Fund HoldingsAzimuth Capital Investment Management LLC

Total Portfolio Value
$2.66B
Total Bought
$299.40M
Total Sold
$428.91M
Net Transaction
-$129.50M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
GE Vernova Inc(GEV)022,956+22,956020,0380.75%+20,038
Generac Hldgs Inc(GNRC)082,924+82,924016,1980.61%+16,198
SLB Ltd(SLB)290,273531,948+241,67511,14127,3371.03%+16,196
Chevron Corp(CVX)103,756150,297+46,54115,81331,0961.17%+15,283
Airbnb Inc Cl A0126,196+126,196015,9360.60%+15,936
PepsiCo Inc(PEP)201,961275,069+73,10828,98542,7151.61%+13,730
Murata Manufacturing Co01,256,588+1,256,588013,4630.51%+13,463
Hershey Co(HSY)146,663179,858+33,19526,69037,3911.41%+10,701
Thermo Fisher Scientific Inc(TMO)3,28323,984+20,7011,90211,7890.44%+9,887
Yum! Brands Inc(YUM)0143,968+143,968022,3840.84%+22,384
Exxon Mobil Corp218,765211,183-7,58226,32635,8291.35%+9,503
Marsh & McLennan Companies Inc(MRSH)051,757+51,75708,9770.34%+8,977
Edwards Lifesciences Corp115,153223,417+108,2649,81717,8910.67%+8,074
Gildan Activewear Inc(GIL)202,755369,258+166,50312,66420,5490.77%+7,885
Advanced Drain Sys Inc(WMS)051,339+51,33907,0400.26%+7,040
Marvell Technology Inc(MRVL)193,137232,738+39,60116,41323,0530.87%+6,640
Monolithic Power Systems Inc(MPWR)36,21036,073-13732,81939,4401.48%+6,621
Corpay Inc(CPAY)052,192+52,192015,1870.57%+15,187
Verizon Communications Inc0278,904+278,904014,0010.53%+14,001
Lockheed Martin Corp(LMT)016,817+16,817010,1640.38%+10,164
ASML Holding NV ADR
N Y REGISTRY SHS
011,424+11,424015,0890.57%+15,089
Viper Energy Inc(VNOM)89,465164,914+75,4493,4567,7490.29%+4,293
Anheuser-Busch Inbev ADR73,030127,902+54,8724,6778,8730.33%+4,196
CVS Health Corp(CVS)51,236108,384+57,1484,0667,7840.29%+3,718
Ross Stores Inc(ROST)68,97170,037+1,06612,42415,1720.57%+2,748
Johnson & Johnson(JNJ)91,39388,108-3,28518,91421,5370.81%+2,623
Clorox Co(CLX)064,173+64,17306,6500.25%+6,650
Medtronic PLC67,802103,722+35,9206,5138,9880.34%+2,474
Fastenal Co(FAST)0430,829+430,829019,9900.75%+19,990
Apple Inc(AAPL)415,934454,841+38,907113,076115,4344.34%+2,358
WEC Energy Group Inc0225,562+225,562026,1130.98%+26,113
Nokia Corp ADR(NOK)1,521,9401,475,220-46,7209,84711,8610.45%+2,014
Gilead Sciences Inc(GILD)94,59696,471+1,87511,61113,4450.51%+1,834
Canadian National Railway Co(CNI)32,76949,279+16,5103,2395,0640.19%+1,825
Pfizer Inc(PFE)380,959401,847+20,8889,48611,2840.42%+1,798
Costco Wholesale Corp022,827+22,827022,7460.86%+22,746
Johnson Controls Int'l121,294124,484+3,19014,52516,3010.61%+1,776
Iron Mountain Inc075,235+75,23507,6850.29%+7,685
Merck & Co Inc(MRK)135,818132,533-3,28514,29615,9420.60%+1,646
Texas Instruments Inc(TXN)059,893+59,893011,6280.44%+11,628
Weyerhaeuser Co(WY)0280,715+280,71506,8580.26%+6,858
Fifth Third Bancorp(FITB)032,338+32,33801,5020.06%+1,502
Cummins Inc(CMI)25,71927,173+1,45413,12814,6200.55%+1,491
Linde PLC(LIN)027,900+27,900013,8320.52%+13,832
Caterpillar Inc(CAT)10,24010,195-455,8667,2230.27%+1,357
Kinder Morgan Inc0186,010+186,01006,2370.23%+6,237
Walmart Inc(WMT)230,977216,183-14,79425,73326,8671.01%+1,134
Southern Co(SO)0107,218+107,218010,3490.39%+10,349
iShares MSCI Emerging Markets313,056320,528+7,47217,12718,2030.68%+1,075
Coca-Cola Co(KO)156,051156,031-2010,91011,8660.45%+957
CME Group Inc(CME)29,77130,736+9658,1309,0780.34%+948
Bristol-Myers Squibb Co(BMY)117,767120,157+2,3906,3527,2880.27%+935
iShares MSCI Japan ETF125,145130,725+5,58010,10411,0380.42%+934
Shell PLC ADR(SHEL)058,620+58,62005,4520.21%+5,452
AstraZeneca PLC(AZN)116,47058,545-57,92510,70711,5460.43%+839
Xcel Energy Inc270,305261,445-8,86019,96520,7690.78%+804
Spire Inc83,91485,504+1,5906,9407,7420.29%+802
Starbucks Corp(SBUX)0116,966+116,966010,4790.39%+10,479
BP PLC ADR(BP)062,406+62,40602,9330.11%+2,933
Welltower Inc043,552+43,55208,6110.32%+8,611
AT&T Inc(T)0172,955+172,95505,0140.19%+5,014
Chubb Ltd50,59150,410-18115,79016,4300.62%+640
Target Corp(TGT)26,02626,252+2262,5443,1820.12%+638
Union Pacific Corp(UNP)044,585+44,585010,8170.41%+10,817
Mondelez International Inc(MDLZ)0184,100+184,100010,6120.40%+10,612
Techtronic Industries Co Ltd A080,380+80,38005,2340.20%+5,234
Air Products & Chemicals Inc012,742+12,74203,7010.14%+3,701
Dominion Energy Inc74,99179,700+4,7094,3944,9270.19%+533
Realty Income Corp(O)061,563+61,56303,7660.14%+3,766
Applied Materials Inc8,2687,664-6042,1252,6190.10%+495
Amgen Inc(AMGN)18,14318,265+1225,9386,4270.24%+488
ConocoPhillips(COP)012,796+12,79601,6890.06%+1,689
Wal-Mart de Mexico SAB de CV A0152,150+152,15004,9280.19%+4,928
Corning Inc(GLW)07,950+7,95001,0810.04%+1,081
LyondellBasell Industries NV04,450+4,45003580.01%+358
PNC Financial Services Group I(PNC)61,98163,867+1,88612,93713,2900.50%+353
Public Storage REIT(PSA)012,547+12,54703,3990.13%+3,399
Invesco S&P 500 Eq Wt ETF30,22531,809+1,5845,7906,1050.23%+315
NextEra Energy Inc025,223+25,22302,3430.09%+2,343
Deere & Co(DE)03,536+3,53601,9920.07%+1,992
FedEx Corp2,7803,130+3508031,1150.04%+312
Vanguard Total Bond Market ETF138,000143,000+5,00010,22210,5310.40%+309
Nordson Corp(NDSN)11,87811,883+52,8563,1620.12%+306
General Dynamics Corp(GD)050,922+50,922017,4770.66%+17,477
Honeywell International Inc(HON)011,452+11,45202,5880.10%+2,588
Neogen Corp(NEOG)090,200+90,20008380.03%+838
APA Corp07,000+7,00002970.01%+297
iShares Gold Trust(IAU)27,52428,649+1,1252,2342,5260.10%+292
Procter & Gamble Co(PG)072,638+72,638010,4920.39%+10,492
Colgate-Palmolive Co(CL)046,640+46,64003,9750.15%+3,975
Pinnacle West Capital Corp(PNW)024,275+24,27502,4460.09%+2,446
SPDR Gold Shares03,380+3,38001,4540.05%+1,454
Valero Energy Corp03,000+3,00007410.03%+741
Phillips 66(PSX)01,366+1,36602490.01%+249
Marathon Petroleum Corp(MPC)03,164+3,16407730.03%+773
Tyson Foods Inc(TSN)03,200+3,20002050.01%+205
iShares S&P Smallcap 60011,79513,045+1,2501,4181,6220.06%+204
iShares S&P Midcap 400 Growth02,024+2,02402040.01%+204
Vanguard Total Intl Stk ETF072,157+72,15705,5640.21%+5,564
iShares S&P 500 Value ETF06,190+6,19001,3070.05%+1,307
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