Fund HoldingsDrystone LLC

Total Portfolio Value
$121.62M
Total Bought
$2.87M
Total Sold
$9.90M
Net Transaction
-$7.03M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
Rockwell Automation(ROK)24,45923,216-1,2438,77811,4949.45%+2,716
Texas Instruments(TXN)31,96828,460-3,5086,2068,4836.97%+2,277
Vanguard Total International Stock ETF248,107244,750-3,35719,13220,92417.20%+1,792
Trane(TT)34,17332,433-1,74014,24115,93013.10%+1,689
Expeditors Int'l.(EXPD)53,35353,706+3537,6428,7537.20%+1,111
Ritchie Global(RBA)33,80033,000-8003,2403,8433.16%+603
Vanguard U.S. REIT ETF81,28079,918-1,3627,2097,7066.34%+497
Kenvue(KVUE)242,705243,012+3074,1844,6443.82%+460
Berkshire Hathaway B14,73014,73007,0597,3716.06%+312
Johnson & Johnson(JNJ)22,11822,123+55,4065,6194.62%+212
Vanguard Total World Stock ETF9,6099,328-2811,3291,4641.20%+135
Mettler-Toledo(MTD)3,0993,09903,9083,9593.26%+51
Microsoft(MSFT)16,60116,602+16,1456,1935.09%+48
Fastenal(FAST)10,00010,00004644800.39%+16
Apple(AAPL)9898025280.02%+3
Hilton(HLT)28,93126,031-2,9008,7978,6027.07%-195
Adobe(ADBE)10,37010,420+502,5212,1361.76%-384
Pfizer(PFE)165,654165,789+1354,6523,9923.28%-659
Page 1 of 1