Fund HoldingsCornerstone Advisors, LLC

Total Portfolio Value
$2.72B
Total Bought
$597.15M
Total Sold
$725.50M
Net Transaction
-$128.35M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
SELECT SECTOR SPDR TR
ST STR ENERG ETF
1,429,6521,776,143+346,49163,920108,8074.00%+44,887
WELLTOWER INC(WELL)0120,083+120,083023,7420.87%+23,742
CME GROUP INC(CME)078,438+78,438023,1670.85%+23,167
JOHNSON & JOHNSON(JNJ)103,892181,797+77,90521,50044,4381.63%+22,938
INVESCO EXCH TRADED FD TR II360,669665,269+304,60030,40152,6361.94%+22,235
AMPHENOL CORP0145,885+145,885018,4330.68%+18,433
VANECK ETF TRUST
SEMICONDUCTR ETF
138,925177,495+38,57050,03168,0522.50%+18,021
GE VERNOVA INC(GEV)15,76531,533+15,76810,30427,5251.01%+17,222
WASTE CONNECTIONS INC(WCN)15,829105,970+90,1412,77617,2140.63%+14,438
SELECT SECTOR SPDR TR
ST STR UTIL ETF
1,104,9621,335,910+230,94847,17161,3052.26%+14,134
T-MOBILE US INC(TMUS)091,942+91,942019,3110.71%+19,311
DOLLAR GEN CORP(DG)0102,309+102,309012,1470.45%+12,147
OREILLY AUTOMOTIVE INC(ORLY)0201,861+201,861018,6340.69%+18,634
ECOLAB INC(ECL)18,51159,933+41,4224,86015,9430.59%+11,084
PHILIP MORRIS INTL INC(PM)114,500176,843+62,34318,36629,2391.08%+10,873
COSTCO WHOLESALE CORPORATION(COST)32,70039,204+6,50428,19939,0641.44%+10,866
ADVANCED MICRO DEVICES INC(AMD)065,712+65,712013,3680.49%+13,368
SHERWIN WILLIAMS CO(SHW)041,478+41,478013,2960.49%+13,296
GE AEROSPACE(GE)52,40093,368+40,96816,14126,4950.97%+10,354
FERRARI N V
COM
7,30538,226+30,9212,70012,9380.48%+10,238
AMETEK INC047,116+47,116010,1000.37%+10,100
ISHARES TR89,020148,027+59,00715,02424,9940.92%+9,970
LABCORP HOLDINGS INC(LH)28,70164,071+35,3707,20117,0950.63%+9,894
MERCADOLIBRE INC(MELI)1,2806,990+5,7102,57812,0860.44%+9,508
GALLAGHER ARTHUR J & CO(AJG)22,26469,034+46,7705,76214,9510.55%+9,190
WABTEC(WAB)036,535+36,53509,1300.34%+9,130
CINTAS CORP(CTAS)049,975+49,97508,4530.31%+8,453
PROCTER & GAMBLE CO(PG)0210,278+210,278030,3731.12%+30,373
SEAGATE TECHNOLOGY HLDNGS PL
ORD SHS
020,622+20,62208,0790.30%+8,079
NETFLIX INC.(NFLX)0334,475+334,475032,1601.18%+32,160
LINDE PLC(LIN)39,62949,806+10,17716,89724,6920.91%+7,794
AMERICAN EXPRESS CO(AXP)36,20067,094+30,89413,39220,2950.75%+6,902
TRADEWEB MKTS INC(TW)37,71592,395+54,6804,05610,8710.40%+6,815
HEALTHEQUITY INC(HQY)072,024+72,02406,0190.22%+6,019
DIGITAL RLTY TR INC(DLR)83,250104,203+20,95312,88018,7780.69%+5,899
GUIDEWIRE SOFTWARE INC(GWRE)038,028+38,02805,6870.21%+5,687
RB GLOBAL INC(RBA)056,562+56,56205,4210.20%+5,421
MICRON TECHNOLOGY INC(MU)54,58262,034+7,45215,57820,9580.77%+5,379
BOSTON SCIENTIFIC CORP(BSX)103,236239,655+136,4199,84415,0380.55%+5,195
WALMART INC(WMT)346,397351,466+5,06938,59243,6801.61%+5,088
PROGRESSIVE CORP(PGR)71,168106,066+34,89816,20621,0270.77%+4,820
EATON CORP PLC(ETN)049,659+49,659017,7620.65%+17,762
UNION PAC CORP(UNP)71,72586,115+14,39016,59120,8930.77%+4,302
SPOTIFY TECHNOLOGY S A(SPOT)8,72819,323+10,5955,0689,3700.34%+4,301
MONSTER BEVERAGE CORP NEW(MNST)188,570257,615+69,04514,45818,6670.69%+4,209
CARVANA CO(CVNA)012,955+12,95504,0730.15%+4,073
VULCAN MATLS CO(VMC)29,65144,566+14,9158,45712,1350.45%+3,678
HILTON WORLDWIDE HLDGS INC(HLT)51,07059,924+8,85414,67018,2220.67%+3,552
INTUITIVE SURGICAL INC26,80040,613+13,81315,17818,7220.69%+3,544
META PLATFORMS INC(META)0110,643+110,643063,3022.33%+63,302
IDEXX LABS INC(IDXX)14,17022,787+8,6179,58612,8040.47%+3,217
KLA CORP(KLAC)12,31412,314014,96218,1310.67%+3,169
SHOPIFY INC(SHOP)31,58067,520+35,9405,0838,0090.29%+2,926
ROBINHOOD MKTS INC(HOOD)77,932169,139+91,2078,81411,7210.43%+2,907
HENRY JACK & ASSOC INC(JKHY)62,95891,081+28,12311,48914,3940.53%+2,906
LIVE NATION ENTERTAINMENT IN(LYV)58,56072,626+14,0668,34511,0760.41%+2,731
ELEVANCE HEALTH INC FORMERLY(ELV)26,60041,093+14,4939,32512,0300.44%+2,705
OLD DOMINION FREIGHT LINE IN(ODFL)53,06253,06208,32010,3680.38%+2,048
TKO GROUP HOLDINGS INC(TKO)47,74259,607+11,8659,97812,0200.44%+2,042
DEERE & CO(DE)37,10033,886-3,21417,27319,0880.70%+1,815
TYLER TECHNOLOGIES INC(TYL)16,54125,604+9,0637,5098,7660.32%+1,258
INTERACTIVE BROKERS GROUP IN(IBKR)202,024202,024012,99213,5500.50%+558
GABELLI GLOBAL SMALL & MID C820-8210-1
MCKESSON CORP(MCK)23,07621,751-1,32518,92918,8220.69%-107
EMERSON ELEC CO(EMR)84,60084,600011,22811,0840.41%-144
SOURCE CAPITAL000000
TAIWAN SEMICONDUCTOR MANUFAC(TSM)49,37243,760-5,61215,00414,7890.54%-215
MONOLITHIC PWR SYS INC(MPWR)14,69211,907-2,78513,31613,0190.48%-298
APPLOVIN CORP(APP)11,69418,618+6,9247,8807,4100.27%-470
CADENCE DESIGN SYSTEM INC(CDNS)39,97643,146+3,17012,49611,9890.44%-507
NUVEEN S&P 500 BUY-WRITE INC000000
ROYCE GLOBAL TRUST INC000000
PROLOGIS INC.(PLD)140,600130,777-9,82317,94917,2860.64%-663
GAMCO GLOBAL GOLD NAT RES &000000
EATON VANCE TAX-MANAGED BUY-(ETV)000000
GDL FD000000
NEUBERGER REAL ESTATE
COM
000000
S&P GLOBAL INC(SPGI)37,90043,830+5,93019,80618,6430.69%-1,164
INTUIT(INTU)23,27232,780+9,50815,41614,1730.52%-1,242
HOME DEPOT INC(HD)075,548+75,548024,8470.91%+24,847
COLUMBIA SELIGM PREM TECH GR(STK)000000
LMP CAP & INCOME FD INC
COM
000000
ROLLINS INC(ROL)226,610226,610013,60112,1030.45%-1,498
VEEVA SYS INC(VEEV)42,71744,355+1,6389,5367,7910.29%-1,744
FIRST TR ENHANCED EQUITY INC000000
NUVEEN CORE EQUITY ALPHA FD000000
REPLIGEN CORP(RGEN)56,69056,69009,2896,6790.25%-2,610
AXON ENTERPRISE INC(AXON)18,68218,682010,6107,9340.29%-2,676
REGENERON PHARMACEUTICALS(REGN)000000
VIRTUS EQUITY & CONV INCM FD
COM
000000
NUVEEN DOW 30 DYNMC OVERWRT000000
LIBERTY ALL-STAR GROWTH FD I000000
ARISTA NETWORKS INC(ANET)156,465141,739-14,72620,50217,4030.64%-3,099
JPMORGAN CHASE & CO(JPM)172,200177,996+5,79655,48652,3591.93%-3,127
UNITED RENTALS INC(URI)9,5306,262-3,2687,7134,5620.17%-3,151
CSX CORP(CSX)000000
ELI LILLY & CO(LLY)53,50059,050+5,55057,49554,3122.00%-3,183
INTERCONTINENTAL EXCHANGE IN(ICE)000000
UBER TECHNOLOGIES INC(UBER)000000
LAM RESEARCH CORP(LRCX)20,0000-20,0003,4240-3,424
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