Fund HoldingsBAHL & GAYNOR INC

Total Portfolio Value
$19.83B
Total Bought
$1.93B
Total Sold
$2.24B
Net Transaction
-$312.06M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
Targa Resources Corp(TRGP)1,458,3101,726,266+267,956269,058432,8272.18%+163,769
Darden Restaurants Inc(DRI)323,2991,010,176+686,87759,493198,0351.00%+138,541
Chevron Corp(CVX)02,123,532+2,123,5320439,3592.22%+439,359
Johnson & Johnson(JNJ)2,737,9482,721,183-16,765566,618665,1663.35%+98,547
RB Global, Inc.(RBA)01,026,876+1,026,876098,4260.50%+98,426
Williams Cos Inc(WMB)06,859,866+6,859,8660499,2612.52%+499,261
Exxon Mobil Corp1,415,1131,464,635+49,522170,295248,4901.25%+78,195
Garmin Ltd(GRMN)147,148464,060+316,91229,849107,6670.54%+77,818
Fastenal Co(FAST)03,129,757+3,129,7570145,2210.73%+145,221
Taiwan Semiconductor Mfg Ltd S(TSM)1,283,4321,355,558+72,126390,022458,1112.31%+68,089
Linde PLC(LIN)122,997238,179+115,18252,445118,0800.60%+65,635
Nextera Energy Inc5,359,7325,249,543-110,189430,279487,5782.46%+57,298
Cummins Inc(CMI)0100,098+100,098053,8550.27%+53,855
Philip Morris Intl Inc(PM)0601,173+601,173099,3980.50%+99,398
American Healthcare REIT Inc(AHR)139,1201,208,279+1,069,1596,54756,9820.29%+50,435
Victory Cap Holdings Inc Cl A2,069,3252,704,231+634,906130,554177,0730.89%+46,519
Rtx Corporation Com(RTX)832,7611,023,562+190,801152,728197,4451.00%+44,717
CBOE Global Mkts Inc342,860443,411+100,55186,058124,6300.63%+38,572
British Amern Tob Plc Sponsore(BTI)0663,467+663,467038,7930.20%+38,793
PNC Financial Services Group I(PNC)1,408,6681,572,543+163,875294,031327,2301.65%+33,199
General Dynamics Corp(GD)515,247587,387+72,140173,463201,6031.02%+28,140
Ensign Group Inc85,984199,060+113,07614,97840,1110.20%+25,132
Sempra(SRE)03,395,158+3,395,1580329,9071.66%+329,907
Western Digital Corp(WDC)374,975325,336-49,63964,59788,0000.44%+23,403
Cisco Systems Inc(CSCO)3,240,5513,501,023+260,472249,620271,6441.37%+22,025
Motorola Solutions Inc(MSI)0402,449+402,4490174,6510.88%+174,651
L3Harris Technologies Inc(LHX)0231,219+231,219079,8050.40%+79,805
Carrier Global Corporation Com(CARR)768,7291,060,423+291,69440,62059,7120.30%+19,093
CMS Energy Corp(CMS)904,3151,044,889+140,57463,23981,0620.41%+17,824
Corning Inc(GLW)0839,119+839,1190114,0950.58%+114,095
Silicon Motion Technology Corp(SIMO)0155,565+155,565017,4680.09%+17,468
First Financial Bancorp OH(FFBC)838,0791,355,743+517,66420,96937,7980.19%+16,829
CME Group Inc Cl A(CME)628,007630,722+2,715171,496186,2840.94%+14,788
Snap On Inc(SNA)429,133446,761+17,628147,879162,2730.82%+14,393
Kinder Morgan Inc04,048,277+4,048,2770135,7390.68%+135,739
Kla Corporation Com New(KLAC)52,57152,043-52863,87876,6290.39%+12,751
Ferrari NV51,13793,482+42,34518,89831,6390.16%+12,741
PPL Corp(PPL)04,181,418+4,181,4180159,7300.81%+159,730
Alliant Energy Corp(LNT)0775,746+775,746055,6680.28%+55,668
Dt Midstream Inc Common Stock(DTM)562,615593,514+30,89967,33479,9290.40%+12,595
US Physical Therapy Inc660,864845,388+184,52451,60763,3700.32%+11,763
PepsiCo Inc(PEP)01,266,056+1,266,0560196,6060.99%+196,606
Analog Devices Inc(ADI)265,413262,121-3,29271,98083,3910.42%+11,411
UnitedHealth Group Inc(UNH)0852,428+852,4280230,6581.16%+230,658
Equity Lifestyle Properties In(ELS)590,141743,187+153,04635,76846,3900.23%+10,621
Northrop Grumman Corp(NOC)096,425+96,425065,7850.33%+65,785
Terreno Realty Corp(TRNO)314,228472,451+158,22318,44829,0180.15%+10,570
TJX Cos Inc(TJX)1,304,5921,318,667+14,075200,398210,5911.06%+10,193
NiSource Inc(NI)01,423,283+1,423,283066,4100.33%+66,410
Merck & Co Inc(MRK)0750,494+750,494090,2770.46%+90,277
Coca-Cola Co(KO)1,772,7351,757,564-15,171123,932133,6630.67%+9,731
Parker Hannifin Corp(PH)57,98567,779+9,79450,96660,6780.31%+9,712
Phillips 66(PSX)0453,222+453,222082,5680.42%+82,568
Wec Energy Group Inc1,053,9581,031,567-22,391111,150119,4240.60%+8,274
Reinsurance Group America Inc(RGA)603,519639,841+36,322122,792130,6300.66%+7,838
Atmos Energy Corp(ATO)0335,750+335,750062,0200.31%+62,020
Dell Technologies Inc Cl C(DELL)0278,208+278,208045,6620.23%+45,662
Hubbell Inc(HUBB)266,731256,565-10,166118,458125,9070.63%+7,449
Watsco Inc(WSO)0261,924+261,924095,2850.48%+95,285
Texas Roadhouse Inc(TXRH)282,154327,888+45,73446,83854,1470.27%+7,310
Encompass Health Corp0554,616+554,616053,6480.27%+53,648
Plains Group Hlgs LP A1,101,2641,167,071+65,80721,07828,3360.14%+7,258
Oneok Inc(OKE)0678,115+678,115061,2950.31%+61,295
Waste Management Inc(WM)0470,575+470,5750108,1330.55%+108,133
Allegion Pub Ltd Co0171,657+171,657024,9400.13%+24,940
Wal-Mart Inc(WMT)481,228479,249-1,97953,61459,5610.30%+5,947
Realty Income Corp(O)01,143,670+1,143,670069,9700.35%+69,970
Interparfums Inc(IPAR)0428,545+428,545038,9290.20%+38,929
Agree Realty Corp598,399632,566+34,16743,10347,6830.24%+4,580
Ryder Systems Inc(R)184,399194,153+9,75435,29239,7450.20%+4,453
Amgen Inc(AMGN)197,029195,866-1,16364,49068,9150.35%+4,426
Apollo Global Mgmt Inc Cl A(APO)1,116,5291,488,665+372,136161,629165,8670.84%+4,238
Illinois Tool Works Inc(ITW)0603,106+603,1060156,9820.79%+156,982
Littelfuse Inc(LFUS)030,444+30,444010,3310.05%+10,331
Lemaitre Vascular Inc(LMAT)0124,528+124,528013,5950.07%+13,595
Texas Pacific Land Corporation(TPL)018,000+18,00008,5420.04%+8,542
Honeywell Intl Inc(HON)0120,017+120,017027,1270.14%+27,127
Curtiss Wright Corp(CW)018,070+18,070012,3080.06%+12,308
Waters Corp(WAT)07,658+7,65802,2810.01%+2,281
Carlisle Cos Inc(CSL)0134,568+134,568044,8950.23%+44,895
Coherent Corp Com(COHR)36,20535,305-9006,6828,4100.04%+1,728
Union Pacific Corp(UNP)0221,128+221,128053,6500.27%+53,650
Valero Energy Corp018,494+18,49404,5690.02%+4,569
Enpro Inc Com037,765+37,76509,4660.05%+9,466
Armstrong World Industries Inc(AWI)9,31618,940+9,6241,7803,1210.02%+1,341
Costco Wholesale Corp07,766+7,76607,7380.04%+7,738
Novartis AG Sp ADR86,16285,688-47411,87913,0890.07%+1,210
Badger Meter Inc07,813+7,81301,1900.01%+1,190
Vanguard All World ex-US141,187153,844+12,65710,38611,5540.06%+1,168
Caterpillar Inc(CAT)4,1864,878+6922,3983,4560.02%+1,058
Bwx Technologies Inc(BWXT)029,225+29,22505,9760.03%+5,976
Monolithic Power Systems Inc(MPWR)05,042+5,04205,5130.03%+5,513
Energy Transfer LP(ET)0304,825+304,82505,8830.03%+5,883
Balchem Corp64,12862,503-1,6259,83510,5930.05%+758
Marathon Petroleum Corp(MPC)06,355+6,35501,5520.01%+1,552
Shell PLC Spon ADS(SHEL)028,050+28,05002,6090.01%+2,609
Duke Energy Corp(DUK)032,774+32,77404,2910.02%+4,291
Church & Dwight Inc(CHD)088,186+88,18608,2300.04%+8,230
AptarGroup Inc058,229+58,22907,3380.04%+7,338
Intel Corp(INTC)076,942+76,94203,3950.02%+3,395
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