Fund HoldingsSTANCE CAPITAL LLC

Total Portfolio Value
$206.07M
Total Bought
$92.46M
Total Sold
$158.97M
Net Transaction
-$66.51M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
BRISTOL MYERS SQUIBB CO(BMY)084,197+84,19705,1072.48%+5,107
VIATRIS INC(VTRS)0263,327+263,32703,5581.73%+3,558
TJX COS INC NEW(TJX)022,222+22,22203,5491.72%+3,549
TYSON FOODS INC(TSN)055,323+55,32303,5451.72%+3,545
NEWMONT CORP(NEM)032,189+32,18903,4841.69%+3,484
WESTERN DIGITAL CORP(WDC)7,46217,159+9,6971,2854,6412.25%+3,356
AUTOZONE INC(AZO)01,334+1,33404,5062.19%+4,506
ZOETIS INC(ZTS)026,479+26,47903,1301.52%+3,130
HOME DEPOT INC(HD)3,83613,324+9,4881,3204,3822.13%+3,062
HP INC(HPQ)0152,622+152,62202,9321.42%+2,932
OTIS WORLDWIDE CORP(OTIS)038,017+38,01702,9301.42%+2,930
REGIONS FINANCIAL CORP NEW(RF)0120,231+120,23103,1401.52%+3,140
VENTAS INC(VTR)035,303+35,30302,8871.40%+2,887
KIMBERLY CLARK CORP(KMB)029,887+29,88702,8831.40%+2,883
XYLEM INC(XYL)023,818+23,81802,8461.38%+2,846
MASTERCARD INCORPORATED(MA)2,4728,489+6,0171,4114,2422.06%+2,830
CARNIVAL CORP0104,768+104,76802,7111.32%+2,711
AUTODESK INC016,995+16,99504,0691.97%+4,069
GE VERNOVA INC(GEV)02,964+2,96402,5871.26%+2,587
ROSS STORES INC(ROST)017,093+17,09303,7031.80%+3,703
TEXAS INSTRS INC(TXN)018,032+18,03203,5011.70%+3,501
MOLSON COORS BEVERAGE CO(TAP)040,661+40,66101,7510.85%+1,751
CHARTER COMMUNICATIONS INC(CHTR)8,51315,962+7,4491,7773,4461.67%+1,669
ALLSTATE CORP(ALL)06,726+6,72601,3950.68%+1,395
HASBRO INC(HAS)014,877+14,87701,3920.68%+1,392
AFLAC INC(AFL)012,651+12,65101,3880.67%+1,388
DECKERS OUTDOOR CORP(DECK)013,657+13,65701,3670.66%+1,367
APPLE INC(AAPL)05,351+5,35101,3580.66%+1,358
INTUITIVE SURGICAL INC02,874+2,87401,3250.64%+1,325
CARLISLE COS INC(CSL)03,956+3,95601,3200.64%+1,320
NIKE INC(NKE)024,882+24,88201,3140.64%+1,314
ALPHABET INC(GOOG)04,546+4,54601,3040.63%+1,304
BLOOM ENERGY CORP09,410+9,41001,2750.62%+1,275
BERKLEY W R CORP049,215+49,21503,2621.58%+3,262
JABIL INC(JBL)14,60215,455+8533,3304,1051.99%+776
AT&T INC(T)025,323+25,32307340.36%+734
DOW HLDGS INC(DOW)017,445+17,44507270.35%+727
ARCHER DANIELS MIDLAND CO08,692+8,69206320.31%+632
LAS VEGAS SANDS CORP(LVS)09,740+9,74005250.25%+525
EXELON CORP(EXC)010,062+10,06204930.24%+493
HENNESSY FDS TR
SUSTAINABLE ETF
0440,642+440,642014,9657.26%+14,965
DELL TECHNOLOGIES INC(DELL)09,704+9,70401,5930.77%+1,593
CIENA CORP(CIEN)5,7654,137-1,6281,3481,6060.78%+258
DOLLAR TREE INC(DLTR)02,190+2,19002400.12%+240
FLAHERTY & CRUMRINE DYNAMIC08,708+8,70801750.08%+175
MONOLITHIC PWR SYS INC(MPWR)1,4161,323-931,2831,4470.70%+163
MARVELL TECHNOLOGY INC(MRVL)014,957+14,95701,4810.72%+1,481
MICROSOFT CORP(MSFT)0352+35201300.06%+130
RTX CORPORATION(RTX)0623+62301200.06%+120
ALPHABET INC(GOOG)0380+38001090.05%+109
EMCOR GROUP INC(EME)2,1831,931-2521,3361,4260.69%+90
VANGUARD WORLD FD01,167+1,1670840.04%+84
INVESCO EXCH TRADED FD TR II
SOLAR ETF
01,497+1,4970830.04%+83
ISHARES TR
ESG AW MSCI EAFE
0871+8710830.04%+83
VANGUARD SPECIALIZED FUNDS0383+3830820.04%+82
CISCO SYS INC(CSCO)018,560+18,56001,4400.70%+1,440
HA SUSTAINABLE INFRA CAP INC(HASI)7,5288,635+1,1072373170.15%+81
VANGUARD WHITEHALL FDS0520+5200770.04%+77
JANUS DETROIT STR TR
HENDRSON AAA CL
01,500+1,5000760.04%+76
KRANESHARES TRUST03,112+3,1120740.04%+74
TIDAL TRUST II
DEF 500 WEE ETF
02,577+2,5770730.04%+73
EA SERIES TRUST
STAN SU BETA ETF
259,956266,204+6,2487,0677,1393.46%+72
QUANTA SVCS INC0130+1300710.03%+71
ISHARES TR02,421+2,4210710.03%+71
SCHWAB STRATEGIC TR02,934+2,9340710.03%+71
TIDAL TRUST II
DEFIANCE NASDAQ
03,396+3,3960700.03%+70
CATERPILLAR INC(CAT)099+990700.03%+70
SIMPLIFY EXCHANGE TRADED FUN
AGGREGATE BD ETF
03,407+3,4070690.03%+69
SSGA ACTIVE ETF TR
ST STR BL LN ETF
01,718+1,7180690.03%+69
SERIES PORTFOLIOS TR
ELDRIDGE BBB B
02,670+2,6700680.03%+68
ZURN ELKAY WATER SOLNS CORP(ZWS)01,526+1,5260680.03%+68
BANK NEW YORK MELLON CORP012,092+12,09201,4340.70%+1,434
ICON PLC(ICLR)0600+6000660.03%+66
HUBBELL INC(HUBB)0133+1330650.03%+65
TIDAL TRUST II
DEFIA R2000 ETF
03,598+3,5980650.03%+65
ISHARES TR03,519+3,5190640.03%+64
SIMON PPTY GROUP INC NEW(SPG)0340+3400630.03%+63
NXP SEMICONDUCTORS N V
COM
0320+3200630.03%+63
CLOUDFLARE INC(NET)6,7216,726+51,3251,3880.67%+63
NAVITAS SEMICONDUCTOR CORP(NVTS)06,722+6,7220590.03%+59
FREEPORT MCMORAN INC(FCX)0985+9850580.03%+58
RELX PLC(RELX)01,741+1,7410580.03%+58
FORTINET INC(FTNT)017,174+17,17401,4030.68%+1,403
WALMART INC(WMT)0455+4550570.03%+57
MONDELEZ INTL INC(MDLZ)0969+9690560.03%+56
AMERICAN INTL GROUP INC0699+6990530.03%+53
CENTENE CORP DEL(CNC)01,598+1,5980520.03%+52
FIRST TR EXCHANGE TRADED FD02,031+2,0310520.03%+52
APPLIED DIGITAL CORP02,157+2,1570510.02%+51
AIR PRODUCTS AND CHEMICALS I0175+1750510.02%+51
CROCS INC(CROX)0600+6000500.02%+50
APPLIED MATLS INC04,035+4,03501,3790.67%+1,379
AMERICAN EXPRESS CO(AXP)04,603+4,60301,3920.68%+1,392
MP MATERIALS CORP(MP)01,012+1,0120490.02%+49
ISHARES TR02,148+2,1480490.02%+49
IRON MTN INC DEL(IRM)0473+4730480.02%+48
ZOOM COMMUNICATIONS INC(ZM)0600+6000480.02%+48
ISHARES TR0606+6060480.02%+48
PEPSICO INC(PEP)0303+3030470.02%+47
BANK AMERICA CORP0948+9480460.02%+46
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