Fund HoldingsBARTLETT & CO. WEALTH MANAGEMENT LLC

Total Portfolio Value
$7.99B
Total Bought
$502.59M
Total Sold
$305.57M
Net Transaction
+$197.01M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
Palo Alto Networks Inc(PANW)350,887377,013+26,12664,760128,5691.61%+63,809
Amphenol Corp Class A0228,939+228,939040,4170.51%+40,417
Asml Holding NV
N Y REGISTRY SHS
61,46261,520+5885,199122,3911.53%+37,191
Broadcom Inc(AVGO)110,048199,217+89,16945,83575,2540.94%+29,419
Apple Inc(AAPL)01,651,943+1,651,9430478,0075.98%+478,007
JPMorgan Chase & Co(JPM)0739,408+739,4080242,0293.03%+242,029
iShares Core S&P Mid Cap ETF1,084,2421,205,401+121,15978,44592,9481.16%+14,503
Berkshire Hathaway Class B0391,026+391,0260195,6662.45%+195,666
Amgen Inc.(AMGN)0326,887+326,8870118,3731.48%+118,373
Vanguard S&P 500 ETF358,971361,789+2,818236,966248,4833.11%+11,517
iShares Core MSCI EAFE ETF
CORE MSCI EAFE
1,817,3091,886,270+68,961171,100182,1762.28%+11,076
Deere & Co(DE)202,775201,866-909117,600128,3621.61%+10,762
iShares Core S&P Small Cap ETF603,244620,196+16,95282,14491,9811.15%+9,837
Johnson & Johnson(JNJ)231,580232,434+85451,92059,0310.74%+7,111
Unitedhealth GRP Inc(UNH)0163,859+163,859068,1050.85%+68,105
Linde PLC(LIN)241,047240,956-91118,969125,0421.56%+6,073
iShares Core MSCI Emerging ETF
CORE MSCI EMKT
709,800745,800+36,00055,77661,7820.77%+6,006
Lilly Eli & Co(LLY)025,471+25,471030,5510.38%+30,551
Labcorp Holdings Inc(LH)0204,579+204,579057,2820.72%+57,282
Nvidia Corp(NVDA)1,190,0511,208,102+18,051236,202241,7303.02%+5,528
iShares Core 1 5 Year Usd Bond ETF
CORE 1 5 YR USD
741,304852,449+111,14535,87541,1310.51%+5,256
Abbvie Inc(ABBV)0116,898+116,898029,4160.37%+29,416
Micron Technology(MU)8,9348,871-635,15010,2400.13%+5,090
JPMorgan U.S. Quality Factor ETF
US QUALTY FCTR
479,264494,295+15,03131,85235,7280.45%+3,876
Technology Select Sector SPDR ETF
ST STR TECHN ETF
100,781105,637+4,85616,33220,1260.25%+3,794
Cincinnati Finl(CINF)0133,410+133,410024,8250.31%+24,825
Intel Corp(INTC)75,10075,711+6117,19310,5720.13%+3,378
Berkshire Hathaway Class A070+70052,4200.66%+52,420
Illinois Tool Works(ITW)0191,148+191,148051,9750.65%+51,975
Advanced Micro(AMD)12,22912,346+1174,1777,1720.09%+2,995
SPDR Intermediate Term Corp Bond ETF
ST INTER BD ETF
847,751937,863+90,11228,40831,3810.39%+2,973
SPDR S&P Midcap 400 ETF(MDY)63,09263,175+8341,66144,5400.56%+2,879
Chubb LTD F
COM
228,438225,744-2,69474,27077,1070.96%+2,837
Eaton Corp PLC F(ETN)266,845271,017+4,172112,726115,4861.44%+2,759
Mastercard Inc Class A(MA)0340,541+340,5410174,9022.19%+174,902
Raytheon Technologies Co(RTX)0134,302+134,302025,4810.32%+25,481
Vanguard Intermediate Term Bond ETF245,466276,174+30,70818,80021,1830.27%+2,382
Rockwell Automation(ROK)023,746+23,746011,7560.15%+11,756
Vanguard Total Stock Market ETF160,191159,072-1,11956,70458,8630.74%+2,159
Fedex Freight Holding Co-W/I014,250+14,25002,1520.03%+2,152
IBM Corp(IBM)026,333+26,33307,4050.09%+7,405
iShares Russell Mid Cap ETF201,571208,491+6,92020,96523,0010.29%+2,035
Merck & Co. Inc.(MRK)0117,498+117,498015,1970.19%+15,197
Applied Materials4,1144,857+7431,6103,5120.04%+1,901
US Bancorp(USB)0359,409+359,409021,8740.27%+21,874
American Express Co(AXP)0101,386+101,386034,2940.43%+34,294
Procter & Gamble(PG)01,042,217+1,042,2170152,8311.91%+152,831
Cisco Systems Inc(CSCO)69,78770,356+5696,4648,2640.10%+1,800
Honeywell Intl Inc Com New07,888+7,88801,7660.02%+1,766
Honeywell Aerospace Inc. CMN07,977+7,97701,7630.02%+1,763
Auto Data Processing098,912+98,912022,3170.28%+22,317
iShares US Technology ETF41,96642,796+8309,27610,7940.14%+1,519
First Comwlth Finl Corp(FCF)778,462778,462014,36315,8260.20%+1,464
GE Aerospace(GE)014,809+14,80905,5350.07%+5,535
O Reilly Automotive(ORLY)258,372278,422+20,05024,28225,6400.32%+1,358
SPDR S&P 500 ETF(SPY)37,91237,945+3327,22128,4070.36%+1,186
Caterpillar Inc(CAT)5,3985,555+1574,7305,9150.07%+1,185
Vanguard FTSE All World Ex US ETF268,687271,049+2,36221,52522,7000.28%+1,176
Cullen Frost Bankers(CFR)0116,594+116,594018,0160.23%+18,016
Tesla Inc(TSLA)035,437+35,437014,9050.19%+14,905
Vanguard Mortgage Backed Sec ETF
MTG-BKD SECS ETF
662,218681,746+19,52830,85331,9130.40%+1,060
Vanguard Information Technology ETF
INF TECH ETF
64,83265,722+8906,8047,8550.10%+1,051
Cardinal Health Inc(CAH)018,491+18,49104,3930.05%+4,393
Novartis AG F Sponsored ADR(NVS)83,27983,188-9112,04413,0370.16%+993
Canadian Pacific Kansas City LTD(CP)242,658243,908+1,25020,17221,1350.26%+962
Union Pacific Corp(UNP)113,155113,015-14029,80630,7400.38%+934
Lam Research Corp(LRCX)03,385+3,38501,4680.02%+1,468
Marathon Pete Corp(MPC)9,54812,947+3,3992,4113,3100.04%+899
iShares Russell 2000 ETF29,64730,406+7598,2389,1350.11%+897
Danaher Corp(DHR)054,367+54,367010,3660.13%+10,366
Schwab US Broad Market ETF725,195723,260-1,93520,10220,9460.26%+843
Kla Corp(KLAC)03,521+3,52101,0620.01%+1,062
Seagate Technology Holdings PB LTD Co
ORD SHS
3,5443,559+152,6173,4360.04%+819
iShares Russell Mid Cap Growth ETF0103,050+103,050015,0880.19%+15,088
iShares MSCI EAFE ETF177,019179,365+2,34617,82618,6320.23%+807
First TST Nasdaq Clean Ed Id ETF63,69675,238+11,5423,5824,3710.05%+789
Corning Inc(GLW)7,5027,730+2281,2001,9740.02%+774
Byline Bancorp Inc Com(BY)134,158134,15804,2985,0520.06%+754
Home Depot Inc(HD)032,316+32,316011,3980.14%+11,398
Vanguard Morningstar Small Cap ETF47,78747,096-69113,54214,2760.18%+733
Vanguard Small Cap Growth ETF32,10931,589-52010,85111,5520.14%+701
Vanguard Small Cap Value ETF060,849+60,849014,7860.18%+14,786
JPMorgan Ultra Short Income ETF
ULTRA SHRT ETF
073,552+73,55203,7200.05%+3,720
iShares Russell 1000 ETF37,75937,759014,81615,4620.19%+646
GE Vernova Inc Com(GEV)3,0593,336+2773,2853,9210.05%+636
Visa Inc Class A(V)025,624+25,62408,7910.11%+8,791
iShares Russell Mid Cap Value ETF074,326+74,326012,2340.15%+12,234
Flextronics Intl LTD Ord SHS(FLEX)08,443+8,44301,3680.02%+1,368
WW Grainger Inc(GWW)01,266+1,26601,7220.02%+1,722
Jabil Inc(JBL)4,9155,842+9271,6752,2520.03%+577
Nuveen Esg Small Cap ETF
NUVEEN ESG SMLCP
012,000+12,00006250.01%+625
iShares National Muni Bond ETF091,224+91,22409,8180.12%+9,818
Travelers Companies(TRV)036,959+36,959012,2010.15%+12,201
Communicat SVS SLCT Sec SPDR ETF
ST STR SVC ETF
019,858+19,85802,1270.03%+2,127
Emerson Electric Co(EMR)091,343+91,343013,0760.16%+13,076
Schwab International Equity ETF322,601323,420+8198,4628,9590.11%+497
Humana Inc(HUM)02,968+2,96801,1820.01%+1,182
Morgan Stanley(MS)022,802+22,80204,7670.06%+4,767
Vanguard Extended Market ETF23,50123,50105,3215,7860.07%+465
Marsh & MC Lennan Co(MRSH)013,076+13,07602,1790.03%+2,179
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