Fund HoldingsDavis Investment Partners, LLC

Total Portfolio Value
$283.09M
Total Bought
$28.75M
Total Sold
$33.19M
Net Transaction
-$4.45M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
ROYAL BK CDA(RY)023,525+23,52503,8061.34%+3,806
EXXON MOBIL CORP31,75431,712-423,8955,3801.90%+1,486
SELECT SECTOR SPDR TR
ST STR ENERG ETF
022,036+22,03601,3500.48%+1,350
FIRST TR EXCHANGE-TRADED FD4,70011,517+6,8179762,3130.82%+1,337
FIRST TR EXCHANGE-TRADED FD
ENERGY ALPHADX
058,397+58,39701,3120.46%+1,312
FIRST TR EXCHANGE TRADED FD
NASDAQ TRANSN
032,607+32,60701,2430.44%+1,243
PACER FDS TR
US CASH COWS 100
37,91055,238+17,3282,2913,4561.22%+1,164
NOVA LTD(NVMI)02,000+2,00008690.31%+869
NOVARTIS AG(NVS)05,658+5,65808640.31%+864
JOHNSON & JOHNSON(JNJ)30,24928,815-1,4346,2727,0432.49%+771
ENBRIDGE INC(ENB)014,072+14,07207620.27%+762
INVESCO EXCHANGE TRADED FD T
S&P500 EQL ENR
030,007+30,00703,2851.16%+3,285
MARVELL TECHNOLOGY INC(MRVL)07,409+7,40907340.26%+734
MEDTRONIC PLC(MDT)07,761+7,76106720.24%+672
UBER TECHNOLOGIES INC(UBER)09,058+9,05806520.23%+652
ANTERO RESOURCES CORP(AR)015,174+15,17406440.23%+644
ARCH CAP GROUP LTD
ORD
06,511+6,51106250.22%+625
LINDE PLC(LIN)01,150+1,15005700.20%+570
INTUIT(INTU)01,280+1,28005530.20%+553
IQVIA HLDGS INC(IQV)03,240+3,24005530.20%+553
FIRST TR EXCHANGE-TRADED FD063,386+63,38602,0090.71%+2,009
FIRST SOLAR INC(FSLR)02,484+2,48404900.17%+490
TENCENT MUSIC ENTMT GROUP(TME)051,870+51,87004810.17%+481
COMCAST CORP NEW(CCZ)048,635+48,63501,3960.49%+1,396
AERCAP HOLDINGS NV(AER)02,886+2,88603960.14%+396
EASTMAN CHEM CO(EMN)6,89810,922+4,0244448340.29%+390
GE VERNOVA INC(GEV)2,0272,002-251,3771,7480.62%+370
EOG RES INC(EOG)02,256+2,25603260.12%+326
PHILLIPS 66(PSX)05,381+5,38109800.35%+980
BLACKROCK MUNIYIELD QUALITY025,839+25,83902720.10%+272
DUKE ENERGY CORP NEW(DUK)019,067+19,06702,4970.88%+2,497
HUNTINGTON BANCSHARES INC(HBAN)016,349+16,34902560.09%+256
MARATHON PETE CORP(MPC)01,026+1,02602510.09%+251
ANALOG DEVICES INC(ADI)5,2255,22501,4301,6620.59%+232
US FOODS HLDG CORP(USFD)02,468+2,46802280.08%+228
COCA COLA CONS INC(COKE)5,4005,40008091,0350.37%+226
QUANTA SVCS INC2,0002,00008791,0980.39%+219
CORNING INC(GLW)4,7934,797+44356520.23%+218
ALIBABA GROUP HLDG LTD(BABA)01,728+1,72802170.08%+217
PRUDENTIAL FINL INC(PFH)02,186+2,18602140.08%+214
OLD DOMINION FREIGHT LINE IN(ODFL)01,089+1,08902130.08%+213
CONSTELLATION BRANDS INC(STZ)01,400+1,40002100.07%+210
VERIZON COMMUNICATIONS INC(VZ)013,306+13,30606680.24%+668
CENTERPOINT ENERGY INC(CNP)04,760+4,76002050.07%+205
CATERPILLAR INC(CAT)1,7701,771+11,0591,2550.44%+196
BRISTOL-MYERS SQUIBB CO(BMY)12,80414,110+1,3066848560.30%+171
CARMAX INC(KMX)012,328+12,32805130.18%+513
TARGET CORP(TGT)6,6266,753+1276668180.29%+153
ONEOK INC NEW(OKE)9,3179,342+256938440.30%+152
FIRST TR EXCHANGE TRADED FD
NASDQ SEMCNDTR
9,7219,893+1721,3221,4590.52%+137
SERIES PORTFOLIOS TR
ADAPTIV SELECT
7,80711,105+3,2983414680.17%+127
VANGUARD STAR FDS7,6549,168+1,5145867070.25%+121
BIOMARIN PHARMACEUTICAL INC(BMRN)8,03110,578+2,5474775980.21%+120
AMGEN INC(AMGN)4,6274,611-161,5161,6220.57%+106
CONSOLIDATED EDISON INC(ED)4,9125,224+3124915910.21%+100
ENTERPRISE PRODS PARTNERS L(EPD)16,00416,077+735156080.21%+94
ENTERGY CORP NEW(ETR)6,3946,104-2906006860.24%+86
CHEVRON CORPORATION(CVX)1,4531,462+92263030.11%+76
APPLIED MATLS INC01,024+1,02403500.12%+350
HONEYWELL INTL INC(HON)03,694+3,69408350.29%+835
WILLIAMS COS INC(WMB)06,207+6,20704520.16%+452
INVESCO EXCH TRADED FD TR II35,37135,379+81,8781,9490.69%+71
PVH CORPORATION(PVH)09,028+9,02806300.22%+630
SONOCO PRODS CO(SON)9,0548,519-5354024610.16%+59
HERSHEY CO(HSY)02,552+2,55205300.19%+530
NETFLIX INC.(NFLX)02,735+2,73502630.09%+263
ISHARES TR20,65020,65002,0322,0780.73%+46
ITRON INC(ITRI)05,953+5,95305340.19%+534
AMERICAN ELEC PWR CO INC4,5644,362-2025295720.20%+43
AT&T INC(T)09,156+9,15602650.09%+265
SPDR GOLD TR(GLD)2,4142,324-909611,0000.35%+39
CME GROUP INC(CME)1,2611,275+143403770.13%+37
GILEAD SCIENCES INC(GILD)4,4754,121-3545445740.20%+30
ABRDN PRECIOUS METALS BASKET2,6002,60005415690.20%+28
SOUTHERN CO(SO)02,922+2,92202820.10%+282
LOCKHEED MARTIN CORP(LMT)1,010869-1415025250.19%+23
PAYCOM SOFTWARE INC(PAYC)03,933+3,93304780.17%+478
NVIDIA CORPORATION(NVDA)1,8302,107+2773463670.13%+22
WW GRAINGER INC(GWW)25025002512730.10%+22
M & T BK CORP(MTB)1,0511,130+792152340.08%+19
RTX CORPORATION(RTX)2,6002,60004875020.18%+15
DOVER CORP(DOV)1,0801,08002112250.08%+14
LULULEMON ATHLETICA INC(LULU)2,0642,926+8624354480.16%+13
ISHARES TR84784702662780.10%+13
FIRST TR EXCHANGE TRADED FD
SMID RISNG ETF
14,58014,582+25655750.20%+10
NEUROCRINE BIOSCIENCES INC(NBIX)4,1304,459+3295815870.21%+7
META PLATFORMS INC(META)0399+39902280.08%+228
INVESCO VALUE MUN INCOME TR42,21343,006+7935215230.18%+2
VANGUARD INDEX FDS1,1451,148+32993010.11%+1
NUCOR CORP(NUE)02,066+2,06603490.12%+349
AFLAC INC(AFL)2,4002,40002652630.09%-1
HARTFORD INSURANCE GROUP INC(HIG)1,7001,70002332300.08%-3
ISHARES TR6,0006,00004524480.16%-4
INVESCO QUALITY MUN INCOME T40,78641,578+7924054000.14%-5
VANGUARD INDEX FDS1,3261,32604074010.14%-6
VANGUARD INDEX FDS1,3341,33402822750.10%-8
ISHARES TR65065002132040.07%-9
ISHARES TR04,800+4,80003780.13%+378
LOWES COS INC(LOW)95595502362260.08%-10
BANK OZK LITTLE ROCK ARK(OZK)013,392+13,39206150.22%+615
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