Fund HoldingsCynosure Group, LLC

Total Portfolio Value
$665.53M
Total Bought
$183.59M
Total Sold
$338.21M
Net Transaction
-$154.62M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
ISHARES TR0758,229+758,229076,41611.48%+76,416
SPDR SERIES TRUST
ST STR P500VAL
0234,630+234,630014,2632.14%+14,263
ISHARES TR0497,234+497,234061,7429.28%+61,742
GE VERNOVA INC(GEV)12,22112,947+7269,19915,2112.29%+6,012
VANGUARD BD INDEX FDS71,025141,835+70,8105,23010,4121.56%+5,182
ISHARES TR036,843+36,843027,5924.15%+27,592
GE AEROSPACE(GE)55,48954,182-1,30716,40020,2493.04%+3,850
INTERNATIONAL BUSINESS MACHS(IBM)054,382+54,382015,2932.30%+15,293
HCA HEALTHCARE INC(HCA)08,242+8,24203,2130.48%+3,213
ISHARES TR
BROAD USD HIGH
25,47888,356+62,8789393,2710.49%+2,332
UNION PAC CORP(UNP)064,087+64,087017,4322.62%+17,432
STATE STR SPDR S&P 500 ETF T(SPY)229,061194,225-34,83668,41770,07210.53%+1,655
VANGUARD INDEX FDS015,181+15,18105,6170.84%+5,617
CIENA CORP(CIEN)02,418+2,41801,1860.18%+1,186
SANDISK CORP(SNDK)0459+45901,0440.16%+1,044
ISHARES TR0105,382+105,382017,3112.60%+17,311
MICRON TECHNOLOGY INC(MU)0809+80909340.14%+934
MACOM TECH SOLUTIONS HLDGS I(MTSI)02,285+2,28508690.13%+869
CATERPILLAR INC(CAT)04,210+4,21004,4830.67%+4,483
PRIMORIS SVCS CORP(PRIM)08,214+8,21408140.12%+814
GRANITE CONSTR INC(GVA)05,098+5,09808060.12%+806
MADISON SQUARE GRDN SPRT COR(MSGS)01,938+1,93807790.12%+779
VIRTU FINL INC(VIRT)012,990+12,99007740.12%+774
BRINKER INTL INC(EAT)04,562+4,56207660.12%+766
CARDINAL HEALTH INC(CAH)03,224+3,22407660.12%+766
PLEXUS CORP(PLXS)02,545+2,54507650.11%+765
ULTRA CLEAN HLDGS INC(UCTT)05,353+5,35307630.11%+763
SSGA ACTIVE ETF TR
ST STR BL LN ETF
018,636+18,63607510.11%+751
MASTEC INC(MTZ)01,802+1,80207500.11%+750
UL SOLUTIONS INC(ULS)07,320+7,32007460.11%+746
KLA CORP(KLAC)02,440+2,44007360.11%+736
TJX COS INC NEW(TJX)04,853+4,85307350.11%+735
KODIAK GAS SVCS INC(KGS)09,560+9,56007180.11%+718
STONEX GROUP INC(SNEX)05,996+5,99607110.11%+711
LAM RESEARCH CORP(LRCX)2,0232,637+6144321,1430.17%+710
COCA COLA CONS INC(COKE)03,721+3,72107100.11%+710
VIAVI SOLUTIONS INC(VIAV)014,750+14,75007040.11%+704
TARGA RES CORP(TRGP)02,593+2,59306950.10%+695
PHILIP MORRIS INTL INC(PM)03,836+3,83606940.10%+694
BANK OF NY MELLON CORP04,746+4,74606860.10%+686
TKO GROUP HOLDINGS INC(TKO)03,398+3,39806840.10%+684
DT MIDSTREAM INC(DTM)04,622+4,62206780.10%+678
LEONARDO DRS INC(DRS)015,847+15,84706760.10%+676
ALTRIA GROUP INC(MO)09,385+9,38506750.10%+675
CURTISS WRIGHT CORP(CW)0889+88906740.10%+674
EVERGY INC(EVRG)07,743+7,74306690.10%+669
ENSIGN GROUP INC(ENSG)04,169+4,16906680.10%+668
ALLIANT ENERGY CORP(LNT)08,703+8,70306640.10%+664
QUANTA SVCS INC0920+92006620.10%+662
PINNACLE WEST CAP CORP(PNW)06,144+6,14406570.10%+657
IDACORP INC(IDA)04,323+4,32306540.10%+654
ONE GAS INC(OGS)08,476+8,47606530.10%+653
CENTERPOINT ENERGY INC(CNP)014,757+14,75706500.10%+650
VALERO ENERGY CORP(VLO)02,490+2,49006480.10%+648
WILLIAMS COS INC(WMB)08,702+8,70206470.10%+647
WEC ENERGY GROUP INC(WEC)05,530+5,53006460.10%+646
SOUTHERN CO(SO)06,709+6,70906420.10%+642
BRIGHTSPRING HEALTH SVCS INC(BTSG)10,32615,464+5,1384401,0780.16%+638
AMERICAN ELEC PWR CO INC04,666+4,66606380.10%+638
XCEL ENERGY INC(XEL)07,947+7,94706380.10%+638
AMEREN CORP(AEE)05,645+5,64506380.10%+638
ENTERGY CORP NEW(ETR)05,542+5,54206370.10%+637
KINDER MORGAN INC DEL(KMI)019,881+19,88106360.10%+636
DUKE ENERGY CORP NEW(DUK)04,948+4,94806260.09%+626
NISOURCE INC(NI)013,070+13,07006210.09%+621
ALPHABET INC(GOOG)05,488+5,48801,9610.29%+1,961
GILEAD SCIENCES INC(GILD)04,862+4,86206140.09%+614
CBOE GLOBAL MKTS INC(CBOE)02,523+2,52306120.09%+612
TXNM ENERGY INC(TXNM)010,699+10,69906070.09%+607
UNITED THERAPEUTICS CORP DEL(UTHR)01,114+1,11406040.09%+604
GOLAR LNG LTD
SHS
011,996+11,99605980.09%+598
PPL CORP(PPL)016,213+16,21305890.09%+589
WALMART INC(WMT)05,189+5,18905880.09%+588
UGI CORP NEW(UGI)016,992+16,99205870.09%+587
ATMOS ENERGY CORP(ATO)03,395+3,39505850.09%+585
MUELLER INDS INC(MLI)04,657+4,65705720.09%+572
NEW YORK TIMES CO MTN BE(NYT)07,890+7,89005520.08%+552
NATIONAL FUEL GAS CO(NFG)07,105+7,10505490.08%+549
SPIRE INC(SR)06,963+6,96305440.08%+544
CORNING INC(GLW)3,2353,803+5684409710.15%+532
TELEPHONE & DATA SYS INC(TDS)014,111+14,11105220.08%+522
FOX CORP(FOX)09,967+9,96705200.08%+520
HEICO CORP NEW01,979+1,97905100.08%+510
CARPENTER TECHNOLOGY CORP(CRS)1,0881,514+4264299340.14%+505
AT&T INC(T)024,099+24,09904990.07%+499
VICOR CORP(VICR)2,3742,253-1213828560.13%+473
VSE CORP(VSEC)1,9833,562+1,5793668140.12%+448
MASTERCARD INCORPORATED(MA)0868+86804460.07%+446
ADVANCED MICRO DEVICES INC(AMD)1,3291,227-1022707130.11%+442
ROIVANT SCIENCES LTD(ROIV)14,36023,548+9,1883988330.13%+436
ISHARES TR09,611+9,61101,3890.21%+1,389
APPLIED MATLS INC1,4721,275-1975039220.14%+419
WESTERN DIGITAL CORP(WDC)1,6691,352-3174518640.13%+412
AXSOME THERAPEUTICS INC.(AXSM)03,413+3,41308350.13%+835
MIRUM PHARMACEUTICALS INC(MIRM)4,6947,014+2,3204348210.12%+387
VISA INC(V)03,664+3,66401,2570.19%+1,257
VIKING HOLDINGS LTD(VIK)5,8747,789+1,9154328150.12%+384
AXT INC(AXTI)05,239+5,23903780.06%+378
SEAGATE TECHNOLOGY HLDNGS PL
ORD SHS
1,192852-3404678220.12%+355
COHERENT CORP(COHR)1,6921,865+1734037360.11%+333
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