Fund HoldingsCONNABLE OFFICE INC

Total Portfolio Value
$1.02B
Total Bought
$71.49M
Total Sold
$151.65M
Net Transaction
-$80.16M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
iShares Core MSCI Emerging Markets ETF
CORE MSCI EMKT
01,037,651+1,037,651072,3767.12%+72,376
Dimensional US Small Cap ETF
US SMALL CAP ETF
0183,113+183,113013,0251.28%+13,025
FlexShares Mstar Glbl Upstream Nat Res ETF
MORNSTAR UPSTR
1,248,1531,206,798-41,35557,22866,5676.55%+9,339
WisdomTree US Quality Dividend Growth Fund(WT)463,058522,039+58,98141,41145,8564.51%+4,445
ServiceNow Inc(NOW)021,079+21,07902,2040.22%+2,204
Visa Inc Cl A(V)07,087+7,08702,1420.21%+2,142
iShares National Muni Bond ETF54,18274,306+20,1245,8037,8880.78%+2,084
iShares Russell 1000 ETF4,39810,208+5,8101,6423,6400.36%+1,997
KLA Corporation(KLAC)3,3583,683+3254,0805,4230.53%+1,343
ConocoPhillips(COP)036,909+36,90904,8720.48%+4,872
AstraZeneca PLC(AZN)05,944+5,94401,1720.12%+1,172
iShares MSCI ACWI Index Fund ex US43,84459,892+16,0482,9434,1010.40%+1,158
EOG Resources Inc(EOG)017,794+17,79402,5720.25%+2,572
Novartis AG ADR(NVS)06,401+6,40109780.10%+978
TEVA Pharmaceutical Industries Ltd(TEVA)031,629+31,62909530.09%+953
iShares US Real Estate ETF0307,253+307,253029,0542.86%+29,054
Medtronic PLC(MDT)010,377+10,37708990.09%+899
British American Tobacco PLC(BTI)012,935+12,93507560.07%+756
Linde PLC(LIN)10,78810,772-164,6005,3400.53%+740
Amcor PLC
COM NEW
018,504+18,50407360.07%+736
Lloyds Banking Group PLC(LYG)0135,791+135,79106830.07%+683
Waste Management Inc(WM)012,962+12,96202,9790.29%+2,979
Seagate Technology Holdings PLC
ORD SHS
4,6624,671+91,2841,8300.18%+546
Vanguard Extended Market ETF19,18021,898+2,7184,0114,5070.44%+496
Costco Wholesale Corp(COST)03,341+3,34103,3290.33%+3,329
NextEra Energy Inc(NEE)39,94739,371-5763,2073,6570.36%+450
ASML Holding NV
N Y REGISTRY SHS
1,6291,660+311,7432,1930.22%+450
Vanguard Small Cap ETF17,37718,689+1,3124,4824,8950.48%+413
Loar Holdings Inc(LOAR)07,056+7,05604040.04%+404
Honeywell Intl(HON)012,877+12,87702,9110.29%+2,911
Taiwan Semiconductor Manufacturing Co Ltd(TSM)10,09910,250+1513,0693,4640.34%+395
Transcat Inc04,504+4,50403310.03%+331
Analog Devices Inc(ADI)6,6076,604-31,7922,1010.21%+309
BillionToOne Inc03,850+3,85003040.03%+304
Canadian Natural Resources Ltd(CNQ)20,42620,212-2146919850.10%+294
SiteOne Landscape Supply Inc(SITE)02,191+2,19102920.03%+292
Eaton Corp PLC(ETN)09,188+9,18803,2860.32%+3,286
Rayonier Inc(RYN)013,184+13,18402720.03%+272
Daktronics Inc(DAKT)013,215+13,21502580.03%+258
Darling Ingredients Inc(DAR)14,53912,323-2,2165237620.07%+239
Teleflex Inc(TFX)01,978+1,97802370.02%+237
Forgent Power Solutions Inc(FPS)08,000+8,00002340.02%+234
Agilysys Inc(AGYS)03,255+3,25502320.02%+232
iShares MSCI Eurozone ETF201,939210,259+8,32012,94413,1711.30%+226
Badger Meter Inc01,441+1,44102200.02%+220
Spire Inc(SR)02,365+2,36502140.02%+214
Entegris Inc(ENTG)01,775+1,77502080.02%+208
Reynolds Consumer Products Inc(REYN)09,716+9,71602060.02%+206
Olin Corp(OLN)06,835+6,83502030.02%+203
Science Applications International Corp(SAIC)02,139+2,13902030.02%+203
KKR & Co Inc(KKR)027,580+27,58002,5510.25%+2,551
Abbott Labs020,112+20,11202,0650.20%+2,065
FIGS Inc(FIGS)52,53252,53205977760.08%+179
The Coca Cola Company(KO)41,65740,626-1,0312,9123,0900.30%+177
Avantor Inc(AVTR)015,239+15,23901190.01%+119
Oceaneering International Inc(OII)016,754+16,75405940.06%+594
McKesson Corporation(MCK)2,5572,559+22,0972,2140.22%+117
Enpro Inc(NPO)01,247+1,24703130.03%+313
Celanese Corp(CE)5,4705,148-3222313390.03%+107
Advanced Energy Industries Inc4,2003,054-1,1468799860.10%+106
FormFactor Inc(FORM)14,9309,677-5,2538339390.09%+106
Procore Technologies Inc(PCOR)05,271+5,27103000.03%+300
Canadian Pacific Kansas City Ltd(CP)014,274+14,27401,1230.11%+1,123
Sea Ltd(SE)022,741+22,74101,8830.19%+1,883
Amgen Inc(AMGN)5,7635,632-1311,8861,9820.19%+95
Plexus Corp(PLXS)02,999+2,99906070.06%+607
T-Mobile US Inc(TMUS)011,273+11,27302,3680.23%+2,368
Baker Hughes Company Cl A(BKR)026,221+26,22101,6010.16%+1,601
Sonoco Products Co(SON)6,5466,699+1532863620.04%+77
Amazon.com Inc(AMZN)32,29436,149+3,8557,4547,5290.74%+75
LKQ Corp(LKQ)10,94813,724+2,7763314030.04%+72
AAR Corp06,083+6,08306660.07%+666
Everus Construction Group Inc(ECG)04,354+4,35405140.05%+514
Littelfuse Inc(LFUS)01,479+1,47905020.05%+502
Expro Group Holdings NV32,97728,751-4,2264405010.05%+60
Choice Hotels International Inc(CHH)07,200+7,20007450.07%+745
iShares TIPS Bond ETF055,847+55,84706,1630.61%+6,163
Primo Brands Corp(PRMB)19,15119,590+4393133690.04%+56
SPDR Gold Shares(GLD)1,6111,61106386930.07%+55
Patterson-UTI Energy Inc(PTEN)24,10418,322-5,7821471980.02%+51
Diodes Inc(DIOD)5,3004,564-7362623120.03%+50
Parker-Hannifin Corp(PH)02,928+2,92802,6210.26%+2,621
Ferguson Enterprises Inc(FERG)4,0044,024+208919390.09%+47
Benchmark Electronics Inc(BHE)9,1937,769-1,4243934360.04%+42
Bright Horizons Family Solutions Inc(BFAM)03,313+3,31302720.03%+272
Archrock Inc(AROC)010,041+10,04103490.03%+349
iShares Core S&P 500 ETF1,6871,819+1321,1551,1880.12%+33
Portland General Electric Co(POR)05,718+5,71803020.03%+302
Casella Waste Systems Inc(CWST)07,702+7,70206110.06%+611
Devon Energy Corp(DVN)8,9007,018-1,8823263530.03%+27
Moody's Corporation(MCO)6,7377,951+1,2143,4423,4690.34%+27
Karman Holdings Inc(KRMN)03,887+3,88703110.03%+311
Procter & Gamble Co(PG)020,615+20,61502,9780.29%+2,978
Dentsply Sirona Inc(XRAY)14,50116,344+1,8431661900.02%+24
White Mountains Insurance Group Ltd
COM
15215203163340.03%+18
Helmerich & Payne Inc(HP)10,4928,836-1,6563013180.03%+17
Sensata Technologies Holding PLC
SHS
8,6788,67802893060.03%+17
Moog Inc(MOG-A)3,1312,660-4717637780.08%+16
Healthpeak Properties Inc(DOC)40,34540,34506496630.07%+14
Sabre Corp129,257129,25701761870.02%+12
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