AGF MANAGEMENT LTD - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 17, 2026, for the 2025 Q4 period, AGF MANAGEMENT LTD held in its portfolio 500 assets valued at $23,054,615,667 (i.e. $23.06B).

The most valuable assets in the portfolio included: NVIDIA Corp. ($1.04B), Alphabet Inc. ($893.69M), and Apple Inc. ($825.91M).

The chart below shows the top 10 valuable assets, and the table below shows the top 500 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in AGF MANAGEMENT LTD Portfolio
NVIDIA Corp.
Alphabet Inc.
Apple Inc.
Broadcom Inc.
Amazon.com Inc.
The Goldman Sachs Group Inc.
Meta Platforms Inc.
Royal Bank of Canada
AbbVie Inc.
L3Harris Technologies Inc.
AGF MANAGEMENT LTD - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
NVIDIA Corp. 5571664 1039115335 COM
Alphabet Inc. 2854800 893688205 COM
Apple Inc. 3037988 825907417 COM
Broadcom Inc. 1990771 689005842 COM
Amazon.com Inc. 2876345 663917952 COM
The Goldman Sachs Group Inc. 584682 513935478 COM
Meta Platforms Inc. 737236 486642112 COM
Royal Bank of Canada 2396579 456382239 COM
AbbVie Inc. 1986753 453953202 COM
L3Harris Technologies Inc. 1545768 453791112 COM
Danaher Corp. 1963129 449399491 COM
Bank of America Corp. 8057993 443189615 COM
Walmart Inc. 3267880 364074510 COM
Toronto-Dominion Bank 3042610 330956210 COM
State Street Technology Select Sector SPDR ETF 2236615 322005462 ETF
Microsoft Corp. 634926 307062914 COM
Crowdstrike Holdings Inc. 608740 285352962 COM
Valero Energy Corp. 1656718 269697123 COM
Tesla Inc. 566933 254961109 COM
Intuitive Surgical Inc. 442620 250682263 COM
Northrop Grumman Corp. 418304 238521124 COM
Hilton Worldwide Holdings Inc. 790906 227187748 COM
Amphenol Corp. 1671695 225912862 COM
Applied Materials Inc. 845271 217226194 COM
Ulta Beauty Inc. 356318 215575953 COM
Cameco Corp. 2299732 210518653 COM
Vanguard Index Tr Stock Marke 623443 209084077 COM
Visa Inc. 594431 208472896 COM
Capital One Financial Corp. 841648 203981809 COM
Corning Inc. 2222198 194575657 COM
Canadian Pacific Kansas City Ltd. 2500911 184286781 COM
Robinhood Markets Inc. 1598728 180816137 COM
Canadian Natural Resources Ltd. 4879368 173382949 COM
JPMorgan Chase & Co. 531758 171343071 COM
Enbridge Inc. 3127756 164039717 COM
Boston Scientific Corp. 1687336 160887488 COM
PulteGroup Inc. 1366279 160209876 COM
Agnico Eagle Mines Ltd. 892110 151285945 COM
Manulife Financial Corp. 3759327 150787551 COM
Thomson Reuters Corp. 1113665 147322998 COM
Fidelity MSCI Information Technology Index ETF 653240 146763431 ETF
Taiwan Semiconductor Manufacturing Co. Ltd. ADR 482065 146494733 ADR
Howmet Aerospace Inc. 692170 141908693 COM
Suncor Energy Inc. 2558476 139627132 COM
Futu Holdings Ltd. ADR 843734 138549560 ADR
Waste Connections Inc. 766893 134497935 COM
State Street Health Care Select Sector SPDR ETF 848746 131385881 ETF
The TJX Cos. Inc. 850882 130703991 COM
State Street SPDR Bloomberg 1-3 Month T-Bill ETF 1428135 130502977 ETF
Costco Wholesale Corp. 146527 126356092 COM
Vanguard Index Fds S&P 500 Etf 200598 125801022 COM
Eaton Corp. PLC 386280 123034046 COM
CBRE Group Inc. 756580 121650498 COM
Waste Management Inc. 548001 120401308 COM
Johnson & Johnson 572755 118531649 COM
Intercontinental Exchange Inc. 713258 115519269 COM
Embraer SA ADR 1763375 113508449 ADR
State Street Financial Select Sector SPDR ETF 2065039 113102186 ETF
State Street Communication Services Select Sector SPDR ETF 932261 109745765 ETF
Primerica Inc. 420515 108644255 COM
Natera Inc. 474130 108618442 COM
Argenx SE ADR 124691 104858896 ADR
Motorola Solutions Inc. 272359 104400652 COM
Vanguard Ftse Developed Mrkt E 1662448 103853126 COM
Philip Morris International Inc. 631369 101271597 COM
Brookfield Corp. 2128475 98293078 COM
The Home Depot Inc. 284600 97930860 COM
Analog Devices Inc. 353012 95736858 COM
Advanced Micro Devices Inc. 443721 95027289 COM
Chubb Ltd. 303769 94812387 COM
Bank of Montreal 637754 94285728 COM
Mondelez International Inc. 1744878 93926786 COM
Quanta Services Inc. 219617 92691551 COM
Eli Lilly and Co. 85835 92245158 COM
State Street Industrial Select Sector SPDR ETF 579320 89864118 ETF
Rockwell Automation Inc. 229868 89434743 COM
Coca-Cola Europacific Partners PLC 982866 89145946 COM
Nutrien Ltd. 1138537 87401571 COM
Rogers Communications Inc. 1676625 86756196 COM
Pembina Pipeline Corp. 2261156 86232459 COM
TC Energy Corp. 1256846 83751050 COM
Vanguard Index Tr Lrg Cap 265951 83721374 COM
Linde PLC 195575 83391224 COM
The Williams Cos. Inc. 1365633 82088206 COM
Royal Caribbean Cruises Ltd. 286682 79961343 COM
Canadian Imperial Bank of Commerce 868400 79125554 COM
Thermo Fisher Scientific Inc. 136511 79101298 COM
Aflac Inc. 714620 78801154 COM
Brookfield Asset Management Ltd. 1480469 77656023 COM
State Street Consumer Discretionary Select Sector SPDR ETF 615060 73444315 ETF
Salesforce Inc. 277230 73440998 COM
Vanguard Sector Inde Informat 96779 72950073 COM
Honeywell International Inc. 365375 71281009 COM
Canadian National Railway Co. 539682 69787133 COM
Fidelity MSCI Health Care Index ETF 928163 68943947 ETF
M&T Bank Corp. 338881 68277744 COM
Axon Enterprise Inc. 119896 68092535 COM
Fidelity MSCI Financials Index ETF 865856 67311646 ETF
State Street Consumer Staples Select Sector SPDR ETF 853974 66336700 ETF
Sun Life Financial Inc. 709698 60806925 COM
Berkshire Hathaway Inc. 113709 57155829 COM
Johnson Controls International PLC 448741 53736735 COM
McDonald's Corp. 173085 52899969 COM
Accenture PLC 187056 50187127 COM
Ishares Tr S&P 100 Index 141240 48441082 COM
The Sherwin-Williams Co. 149350 48393880 COM
Morgan Stanley 272105 48306800 COM
Cisco Systems Inc. 626481 48257832 COM
Fidelity MSCI Communication Services Index ETF 650346 47657355 ETF
Granite REIT 785147 46741001 REIT
Equinix Inc. REIT 55545 42556358 REIT
Pan American Silver Corp. 818178 42418525 COM
Fidelity MSCI Industrials Index ETF 499003 41157767 ETF
HCA Healthcare Inc. 87707 40946890 COM
The Timken Co. 473948 39873248 COM
Ishares Msci Intl Quality Facto 843995 38359572 COM
Bank of Nova Scotia 376688 38132126 COM
Exxon Mobil Corp. 306393 36871338 COM
Vanguard Index Tr Mid Cap 122514 35556013 COM
Alamos Gold Inc. 899091 34717732 COM
State Street Energy Select Sector SPDR ETF 724762 32404109 ETF
Vanguard Sector Inde Health Ca 108987 31371907 COM
Viking Holdings Ltd. 437805 31263655 COM
Brookfield Infrastructure Partners LP 897793 31207391 LTD PART
Bristol-Myers Squibb Co. 573399 30929145 COM
Fidelity MSCI Consumer Discretionary Index ETF 302657 30919439 ETF
Fidelity MSCI Consumer Staples Index ETF 600874 29556992 ETF
Moody's Corp. 55829 28520245 COM
Vanguard Specialized Div Apprec 129446 28449641 COM
Vanguard Intl Equity Etf All-W 376684 27708874 COM
Coherent Corp. 144373 26646925 COM
Brookfield Renewable Partners LP 936892 25857558 LTD PART
Albemarle Corp. 181892 25726805 COM
State Street Utilities Select Sector SPDR ETF 593506 25336771 ETF
Ishares Trust Msci Usa Quality 121376 24107701 COM
Shopify Inc. 144859 23459500 COM
Rocket Lab Corp. 320232 22339384 COM
American Tower Corp. REIT 126175 22152545 REIT
NNN REIT Inc. 546048 21639882 REIT
Evercore Inc. 59927 20390162 COM
Vanguard Intl Eq Ind Ftse Europ 236487 19772677 COM
Brookfield Renewable Corp. 497448 19385489 COM
Magna International Inc. 361836 19287246 COM
AGCO Corp. 177037 18468500 COM
Repligen Corp. 111612 18288742 COM
Take-Two Interactive Software Inc. 70662 18091592 COM
RB Global Inc. 174582 17971406 COM
Royal Gold Inc. 77885 17313056 COM
Kratos Defense & Security Solutions Inc. 226467 17191110 COM
Vanguard Index Tr Small Cap 66579 17174053 COM
Vanguard Sector Indx Telecomm 88652 17165686 COM
Ecolab Inc. 64602 16959317 COM
Stifel Financial Corp. 128815 16130214 COM
S&P Global Inc. 30712 16049793 COM
Guardant Health Inc. 156256 15959988 COM
MetLife Inc. 193610 15283575 COM
Curtiss-Wright Corp. 27372 15089362 COM
Spdr S&P 500 Etf Tr Units Ser 1 S 22119 15083388 COM
Trane Technologies PLC 37580 14626144 COM
NexGen Energy Ltd. 1582979 14566336 COM
Fiserv Inc. 216762 14559905 COM
Toll Brothers Inc. 106063 14341839 COM
Wheaton Precious Metals Corp. 121613 14297092 COM
First Solar Inc. 54538 14246962 COM
Vanguard Ftse Emerging Market 263354 14157910 COM
Westinghouse Air Brake Technologies Corp. 65894 14065075 COM
Jabil Inc. 61487 14020266 COM
The Coca-Cola Co. 200199 13995912 COM
Franklin FTSE Japan ETF 404392 13931304 ETF
Dollar General Corp. 104880 13924917 COM
Oracle Corp. 70608 13762205 COM
TKO Group Holdings Inc. 63417 13254153 COM
Palo Alto Networks Inc. 70782 13038044 COM
Hudbay Minerals Inc. 651457 12933739 COM
Alcoa Corp. 242337 12877788 COM
State Street Materials Select Sector SPDR ETF 278400 12625440 ETF
Halliburton Co. 446444 12616507 COM
Construction Partners Inc. 115121 12496385 COM
Pfizer Inc. 489715 12193904 COM
Huntington Ingalls Industries Inc. 35637 12119075 COM
NextEra Energy Inc. 149530 12004268 COM
State Street Real Estate Select Sector SPDR ETF 296701 11971885 ETF
Vanguard Index Tr Growth 24333 11871097 COM
BWX Technologies Inc. 68473 11834873 COM
Ishares Trust Core S&P 500 Etf 17051 11678911 COM
Comcast Corp. 390333 11667054 COM
Fidelity MSCI Utilities Index ETF 210568 11627564 ETF
MasTec Inc. 53236 11571909 COM
Vanguard Industrials Etf 38505 11489121 COM
RadNet Inc. 159015 11345720 COM
Ally Financial Inc. 249473 11298632 COM
Vanguard Intl Eq Ind Pacific 124591 11263026 COM
Colliers International Group Inc. 76502 11244409 COM
RH 62648 11223389 COM
MKS Inc. 69733 11143333 COM
StandardAero Inc. 387048 11100537 COM
ATS Corp. 400140 11022763 COM
Invesco Qqq Tr Series 1 17873 10979562 COM
The Descartes Systems Group Inc. 125147 10978799 COM
Kinross Gold Corp. 389703 10976590 COM
Amer Sports Inc. 281515 10514585 COM
Ormat Technologies Inc. 94999 10494540 COM
Affirm Holdings Inc. 137948 10267470 COM
Insmed Inc. 58835 10239643 COM
Emera Inc. 198224 9992754 COM
State Street Technology Select 68885 9915995 COM
Spdr S&P Midcap 400 Etf Trutser 15794 9528204 COM
AutoZone Inc. 2796 9482634 COM
Celsius Holdings Inc. 201776 9229234 COM
Southern Copper Corp. 63989 9180502 COM
Oceaneering International Inc. 374718 9004474 COM
Ishares Msci Emerging Markets 123370 8966531 COM
Digital Realty Trust Inc. REIT 56414 8727810 REIT
IQVIA Holdings Inc. 38383 8651913 COM
Five Below Inc. 45830 8632539 COM
Expand Energy Corp. 77048 8503018 COM
Valmont Industries Inc. 20472 8236295 COM
Texas Instruments Inc. 46689 8100079 COM
Trimble Inc. 103316 8094809 COM
Cheniere Energy Inc. 41191 8007118 COM
Duke Energy Corp. 67979 7967818 COM
Fabrinet 17477 7956929 COM
CGI Inc. 60556 7677290 COM
Ishares Core Msci Eafe Etf 85256 7627001 COM
Antero Resources Corp. 213112 7343840 COM
TELUS Corp. 534076 7299927 COM
American Electric Power Co. Inc. 62865 7248964 COM
Roku Inc. 66488 7213283 COM
Bentley Systems Inc. 188755 7203834 COM
HA Sustainable Infrastructure Capital Inc. 227289 7143693 COM
CME Group Inc. 24848 6785492 COM
Welltower Inc. REIT 36553 6784602 REIT
Invesco S&P 500 Equal Wtf Etf 34575 6623187 COM
CRH PLC 52574 6561235 COM
Booking Holdings Inc. 1222 6544213 COM
Prologis Inc. REIT 51004 6511171 REIT
Sempra 73707 6507591 COM
Gildan Activewear Inc. 103815 6488863 COM
Vanguard Index Tr Small Cap Va 30200 6396058 COM
Kinder Morgan Inc. 231201 6355715 COM
Aptiv PLC 80124 6096635 COM
Automatic Data Processing Inc. 23694 6094807 COM
Entergy Corp. 65089 6016176 COM
Fidelity MSCI Materials Index ETF 113138 6008759 ETF
Vanguard Short-Term Corp 74615 5949053 COM
Altria Group Inc. 100951 5820835 COM
Fidelity MSCI Energy Index ETF 234786 5815650 ETF
Equifax Inc. 26721 5797926 COM
Vanguard Index Tr Value 30205 5768852 COM
The Southern Co. 65309 5694945 COM
Fidelity MSCI Real Estate Index ETF 210562 5662012 ETF
UnitedHealth Group Inc. 17039 5624744 COM
RTX Corp. 29831 5471005 COM
Vanguard Whitehall F Etf High 37465 5376976 COM
Verizon Communications Inc. 129081 5257469 COM
AT&T Inc. 211067 5242905 COM
Lumentum Holdings Inc. 14181 5226975 COM
Constellation Energy Corp. 14709 5196248 COM
Amcor PLC 595096 4963101 COM
Mastercard Inc. 8648 4936969 COM
iShares MSCI EAFE ETF 50526 4852011 COM
Ventas Inc. REIT 62612 4844917 REIT
NiSource Inc. 114653 4787909 COM
The Progressive Corp. 20704 4714715 COM
Exelon Corp. 104971 4575686 COM
Vanguard Sector Inde Consume 14319 4565833 COM
Sprott Inc. 46314 4536413 COM
Garmin Ltd. 22218 4506921 COM
GE Vernova LLC 6735 4401794 COM
Advanced Drainage Systems Inc. 30055 4352866 COM
VICI Properties Inc. REIT 153533 4317348 REIT
Brookfield Business Partners LP - Units 117066 4142578 LTD PART
Solstice Advanced Materials Inc. 84540 4106953 COM
Elevance Health Inc. 11553 4049904 COM
Becton Dickinson and Co. 20698 4016861 COM
CBOE Global Markets Inc. 15932 3998932 COM
Vanguard Bd Index Fd Etf Short 50575 3985815 COM
McKesson Corp. 4841 3971023 COM
Union Pacific Corp. 17048 3943543 COM
Gartner Inc. 15551 3923206 COM
Marsh and McLennan Cos. Inc. 21064 3907793 COM
Molina Healthcare Inc. 22196 3851894 COM
Darden Restaurants Inc. 20514 3774986 COM
General Electric Co. 12241 3770595 COM
Gaming and Leisure Properties Inc. REIT 83387 3726565 REIT
General Dynamics Corp. 10929 3679357 COM
Ishares Trust Core S&P Mid-Cap 55505 3663330 COM
MP Materials Corp. 72375 3656385 COM
Enphase Energy Inc. 113630 3641841 COM
Charles River Laboratories International Inc. 17972 3585054 COM
QXO Inc. 183862 3546698 COM
Science Applications International Corp. 35116 3534776 COM
Rocket Cos. Inc. 182454 3532310 COM
Centene Corp. 84974 3496680 COM
Penumbra Inc. 11098 3450479 COM
Targa Resources Corp. 18646 3440187 COM
SPS Commerce Inc. 38346 3417779 COM
Cognizant Technology Solutions Corp. 41162 3416446 COM
Anglogold Ashanti PLC 39607 3377685 COM
CMS Energy Corp. 48081 3362304 COM
Realty Income Corp. REIT 59595 3359370 REIT
International Business Machines Corp. 11338 3358429 COM
Otis Worldwide Corp. 38098 3327860 COM
Okta Inc. 38346 3315778 COM
Zoom Communications Inc. 38346 3308876 COM
Fox Corp. 45220 3304225 COM
Ball Corp. 62364 3303422 COM
Teledyne Technologies Inc. 6460 3299316 COM
F5 Inc. 12920 3297959 COM
CCC Intelligent Solutions Holdings Inc. 414766 3297390 COM
Everest Group Ltd. 9690 3288302 COM
Qnity Electronics Inc. 40098 3274002 COM
The Bank of New York Mellon Corp. 28160 3269094 COM
MarketAxess Holdings Inc. 17972 3257425 COM
FirstCash Holdings Inc. 20374 3247208 COM
Godaddy Inc. 26038 3230795 COM
eBay Inc. 36938 3217300 COM
Choice Hotels International Inc. 33708 3211024 COM
Selective Insurance Group Inc. 38346 3208410 COM
Jack Henry and Associates Inc. 17558 3203984 COM
Arrow Electronics Inc. 29070 3202932 COM
Amdocs Ltd. 39754 3200595 COM
Gilead Sciences Inc. 26062 3198850 COM
DR Horton Inc. 22196 3196890 COM
Avery Dennison Corp. 17558 3193449 COM
Willis Towers Watson PLC 9690 3184134 COM
Murphy USA Inc. 7868 3174895 COM
Fidelity National Information Services Inc. 47622 3164959 COM
Gentex Corp. 135826 3160671 COM
Expeditors International of Washington Inc. 21202 3159310 COM
Diamondback Energy Inc. 20996 3156329 COM
Genpact Ltd. 67416 3153721 COM
MAXIMUS Inc. 36524 3152752 COM
Hormel Foods Corp. 132596 3142525 COM
HEICO Corp. 9690 3135587 COM
Bank of America Corp. Preferred 2500 3130000 CPFD
Watsco Inc. 9276 3125548 COM
Lockheed Martin Corp. 6460 3124508 COM
RenaissanceRe Holdings Ltd. 11098 3120314 COM
Booz Allen Hamilton Holding Corp. 36938 3116090 COM
Axis Capital Holdings Ltd. 29070 3113106 COM
Planet Fitness Inc. 28656 3108317 COM
Arch Capital Group Ltd. 32300 3098216 COM
LKQ Corp. 102532 3096467 COM
Varonis Systems Inc. 94250 3091400 COM
Bright Horizons Family Solutions Inc. 30478 3090469 COM
Gen Digital Inc. 113630 3089600 COM
US Bancorp 57862 3087516 COM
Kinsale Capital Group Inc. 7868 3077332 COM
Coterra Energy Inc. 116860 3075755 COM
Intuit Inc. 4638 3072304 COM
FTI Consulting Inc. 17972 3070157 COM
CNA Financial Corp. 64186 3064239 COM
The Hartford Insurance Group Inc. 22196 3058608 COM
Vistra Corp. 18952 3057526 COM
Paychex Inc. 27248 3056681 COM
The Cigna Group 11098 3054502 COM
Veralto Corp. 30478 3041095 COM
Amgen Inc. 9276 3036127 COM
NVR Inc. 416 3033792 COM
UFP Industries Inc. 33294 3031419 COM
Sabra Health Care REIT Inc. 159844 3027445 REIT
Fastenal Co. 75284 3021147 COM
Allegion PLC 18966 3019766 COM
Loews Corp. 28656 3017763 COM
Electronic Arts Inc. 14742 3012233 COM
Abbott Laboratories 24018 3009215 COM
Appfolio Inc. 12920 3005838 COM
H&R Block Inc. 68824 2999350 COM
Old Republic International Corp. 65594 2993710 COM
Hologic Inc. 40168 2992114 COM
Autodesk Inc. 10104 2990885 COM
Service Corp. International 38346 2989837 COM
Frontier Communications Parent Inc. 78515 2989066 COM
GameStop Corp. 148746 2986820 COM
Royalty Pharma PLC 77106 2979376 COM
Church & Dwight Co. Inc. 35530 2979191 COM
Sun Communities Inc. REIT 24018 2976070 REIT
KBR Inc. 73876 2969815 COM
Rollins Inc. 49444 2967629 COM
CF Industries Holdings Inc. 38346 2965680 COM
Occidental Petroleum Corp. 72054 2962861 COM
Chewy Inc. 89612 2961677 COM
Crown Castle Inc. REIT 33294 2958838 REIT
RLI Corp. 46214 2956772 COM
Pool Corp. 12920 2955450 COM
The Hanover Insurance Group Inc. 16150 2951736 COM
American Water Works Co. Inc. 22610 2950605 COM
Conagra Brands Inc. 170379 2949260 COM
Brown & Brown Inc. 36938 2943959 COM
Graphic Packaging Holding Co. 195374 2942332 COM
Essential Utilities Inc. 76692 2941905 COM
Akamai Technologies Inc. 33708 2941023 COM
Ishares Trust Core S&P Total Us 19775 2940344 COM
The Hershey Co. 16150 2938977 COM
Tyler Technologies Inc. 6460 2932517 COM
Yum! Brands Inc. 19380 2931806 COM
Tradeweb Markets Inc. 27248 2930249 COM
Omega Healthcare Investors Inc. REIT 66008 2926795 REIT
White Mountains Insurance Group Ltd. 1408 2925866 COM
Virtu Financial Inc. 87790 2925163 COM
Aon PLC 8282 2922552 COM
Texas Roadhouse Inc. 17558 2914628 COM
Leidos Holdings Inc. 16150 2913460 COM
Equity LifeStyle Properties Inc. REIT 48036 2911462 REIT
Ishares S&P500 93850 2908411 COM
BJ's Wholesale Club Holdings Inc. 32300 2907969 COM
General Mills Inc. 62364 2899925 COM
Agree Realty Corp. REIT 40168 2893301 REIT
Halozyme Therapeutics Inc. 42984 2892823 COM
Verisk Analytics Inc. 12920 2890074 COM
Consolidated Edison Inc. 29070 2887233 COM
Albertsons Cos. Inc. 168126 2886723 COM
Broadridge Financial Solutions Inc. 12920 2883356 COM
Guidewire Software Inc. 14328 2880072 COM
Dolby Laboratories Inc. 44806 2877442 COM
Roper Technologies Inc. 6460 2875539 COM
Incyte Corp. 29070 2871243 COM
Centerpoint Energy Inc. 74870 2870516 COM
Dupont De Nemours Inc. 71251 2864290 COM
FirstEnergy Corp. 63772 2855073 COM
SBA Communications Corp. REIT 14742 2851545 REIT
Dropbox Inc. 102532 2850389 COM
Tetra Tech Inc. 84560 2836142 COM
The Travelers Cos. Inc. 9690 2810681 COM
Quest Diagnostics Inc. 16150 2802509 COM
The Kroger Co. 44806 2799479 COM
Cencora Inc. 8282 2797246 COM
VeriSign Inc. 11512 2796840 COM
Erie Indemnity Co. 9690 2777638 COM
UL Solutions Inc. 35116 2769248 COM
Chemed Corp. 6460 2763976 COM
O'Reilly Automotive Inc. 30064 2742137 COM
Republic Services Inc. 12920 2738136 COM
Ryan Specialty Holdings Inc. 52674 2719559 COM
Post Holdings Inc. 27248 2698914 COM
CACI International Inc. 5052 2691756 COM
W. R. Berkley Corp. 38346 2688821 COM
UWM Holdings Corp. 609726 2670600 COM
Permian Resources Corp. 189816 2663118 COM
Lennar Corp. 25426 2613793 COM
The Procter & Gamble Co. 18161 2602653 COM
Vaneck Fallen Angel Hi Yld Bond 87500 2569437 COM
Paramount Skydance Corp. 188914 2531447 COM
Spdr Series Trust Sp500 Fossil F 44225 2485002 COM
SPDR Gold Shares 6215 2463067 ETF
Ishares Tr Core S&P Small-Cap 20200 2427636 COM
Wells Fargo & Co. 25099 2339227 COM
Ishares Emerg Mkts Etf 42535 2327089 COM
FTAI Aviation Ltd. 11506 2264956 COM
Parsons Corp. 36524 2257183 COM
Simon Property Group Inc. REIT 12173 2253344 REIT
NRG Energy Inc. 14077 2241621 COM
QXO Inc. Preferred 40000 2206000 CPFD
Iron Mountain Inc. REIT 26236 2176276 REIT
Merck & Co. Inc. 20084 2114042 COM
Grupo Aeroportuario del Sureste SAB de CV ADR 6346 2052296 ADR
Badger Meter Inc. 11761 2051236 COM
Xcel Energy Inc. 26882 1985505 COM
QUALCOMM Inc. 11185 1913194 COM
3M Co. 11800 1889180 COM
Ishares Sp Smcp600Vl Etf 15675 1782561 COM
Parker-Hannifin Corp. 1996 1754404 COM
PepsiCo Inc. 12140 1742333 COM
Freeport-McMoRan Inc. 34030 1728384 COM
Regions Financial Corp. 63305 1715566 COM
Vertiv Holdings Co. 10547 1708719 COM
Western Digital Corp. 9839 1694965 COM
Vanguard Int-Term Corp 20100 1683374 COM
Alexandria Real Estate Equities Inc. REIT 34052 1666506 REIT
Vanguard Short-Term Treasury 27600 1620947 COM
Ryanair Holdings PLC ADR 22137 1598070 ADR
Netflix Inc. 16918 1586231 COM
Wells Fargo & Co. Preferred 1300 1575600 CPFD
Albermale Corp. Preferred 26000 1544140 CPFD
Caterpillar Inc. 2651 1518678 COM
CH Robinson Worldwide Inc. 9300 1495068 COM
Uber Technologies Inc. 18027 1472986 COM
Teradyne Inc. 7505 1452668 COM
Fortis Inc. 21824 1361093 COM
Lam Research Corp. 7865 1346331 COM
ServiceNow Inc. 8595 1316668 COM
Equitable Holdings Inc. 27271 1299463 COM
TechnipFMC PLC 28707 1279184 COM
Spdr Index Shs Fds Msci Eafe Fos 25135 1268462 COM
T Rowe Price Group Inc. 12152 1244122 COM
FedEx Corp. 4245 1226211 COM
Tapestry Inc. 9590 1225314 COM
WEC Energy Group Inc. 11364 1198447 COM
The Boeing Co. Preferred 17000 1174020 CPFD
The Charles Schwab Corp. 11627 1161654 COM
ARM Holdings PLC ADR 10600 1158686 ADR
International Paper Co. 28845 1136205 COM
Apollo Global Management Inc. Preferred 15000 1132800 CPFD
Palantir Technologies Inc. 6334 1125868 COM
Hasbro Inc. 13679 1121678 COM
Chevron Corp. 7343 1119146 COM
KKR & Co. Inc. Preferred 20500 1062720 PFD
Universal Display Corp. 9100 1062698 COM
United Airlines Holdings Inc. 9417 1053009 COM