Fund HoldingsLEE DANNER & BASS INC

Total Portfolio Value
$1.73B
Total Bought
$111.06M
Total Sold
$241.90M
Net Transaction
-$130.84M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
VIASAT, INC.(VSAT)832,925820,925-12,00038,14873,7274.25%+35,579
CORECIVIC, INC.(CXW)2,173,4982,144,891-28,60741,10165,1623.76%+24,061
INTEL CORPORATION(INTC)231,522227,005-4,51710,21731,6971.83%+21,480
EXXON MOBIL CORPORATION0144,891+144,891019,8101.14%+19,810
UNITED RENTALS, INC.(URI)031,925+31,925036,1682.09%+36,168
ALPHABET INC. CLASS C(GOOG)0196,918+196,918069,5774.01%+69,577
CATERPILLAR INC.(CAT)36,28433,931-2,35325,70636,1332.08%+10,427
GEO GROUP INC(GEO)685,500685,500011,52320,2571.17%+8,733
APPLE INC.(AAPL)0217,920+217,920063,0573.64%+63,057
GOLDMAN SACHS GROUP, INC.(GS)034,795+34,795035,1902.03%+35,190
HONEYWELL INTERNATIONAL INC.022,383+22,38305,0120.29%+5,012
HONEYWELL AEROSPACE INC022,383+22,38304,9480.29%+4,948
AMAZON.COM, INC.(AMZN)0158,824+158,824037,8542.18%+37,854
FEDEX FREIGHT HOLDING CO INC029,054+29,05404,3870.25%+4,387
COMPASS MINERALS INTERNATIONAL, INC.(CMP)605,750580,750-25,00014,14418,0791.04%+3,934
MILLICOM INTL CELLULAR S A
COM STK
243,000243,000018,21022,0551.27%+3,844
BROOKDALE SENIOR LIVING INC.(BKD)1,304,6701,302,670-2,00017,84820,9601.21%+3,112
PINNACLE FINANCIAL PARTNERS, INC.(PNFP)0208,944+208,944021,0781.22%+21,078
BERKSHIRE HATHAWAY INC DEL CL B NEW0258,858+258,8580129,5307.47%+129,530
CISCO SYSTEMS, INC.(CSCO)81,30379,392-1,9116,3089,3250.54%+3,017
UNITEDHEALTH GROUP INCORPORATED(UNH)019,547+19,54708,1240.47%+8,124
PALO ALTO NETWORKS, INC.(PANW)015,308+15,30805,2200.30%+5,220
NVIDIA CORPORATION(NVDA)082,776+82,776016,5630.96%+16,563
CHARLES SCHWAB CORP(SCHW)044,074+44,07404,0670.23%+4,067
VISA INC. CLASS A(V)065,033+65,033022,3121.29%+22,312
SPACE EXPLORATION TECHNOLOGIES CORP013,868+13,86802,3690.14%+2,369
SYSCO CORPORATION(SYY)189,200189,625+42513,49615,8490.91%+2,353
ADT, INC.(ADT)0839,827+839,82705,4590.31%+5,459
DANAHER CORPORATION(DHR)23,17532,492+9,3174,3946,1890.36%+1,795
IRON MOUNTAIN, INC.(IRM)67,14166,834-3076,8588,4420.49%+1,584
CVS HEALTH CORPORATION(CVS)047,941+47,94104,9590.29%+4,959
BANK OF AMERICA CORP0168,008+168,00809,5730.55%+9,573
STRYKER CORPORATION(SYK)018,982+18,98205,9760.34%+5,976
OWENS CORNING(OC)24,62524,575-502,6653,9060.23%+1,242
BED BATH & BEYOND, INC.1,062,4501,062,45004,9306,1520.35%+1,222
PHILIP MORRIS INTERNATIONAL INC.(PM)73,18873,284+9612,10113,2580.76%+1,157
ALPHABET INC. CLASS A(GOOG)018,126+18,12606,4780.37%+6,478
WESTROCK COFFEE CO283,000283,00001,2032,2950.13%+1,092
REGIONS FINANCIAL CORPORATION(RF)0257,640+257,64007,7810.45%+7,781
HEWLETT PACKARD ENTERPRISE CO.(HPE)048,598+48,59802,1920.13%+2,192
JPMORGAN CHASE & CO.(JPM)028,116+28,11609,2030.53%+9,203
ORACLE CORPORATION(ORCL)066,943+66,94309,8110.57%+9,811
SIMPLIFY HEALTH CARE ETF
HEALTH CARE ETF
0163,962+163,96206,4190.37%+6,419
JEFFERIES FINANCIAL GROUP INC.(JEF)148,811139,811-9,0006,1416,9880.40%+846
DELTA AIR LINES, INC.(DAL)031,827+31,82702,9810.17%+2,981
CAPITAL ONE FINANCIAL CORP(COF)05,344+5,34401,0720.06%+1,072
UNITED PARCEL SERVICE, INC. CLASS B(UPS)0120,291+120,291012,9310.75%+12,931
HOME DEPOT, INC.(HD)025,966+25,96609,1580.53%+9,158
ENCOMPASS HEALTH CORP(EHC)183,000183,000017,70218,4981.07%+796
ISHARES CORE S&P SMALL CAP ETF35,92835,413-5154,4665,2520.30%+786
KKR & CO INC(KKR)026,079+26,07902,3940.14%+2,394
JOHNSON & JOHNSON(JNJ)103,057102,191-86625,19125,9531.50%+762
ABBVIE, INC.(ABBV)020,843+20,84305,2450.30%+5,245
MERCK & CO., INC.(MRK)89,96089,248-71210,82111,4680.66%+647
STARBUCKS CORPORATION(SBUX)46,54446,341-2034,1704,7360.27%+566
MEDTRONIC PLC(MDT)0141,701+141,701011,0850.64%+11,085
CARRIER GLOBAL CORP.(CARR)32,61532,461-1541,8372,3810.14%+544
3M COMPANY(MMM)035,820+35,82005,8000.33%+5,800
APPLIED MATERIALS, INC.1,5581,485-735321,0730.06%+541
ABBOTT LABORATORIES043,914+43,91403,9850.23%+3,985
ISHARES MSCI EMERGING MARKETS ETF36,38537,228+8432,0662,5470.15%+480
INTERNATIONAL BUSINESS MACHINES CORPORATION(IBM)012,649+12,64903,5570.21%+3,557
BOEING COMPANY(BA)027,946+27,94606,0490.35%+6,049
LUMEN TECHNOLOGIES, INC.(LUMN)602,245601,690-5554,1864,6210.27%+435
CLEVELAND-CLIFFS INC(CLF)452,000452,00003,8194,2440.24%+425
SIX FLAGS ENTERTAINMENT CORPORATION(FUN)117,698117,69802,0892,5070.14%+418
VANGUARD FTSE EMERGING MARKETS ETF087,479+87,47905,2220.30%+5,222
HENRY SCHEIN, INC.(HSIC)050,025+50,02504,1780.24%+4,178
TRAVELERS COMPANIES, INC.(TRV)014,490+14,49004,7830.28%+4,783
ISHARES RUSSELL 1000 GROWTH ETF021,696+21,69602,6940.16%+2,694
ISHARES U.S. INSURANCE ETF033,880+33,88004,7620.27%+4,762
BROOKFIELD CORPORATION(BN)0148,998+148,99806,3460.37%+6,346
GRAHAM HOLDINGS CO. CLASS B(GHC)9,1508,750-4009,6749,9870.58%+313
U.S. BANCORP(USB)048,826+48,82602,9490.17%+2,949
SUNCOKE ENERGY, INC.195,000195,00001,2691,5700.09%+300
CORE SCIENTIFIC INC(CORZ)027,849+27,84907130.04%+713
GE AEROSPACE(GE)03,169+3,16901,1840.07%+1,184
ISHARES RUSSELL 1000 VALUE ETF09,799+9,79902,3760.14%+2,376
COCA-COLA COMPANY(KO)72,43671,218-1,2185,5095,7880.33%+279
MORGAN STANLEY(MS)05,820+5,82001,2170.07%+1,217
GE VERNOVA INC.(GEV)792793+16919320.05%+240
BROADCOM INC.(AVGO)03,411+3,41101,2890.07%+1,289
SOUTHWEST AIRLINES CO.(LUV)017,254+17,25408870.05%+887
AMERICAN EXPRESS COMPANY(AXP)06,505+6,50502,2000.13%+2,200
HEALTH CARE SELECT SECTOR SPDR FUND
ST STR CARE ETF
01,357+1,35702150.01%+215
ISHARES CORE S&P 500 ETF02,849+2,84902,1340.12%+2,134
VANGUARD EXTENDED MARKET ETF0850+85002090.01%+209
ISHARES CORE S&P TOTAL U.S. STOCK MARKET ETF01,251+1,25102060.01%+206
TRUIST FINANCIAL CORPORATION(TFC)060,722+60,72203,0250.17%+3,025
INVESCO S&P MIDCAP MOMENTUM ETF
S&P MDCP MOMNTUM
01,200+1,20002040.01%+204
YUM! BRANDS, INC.(YUM)01,271+1,27102030.01%+203
CORE SCIENTIFIC INC NEW WT EXP 012327(CORZ)020,182+20,18203790.02%+379
ALLSTATE CORPORATION(ALL)06,429+6,42901,5300.09%+1,530
FORESTAR GROUP INC(FOR)26,74526,74506548460.05%+193
VANGUARD TOTAL STOCK MARKET ETF03,113+3,11301,1520.07%+1,152
ISHARES RUSSELL 1000 ETF03,760+3,76001,5400.09%+1,540
AMGEN INC.(AMGN)21,95421,832-1227,7257,9060.46%+181
DIAGEO PLC SPONSORED ADR(DEO)026,725+26,72502,1480.12%+2,148
ELI LILLY AND COMPANY(LLY)0600+60007200.04%+720
WELLS FARGO & COMPANY(WFC)055,555+55,55504,5910.26%+4,591
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