Fund HoldingsParvin Asset Management, LLC

Total Portfolio Value
$135.77M
Total Bought
$18.03M
Total Sold
$6.52M
Net Transaction
+$11.51M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
COEUR MNG INC(CDE)0205,252+205,25203,8532.84%+3,853
AMCOR PLC F
COM NEW
029,896+29,89601,1880.88%+1,188
AGNICO EAGLE MINES LTD F(AEM)020,475+20,47504,1563.06%+4,156
State Street Global Advisors SPDR Trust(SPY)(Put)1,1431,137-62,1922,942+750
EOG RES INC(EOG)13,01513,755+7401,3671,9891.46%+622
SILVERCORP METALS INC F(SVM)204,050205,225+1,1751,7022,2041.62%+502
EXXON MOBIL CORP9,7019,746+451,1671,6541.22%+486
SMITHFIELD FOODS INC(SFD)016,500+16,50004620.34%+462
FIRST MAJESTIC SILVER F81,35084,125+2,7751,3551,8071.33%+452
ROYAL GOLD INC(RGLD)10,51210,855+3432,3372,7622.03%+426
ULTRAPAR PARTICIPACO A FSPONSORED ADR 1 ADR REPS 1 ORD SHS(UGP)166,400185,750+19,3506271,0230.75%+396
NEWMONT CORP(NEM)38,83039,385+5553,8774,2633.14%+386
SSR MNG INC F(SSRM)044,195+44,19501,2980.96%+1,298
STURM RUGER & CO INC33,47036,300+2,8301,0931,4551.07%+362
CHEVRON CORP NEW(CVX)05,980+5,98001,2370.91%+1,237
IMMUNITYBIO INC(IBRX)040,000+40,00003070.23%+307
CF INDS HLDGS INC(CF)4,0054,610+6053105990.44%+289
FRANCO NEV CORP F(FNV)05,290+5,29001,3070.96%+1,307
CALAVO GROWERS INC46,17048,570+2,4001,0041,2530.92%+248
PETROLEO BRASILEIRO SA FSPONSORED ADR 1 ADR REPS 2 ORD SHS(PBR)12,32518,975+6,6501463940.29%+248
OR ROYALTIES(OR)68,75070,250+1,5002,4332,6711.97%+238
WHEATON PRECIOUS METAL F(WPM)11,92512,470+5451,4011,6341.20%+232
ALAMOS GOLD INC NEW FCLASS A34,76535,390+6251,3411,5721.16%+231
ORLA MNG LTD NEW F(ORLA)70,50073,075+2,5759501,1790.87%+229
GRUPO AEROPORTUARIO DE FSPONSORED ADR 1 ADR REPS 10 ORD SHS0655+65502200.16%+220
PHIBRO ANIMAL HEALTH CORCLASS A(PAHC)011,850+11,85006550.48%+655
RAYONIER INC REIT(RYN)41,07552,813+11,7388891,0890.80%+200
NOV INC(NOV)62,70062,550-1509801,1770.87%+197
ENERGY TRANSFER L P LP(ET)010,125+10,12501950.14%+195
ALLIANCE RESOURCE PAR LP(ARLP)15,50020,075+4,5753605550.41%+195
SK TELECOM CO LTD FSPONSORED ADR 0.555555555556 ORD SHS(SKM)38,18533,419-4,7667849790.72%+195
CORNING INC(GLW)4,0004,00003505440.40%+194
CNH INDL N V F
SHS
36,80048,225+11,4253395300.39%+191
HP INC(HPQ)09,950+9,95001910.14%+191
AMBEV S A FSPONSORED ADR 1 ADR REPS 1 ORD SHS(ABEV)271,500293,925+22,4256718580.63%+188
EMBECTA CORP020,333+20,33301800.13%+180
KINROSS GOLD CORP F(KGC)63,22564,075+8501,7801,9561.44%+175
AMGEN INC(AMGN)5,6445,739+951,8472,0191.49%+172
PAN AMERN SILVER CORP F(PAAS)34,35935,584+1,2251,7801,9441.43%+164
CARRIAGE SVCS INC019,720+19,72009000.66%+900
WATERS CORP(WAT)0542+54201610.12%+161
VALE S A FSPONSORED ADR 1 ADR REPS 1 ORD SHS11,37519,400+8,0251483090.23%+160
CONAGRA BRANDS INC(CAG)014,065+14,06502210.16%+221
VERIZON COMMUNICATIONS I(VZ)29,25926,710-2,5491,1921,3410.99%+149
Southern Copper Corp(SCCO)4,6534,692+396688070.59%+140
CLOROX CO(CLX)16,03016,910+8801,6161,7521.29%+136
Costco Wholesale Corp(COST)01,000+1,00009960.73%+996
CANADIAN NATL RY CO F(CNI)8,0409,010+9707959260.68%+131
JBS N V FCLASS A(JBS)27,80029,425+1,6254015280.39%+128
BRISTOL MYERS SQUIBB CO(BMY)18,81518,765-501,0151,1380.84%+123
JOHNSON & JOHNSON(JNJ)03,270+3,27007990.59%+799
CHIPMOS TECHNOLOGIES I FUNSPONSORED ADR 1 ADR REPS 20 ORD SHS(IMOS)22,24521,770-4756597790.57%+120
RIO TINTO PLC FSPONSORED ADR 1 ADR REPS 1 ORD SHS(RIO)04,905+4,90504580.34%+458
ALTRIA GROUP INC(MO)04,465+4,46502950.22%+295
GLOBAL SHIP LEASE INC FCLASS CLASS A
COM CL A
17,87019,905+2,0356267410.55%+115
PARK HOTELS & RESORTS INREIT(PK)9,12519,400+10,275952040.15%+109
INTERPARFUMS INC(IPAR)5,7906,590+8004915990.44%+107
TELUS CORP F(TU)7,07515,550+8,475932000.15%+106
NUTRIEN LTD F(NTR)06,505+6,50504910.36%+491
COUPANG INC CLASS A(CPNG)028,675+28,67505410.40%+541
RTX CORP(RTX)010,130+10,13001,9541.44%+1,954
EASTERLY GOVT PPTYS INC(DEA)3,6507,950+4,300771700.13%+93
BUNGE GLOBAL SA F(BG)02,160+2,16002750.20%+275
TRIPLE FLAG PRECIOUS M F(TFPM)39,16539,965+8001,3011,3871.02%+86
KRAFT HEINZ CO(KHC)010,240+10,24002300.17%+230
WALMART INC(WMT)6,4816,48107228050.59%+83
CONSTELLATION BRANDS INCCLASS A(STZ)6,1446,149+58489220.68%+75
CRACKER BARREL OLD CTRY(CBRL)15,48516,635+1,1503934680.34%+74
SHELL PLC FSPONSORED ADR 1 ADR REPS 2 ORD SHS(SHEL)04,500+4,50004190.31%+419
SPIRE GLOBAL INC CLASS CLASS A10,52511,725+1,200791480.11%+69
Caterpillar Inc(CAT)50050002863540.26%+68
GRUPO AEROPORTUARIO DE FSPONSORED ADR 1 ADR REPS 8 ORD SHS(OMAB)9,8159,890+751,0681,1350.84%+67
PEPSICO INC(PEP)04,913+4,91307630.56%+763
EQUINOX GOLD CORP F(EQX)118,491119,016+5251,6641,7211.27%+57
SMITH & NEPHEW GROUP P FSPONSORED ADR 1 ADR REPS 2 ORD SHS(SNN)036,944+36,94401,1740.86%+1,174
CAL MAINE FOODS INC(CALM)03,435+3,43502720.20%+272
GAMING & LEISURE PPTYS I(GLPI)03,450+3,45001530.11%+153
HYSTER YALE INC CLASS A8,0458,870+8252392880.21%+49
TAIWAN SEMICONDUCTOR M FSPONSORED ADR 1 ADR REPS 5 ORD SHS(TSM)0550+55001860.14%+186
DUCOMMUN INC DEL(DCO)01,340+1,34001630.12%+163
LINDE PLC F(LIN)0667+66703310.24%+331
WESTERN UN CO(WU)016,625+16,62501450.11%+145
HF Sinclair Corp(DINO)02,800+2,80001750.13%+175
MERCK & CO. INC.(MRK)03,025+3,02503640.27%+364
AGCO CORP DEL01,860+1,86002160.16%+216
BROWN FORMAN CORP CLASS B(BF-A)27,31528,550+1,2357127550.56%+43
DIAGEO PLC FSPONSORED ADR 1 ADR REPS 4 ORD SHS(DEO)10,17012,350+2,1808779190.68%+42
FLOWERS FOODS INC(FLO)12,97522,300+9,3251411820.13%+41
PARK AEROSPACE CORP04,875+4,87501330.10%+133
HONEYWELL INTL INC(HON)01,230+1,23002780.20%+278
MOOG INC CLASS A(MOG-A)0507+50701480.11%+148
DOW INC(DOW)01,955+1,9550810.06%+81
AMPLIFY TRUST01,200+1,2000360.03%+36
ENTEGRIS INC(ENTG)0745+7450870.06%+87
ALPS
SECTR DIV DOGS
07,521+7,52104890.36%+489
iShares0594+5940340.02%+34
JOHNSON CONTROLS INTER F
SHS
04,290+4,29005620.41%+562
State Street Global Advisors SPDR Trust
ST STR INDL ETF
0192+1920310.02%+31
State Street Global Advisors SPDR Trust(GLD)072+720310.02%+31
NXP SEMICONDUCTORS N V F
COM
0240+2400470.03%+47
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