Fund HoldingsMCCARTER PRIVATE WEALTH SERVICES LLC

Total Portfolio Value
$230.00M
Total Bought
$28.27M
Total Sold
$18.86M
Net Transaction
+$9.42M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
NETFLIX INC.(NFLX)021,812+21,81202,0970.91%+2,097
NEXTERA ENERGY INC(NEE)7,77023,757+15,9876242,2070.96%+1,583
CHEVRON CORPORATION(CVX)21,73022,240+5103,3124,6012.00%+1,290
ELI LILLY & CO(LLY)5662,014+1,4486081,8520.81%+1,244
VERTIV HOLDINGS CO(VRT)11,76512,479+7141,9063,1271.36%+1,221
AGNICO EAGLE MINES LTD(AEM)34,50733,510-9975,8506,8022.96%+952
EXXON MOBIL CORP7,91110,623+2,7129521,8020.78%+850
DELL TECHNOLOGIES INC(DELL)11,18213,509+2,3271,4082,2170.96%+810
COSTCO WHOLESALE CORPORATION(COST)05,509+5,50905,4892.39%+5,489
ISHARES INC
MSCI EMRG CHN
22,27029,758+7,4881,6192,3411.02%+722
GE VERNOVA INC(GEV)1,9662,179+2131,2851,9020.83%+617
VALERO ENERGY CORP(VLO)5,7446,064+3209351,4980.65%+563
DEERE & CO(DE)02,170+2,17001,2220.53%+1,222
EATON CORP PLC(ETN)07,425+7,42502,6561.15%+2,656
CIENA CORP(CIEN)2,5002,596+965851,0080.44%+423
JOHNSON & JOHNSON(JNJ)5,5226,380+8581,1431,5600.68%+417
RTX CORPORATION(RTX)26,85327,476+6234,9255,3002.30%+375
D R HORTON INC(DHI)02,652+2,65203640.16%+364
TEXTRON INC(TXT)04,118+4,11803610.16%+361
ISHARES TR
CORE MSCI PAC
18,31922,127+3,8081,3411,6930.74%+352
FREEPORT MCMORAN INC(FCX)05,891+5,89103460.15%+346
ROBINHOOD MKTS INC(HOOD)04,975+4,97503450.15%+345
PHILLIPS 66(PSX)4,5985,028+4305939160.40%+323
QUANTA SVCS INC0551+55103030.13%+303
BUNGE GLOBAL SA(BG)02,162+2,16202750.12%+275
SUNCOR ENERGY INC NEW(SU)012,500+12,50008260.36%+826
AKAMAI TECHNOLOGIES INC(AKAM)02,360+2,36002710.12%+271
CONOCOPHILLIPS(COP)02,040+2,04002690.12%+269
COHEN & STEERS ETF TRUST
PFD IN OP AC ETF
43,18454,131+10,9471,1191,3880.60%+268
MARRIOTT INTL INC NEW(MAR)3,3243,967+6431,0311,2970.56%+266
AGILENT TECHNOLOGIES INC(A)02,299+2,29902620.11%+262
PEPSICO INC(PEP)8,6039,599+9961,2351,4910.65%+256
SANDISK CORP(SNDK)0400+40002540.11%+254
FEDEX CORP(FDX)0705+70502510.11%+251
MERCK & CO INC(MRK)9,25010,180+9309741,2250.53%+251
ADVANCED MICRO DEVICES INC(AMD)01,224+1,22402490.11%+249
SPDR INDEX SHS FDS
ST STR MSCI GLB
03,275+3,27502480.11%+248
SCHWAB STRATEGIC TR07,899+7,89902420.11%+242
CUMMINS INC(CMI)0447+44702400.10%+240
VANGUARD INDEX FDS7,9428,729+7872,0492,2860.99%+238
CATERPILLAR INC(CAT)0331+33102350.10%+235
KINDER MORGAN INC DEL(KMI)13,62818,128+4,5003756080.26%+233
PACKAGING CORP AMER(PKG)01,084+1,08402300.10%+230
NUSHARES ETF TR
NUVEEN ESG SMLCP
05,084+5,08402290.10%+229
AMGEN INC(AMGN)0636+63602240.10%+224
TRANE TECHNOLOGIES PLC(TT)04,485+4,48501,8690.81%+1,869
EMERSON ELEC CO(EMR)01,704+1,70402230.10%+223
ALTRIA GROUP INC(MO)03,370+3,37002220.10%+222
VERIZON COMMUNICATIONS INC(VZ)11,87413,906+2,0324846980.30%+214
GILEAD SCIENCES INC(GILD)01,528+1,52802130.09%+213
ZOETIS INC(ZTS)07,206+7,20608520.37%+852
LOWES COS INC(LOW)3,5354,491+9568531,0610.46%+209
SM ENERGY COMPANY(SM)06,466+6,46602020.09%+202
PFIZER INC(PFE)21,58426,249+4,6655377370.32%+200
TRAVELERS COMPANIES INC(TRV)19,35019,875+5255,6135,7972.52%+184
BRISTOL-MYERS SQUIBB CO(BMY)8,18610,261+2,0754426220.27%+181
APPLIED MATLS INC2,4852,385-1006398150.35%+177
ROCKWELL AUTOMATION INC(ROK)6641,209+5452584340.19%+176
SOUTHERN CO(SO)4,3305,695+1,3653785500.24%+172
VERTEX PHARMACEUTICALS INC(VRTX)6,2376,679+4422,8282,9821.30%+155
AMPHENOL CORP3,4144,819+1,4054616090.26%+148
ISHARES SILVER TR(SLV)39,25039,25002,5282,6741.16%+146
TJX COS INC NEW(TJX)45,19544,318-8776,9427,0783.08%+135
PNC FINL SVCS GROUP INC(PNC)1,2681,917+6492653990.17%+134
WESTERN DIGITAL CORP(WDC)1,2001,20002073250.14%+118
LAM RESEARCH CORP(LRCX)2,5002,50004285340.23%+106
CME GROUP INC(CME)1,0541,319+2652883900.17%+102
WASTE MGMT INC DEL(WM)1,3241,680+3562913860.17%+95
MONDELEZ INTL INC(MDLZ)7,8198,844+1,0254215100.22%+89
ABBVIE INC(ABBV)7,0257,775+7501,6051,6910.74%+86
MICROCHIP TECHNOLOGY INC.(MCHP)05,468+5,46803530.15%+353
PROCTER & GAMBLE CO(PG)026,629+26,62903,8461.67%+3,846
VANGUARD TAX-MANAGED FDS025,013+25,01301,6030.70%+1,603
UNION PAC CORP(UNP)8721,122+2502022720.12%+71
MONOLITHIC PWR SYS INC(MPWR)680626-546166840.30%+68
ISHARES TR5,4686,718+1,2502543210.14%+67
MCDONALDS CORP(MCD)1,6121,786+1744935550.24%+62
TAIWAN SEMICONDUCTOR MANUFAC(TSM)01,590+1,59005370.23%+537
SEABOARD CORP DEL(SEB)505002222830.12%+60
SMUCKER J M CO(SJM)2,9733,638+6652913510.15%+60
ISHARES TR7,7728,972+1,2003474070.18%+60
CISCO SYS INC(CSCO)9,69410,369+6757478050.35%+58
ENPRO INC(NPO)1,5301,53003283830.17%+56
WALMART INC(WMT)03,870+3,87004810.21%+481
SPDR GOLD TR(GLD)888913+253523930.17%+41
LINDE PLC(LIN)0580+58002880.13%+288
ISHARES TR06,108+6,10807590.33%+759
CSX CORP(CSX)07,650+7,65003140.14%+314
REGENERON PHARMACEUTICALS(REGN)262309+472022390.10%+37
MORGAN STANLEY(MS)4,0674,607+5407227580.33%+36
WEC ENERGY GROUP INC(WEC)03,253+3,25303770.16%+377
SELECT SECTOR SPDR TR
ST STR UTIL ETF
10,35010,35004424750.21%+33
MEDTRONIC PLC(MDT)3,2083,903+6953083380.15%+30
HOME DEPOT INC(HD)1,7091,875+1665886170.27%+29
CAPITAL ONE FINL CORP(COF)8941,323+4292172410.10%+25
VANGUARD WHITEHALL FDS05,278+5,27804970.22%+497
ROYCE SMALL CAP TRUST INC(RVT)037,020+37,02006150.27%+615
CVS HEALTH CORP(CVS)3,9914,661+6703173350.15%+18
WW GRAINGER INC(GWW)20520502072240.10%+17
BERKSHIRE HATHAWAY INC DEL1,5561,663+1077827970.35%+15
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