Fund HoldingsHAGER INVESTMENT MANAGEMENT SERVICES, LLC

Total Portfolio Value
$217.41M
Total Bought
$22.69M
Total Sold
$25.60M
Net Transaction
-$2.91M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
KLA CORP COM NEW(KLAC)013,361+13,36104,0311.85%+4,031
MARVELL TECHNOLOGY INC COM(MRVL)17,73117,621-1101,7565,2492.41%+3,493
MICRON TECHNOLOGY INC COM(MU)3,2273,569+3421,0904,1201.89%+3,029
BROADCOM INC COM(AVGO)028,026+28,026010,5874.87%+10,587
BIOGEN INC COM(BIIB)07,381+7,38101,5950.73%+1,595
CORNING INC COM(GLW)31,44022,432-9,0084,2755,7302.64%+1,455
ADVANCED MICRO DEVICES INC COM(AMD)07,513+7,51304,3642.01%+4,364
BANK NOVA SCOTIA B C COM11,27524,310+13,0357812,1110.97%+1,330
DELL TECHNOLOGIES INC CL C(DELL)16,8789,217-7,6612,7703,9771.83%+1,207
CVS HEALTH CORP COM(CVS)011,571+11,57101,1970.55%+1,197
ALPHABET INC CAP STK CL A(GOOG)024,361+24,36108,7064.00%+8,706
NVIDIA CORPORATION COM(NVDA)045,607+45,60709,1264.20%+9,126
APPLE INC COM(AAPL)033,727+33,72709,7594.49%+9,759
AMPHENOL CORP CL A022,947+22,94704,0461.86%+4,046
META PLATFORMS INC CL A(META)08,585+8,58504,8362.22%+4,836
CATERPILLAR INC COM(CAT)4,2633,742-5213,0203,9851.83%+965
ELI LILLY & CO COM(LLY)04,593+4,59305,5092.53%+5,509
MICROSOFT CORP COM(MSFT)017,677+17,67706,5943.03%+6,594
BUNGE GLOBAL SA COM SHS(BG)7,19715,733+8,5369151,6790.77%+764
CISCO SYS INC COM(CSCO)035,707+35,70704,1941.93%+4,194
STARBUCKS CORP COM(SBUX)07,543+7,54307710.35%+771
TAIWAN SEMICONDUCTOR MANUFACT SPONSORED ADS(TSM)10,8309,136-1,6943,6604,3632.01%+703
TOLL BROTHERS INC COM(TOL)18,39519,163+7682,5103,1571.45%+647
ROCKWELL AUTOMATION INC COM(ROK)4,0304,218+1881,4462,0880.96%+642
HOME DEPOT INC COM(HD)9,75710,621+8643,2093,7461.72%+537
EXXONMOBIL HOLDINGS CORP COM SHS03,805+3,80505200.24%+520
CITIZENS FINL GROUP INC COM(CFG)36,46938,224+1,7552,1872,6781.23%+491
AMAZON COM INC COM(AMZN)018,976+18,97604,5232.08%+4,523
APPLIED MATLS INC COM0600+60004340.20%+434
CURTISS WRIGHT CORP COM(CW)185651+4661264930.23%+367
QUANTA SVCS INC COM4,2313,713-5182,3232,6741.23%+351
TRANE TECHNOLOGIES PLC SHS(TT)2,1032,444+3418761,2000.55%+324
AMERICAN EXPRESS CO COM(AXP)05,953+5,95302,0140.93%+2,014
INVESCO SOLAR ETF
SOLAR ETF
8,77913,044+4,2654897720.35%+282
JPMORGAN CHASE & CO COM(JPM)011,515+11,51503,7691.73%+3,769
EVERCORE INC CLASS A(EVR)07,544+7,54402,5761.18%+2,576
PROLOGIS INC. COM(PLD)3,3154,922+1,6074386670.31%+229
GE VERNOVA INC COM(GEV)1,9801,659-3211,7281,9490.90%+221
NORTHWESTERN ENERGY GROUP INC COM NEW(NWE)19,21720,675+1,4581,2671,4810.68%+214
NETFLIX INC. COM(NFLX)40,92557,948+17,0233,9354,1371.90%+203
TJX COS INC NEW COM(TJX)15,68617,728+2,0422,5052,6861.24%+181
ALPHABET INC CAP STK CL C(GOOG)02,659+2,65909400.43%+940
BANK OF AMER CORP COM018,069+18,06901,0300.47%+1,030
EMCOR GROUP INC COM(EME)3,5993,408-1912,6572,8281.30%+171
ALBEMARLE CORP COM(ALB)9962,564+1,5681793460.16%+167
TESLA INC COM(TSLA)02,803+2,80301,1790.54%+1,179
REALTY INCOME CORP COM(O)18,65421,009+2,3551,1411,3020.60%+160
VISA INC COM CL A(V)04,035+4,03501,3840.64%+1,384
MERCK & CO INC COM(MRK)14,66314,795+1321,7641,9010.87%+137
VANGUARD HEALTH CARE ETF
HEALTH CAR ETF
0418+41801250.06%+125
LAM RESEARCH CORP COM NEW(LRCX)55055001182380.11%+121
VANGUARD TOTAL STOCK MARKET ETF02,148+2,14807950.37%+795
WHEATON PRECIOUS METALS CORP COM(WPM)1,9293,064+1,1352533440.16%+91
NUCOR CORP COM(NUE)04,875+4,87501,0860.50%+1,086
OMEGA HEALTHCARE INVS INC COM(OHI)042,112+42,11202,0080.92%+2,008
RTX CORPORATION COM(RTX)8,7779,370+5931,6931,7780.82%+85
ABBVIE INC COM(ABBV)05,407+5,40701,3610.63%+1,361
AMGEN INC COM(AMGN)3,3683,476+1081,1851,2590.58%+74
UNITEDHEALTH GROUP INC COM(UNH)0368+36801530.07%+153
INTEL CORP COM(INTC)0600+6000840.04%+84
INVESCO QQQ TRUST SERIES I0388+38802860.13%+286
INVESCO S&P 500 QUALITY ETF
S&P500 QUALITY
03,742+3,74203370.16%+337
SCHWAB CHARLES CORP COM(SCHW)030,840+30,84002,8461.31%+2,846
STATE STREET SPDR S&P 500 ETF(SPY)0528+52803940.18%+394
ISHARES RUSSELL 1000 GROWTH ETF03,051+3,05103790.17%+379
VANGUARD S&P 500 ETF0549+54903770.17%+377
VERTEX PHARMACEUTICALS INC COM(VRTX)04,669+4,66902,3191.07%+2,319
REDDIT INC CL A(RDDT)0280+2800490.02%+49
UNION PAC CORP COM(UNP)1,4461,44603513930.18%+42
JOHNSON & JOHNSON COM(JNJ)1,7841,877+934364770.22%+41
ASML HLDG NV N Y REGISTRY SHS
N Y REGISTRY SHS
027+270540.02%+54
CENTRAL SECS CORP COM(CET)0761+7610400.02%+40
ADAMS DIVERSIFIED EQUITY FD COM01,445+1,4450370.02%+37
ROYCE SMALL CAP TRUST INC COM(RVT)01,944+1,9440360.02%+36
PRUDENTIAL FINL INC COM(PFH)03,554+3,55403840.18%+384
PNC FINL SVCS GROUP INC COM(PNC)01,544+1,54403800.17%+380
VIKING HOLDINGS LTD ORD SHS(VIK)0277+2770290.01%+29
FLEX LTD ORD(FLEX)242273+3116440.02%+28
HONEYWELL INTL INC COM0125+1250280.01%+28
HONEYWELL AEROSPACE INC COM0125+1250280.01%+28
MICROCHIP TECHNOLOGY INC. COM(MCHP)0300+3000270.01%+27
SCHWAB U.S. BROAD MARKET ETF0938+9380270.01%+27
BAR HBR BANKSHARES COM4,9254,92501601860.09%+26
CUMMINS INC COM(CMI)0172+17201230.06%+123
QUEST DIAGNOSTICS INC COM(DGX)01,600+1,60003390.16%+339
STATE STR CORP COM(STT)0570+5700970.04%+97
METLIFE INC COM(MET)01,757+1,75701490.07%+149
DICKS SPORTING GOODS INC COM(DKS)01,269+1,26902880.13%+288
SAP SE SPON ADR(SAP)0152+1520230.01%+23
KIMBERLY-CLARK CORP COM(KMB)01,596+1,59601750.08%+175
DEFIANCE QUANTUM ETF
DEFIA QUANT ETF
0155+1550260.01%+26
FLEX LNG LTD SHS(FLNG)0736+7360210.01%+21
TRAVELERS COMPANIES INC COM(TRV)0500+50001650.08%+165
RELAY THERAPEUTICS INC COM(RLAY)02,178+2,1780410.02%+41
DIGITAL RLTY TR INC COM(DLR)0100+1000180.01%+18
ANHEUSER BUSCH INBEV SA NV SPONSORED ADR(BUD)0209+2090170.01%+17
GOLDMAN SACHS GROUP INC COM(GS)090+900910.04%+91
DUPONT DE NEMOURS INC COMMON STOCK0119+1190160.01%+16
GE AEROSPACE COM NEW(GE)0178+1780670.03%+67
GLOBUS MED INC CL A(GMED)0190+1900150.01%+15
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