO)04,319+4,31903280.07%+328
Costamare Inc(CMRE)255,215257,675+2,4604,0304,3550.89%+325
Allstate Corp(ALL)01,485+1,48503080.06%+308
Cirrus Logic Inc(CRUS)010,802+10,80201,5620.32%+1,562
Adtalem Global Education Inc(CVSA)05,712+5,71206580.13%+658
National Fuel Gas Co(NFG)016,138+16,13801,5160.31%+1,516
Pricesmart Inc(PSMT)011,290+11,29001,6990.35%+1,699
Cboe Global Markets Inc(CBOE)08,847+8,84702,4870.51%+2,487
Travel and Leisure Co(TNL)36,93541,350+4,4152,6052,8610.59%+256
FlexShares iBoxx 5-Yr Target Duration TIPS Index
IBOXX 5YR TRGT
184,396193,728+9,3324,4194,6710.96%+252
Constellation Brands, Inc.(STZ)3,6054,993+1,3884977490.15%+252
Chord Energy Corp(CHRD)01,757+1,75702500.05%+250
Pfizer Inc(PFE)41,44545,452+4,0071,0321,2760.26%+244
Verizon Communications(VZ)04,678+4,67802350.05%+235
First Trust Dow Jones Select MicroCap Index ETF
COM SHS ANNUAL
22,20924,307+2,0981,7681,9950.41%+227
Kirby Corp(KEX)01,700+1,70002260.05%+226
AT&T Inc(T)07,717+7,71702240.05%+224
UGI Corp(UGI)41,69048,978+7,2881,5601,7840.37%+223
Green Brick Partners Inc(GRBK)027,048+27,04801,7430.36%+1,743
Harmony Biosciences Holdings Inc(HRMY)07,695+7,69502160.04%+216
Allison Transmission Holdings Inc(ALSN)16,73015,812-9181,6381,8510.38%+213
Adeia Inc(ADEA)032,437+32,43707790.16%+779
McKesson Corp(MCK)3,2473,320+732,6632,8730.59%+210
Texas Pacific Land Trust(TPL)0440+44002090.04%+209
Darling Ingredients Inc(DAR)03,375+3,37502090.04%+209
Cummins Inc(CMI)7,9527,927-254,0594,2650.87%+206
Bunge Global SA(BG)05,830+5,83007420.15%+742
Innoviva Inc(INVA)31,09535,285+4,1906228220.17%+201
Viatris Inc(VTRS)209,590207,623-1,9672,6092,8050.57%+196
Victory Capital Holdings Inc(VCTR)088,911+88,91105,8221.19%+5,822
FlexShares Global Upstream Natural Resources Index ETF
MORNSTAR UPSTR
24,05423,125-9291,1031,2760.26%+173
Altria Group Inc(MO)012,932+12,93208530.17%+853
Tapestry Inc(TPR)14,16013,800-3601,8091,9470.40%+138
Lam Research Corp(LRCX)3,6453,565-806247620.16%+138
Upbound Group Inc(UPBD)070,705+70,70501,2760.26%+1,276
Marriott International Inc(MAR)5,7085,828+1201,7711,9060.39%+135
Gilead Sciences Inc(GILD)8,6528,567-851,0621,1940.24%+132
PowerShares Buyback Achievers ETF
BUYBACK ACHIEV
8,0829,265+1,1831,0861,2160.25%+131
Chevron Corp(CVX)02,135+2,13504420.09%+442
Exxon Mobil Corp02,973+2,97305040.10%+504
SPDR Gold MiniShares Trust(GLDM)17,24517,073-1721,4721,5820.32%+110
Smithfield Foods Inc COM NPV(SFD)9,30011,075+1,7752083100.06%+102
Restaurant Brands International Inc(QSR)12,54512,905+3608569540.20%+98
Hamilton Insurance Group Ltd(HG)37,17937,844+6651,0371,1290.23%+92
Lear Corp(LEA)9,86510,072+2071,1311,2200.25%+89
Enova International Inc(ENVA)5,6257,075+1,4508849610.20%+77
Amgen Inc(AMGN)2,9972,996-19811,0540.22%+73
Invesco S&P SmallCap Momentum ETF
S&P SMLCP MOMENT
017,000+17,00001,2920.26%+1,292
iShares S&P Small-Cap 600 Growth ETF05,690+5,69008230.17%+823
iShares Micro-Cap ETF17,19517,406+2112,7122,7780.57%+67
Fidelis Insurance Holdings
COM
78,18583,295+5,1101,5301,5920.33%+62
Caterpillar Inc(CAT)536520-163073680.08%+61
iShares Residential and Multi Real Estate ETF012,488+12,48801,0390.21%+1,039
Albertsons Companies Inc47,39051,140+3,7508148710.18%+58
Comcast Corp(CCZ)016,209+16,20904650.10%+465
L3Harris Technologies Inc(LHX)01,340+1,34004630.09%+463
SPDR S&P 600 Small Cap Value ETF
ST STR SP600SM C
14,00014,00001,2741,3240.27%+51
Texas Instruments Inc(TXN)02,767+2,76705370.11%+537
Evercore Inc(EVR)0995+99502970.06%+297
Ziff Davis Inc(ZD)06,562+6,56202750.06%+275
Incyte Corp.(INCY)8,0308,805+7757938290.17%+36
Magna International Inc(MGA)9,2309,430+2004925260.11%+34
Novartis AG(NVS)02,295+2,29503510.07%+351
iShares S&P Small-Cap 600 Value ETF06,271+6,27107430.15%+743
Nvidia Corp(NVDA)18,54419,999+1,4553,4593,4880.71%+29
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