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Portfolio (Quarterly) Guide ↗

SlateStone Wealth, LLC

· CIK 0001764049
13F Portfolio $1.2B AUM 291 positions Filed May 14, 2026 EDGAR ↗ ← All Funds
Q1 2026 Q4 2025 · All 12 New 141 Added 90 Reduced 17 Exited
Page 4 of 15  ·  291 positions
# Ticker Company Sector Shares Value ↓ % Port Chg Shares Chg % Period Price ① Since Period ①
61 MDT Medtronic PLC Healthcare 66,421.0 $5.8M 0.47% +4K +5.9% $86.64 -10.4%
62 KMB Kimberly Clark Corp Consumer Defensive 56,848.0 $5.5M 0.45% +5K +8.9% $96.47 +2.4%
63 PYLD Pimco MULTISECTOR BD 198,217.0 $5.2M 0.43% +12K +6.5% $26.20 +0.8%
64 MCD McDonalds Corp Consumer Cyclical 16,643.0 $5.2M 0.43% +729.0 +4.6% $310.76 -10.1%
65 AVGO Broadcom Inc Technology 16,502.0 $5.1M 0.42% +150.0 +0.9% $309.48 +36.4%
66 URI United Rentals Inc Industrials 6,865.0 $5.0M 0.41% +265.0 +4.0% $728.62 +32.2%
67 UCON First Trust ETF TCW Unconstrai 201,665.0 $5.0M 0.41% -5K -2.4% $24.77 +0.3%
68 CDX Simplify Exchange Traded Funds 233,356.0 $5.0M 0.41% +39K +19.9% $21.34 -0.7%
69 SNPS Synopsys Inc Technology 12,364.0 $4.9M 0.40% +2K +16.1% $396.47 +34.8%
70 JPMorgan Exchange Traded Fund 91,320.0 $4.6M 0.38% $50.61
71 BOND Pimco ACTIVE BD ETF 47,029.0 $4.3M 0.36% +2K +5.1% $92.28 -0.5%
72 LLY Lilly Eli & Co Healthcare 4,378.0 $4.0M 0.33% -25.0 -0.6% $919.60 +15.8%
73 ABT Abbott Laboratories Healthcare 39,196.0 $4.0M 0.33% -322.0 -0.8% $102.66 -15.6%
74 TMO Thermo Fisher Scientific Inc Healthcare 8,093.0 $4.0M 0.33% +601.0 +8.0% $491.54 -8.8%
75 TXN Texas Instruments Inc Technology 20,405.0 $4.0M 0.33% +1K +5.4% $194.12 +67.4%
76 XOM Exxon Mobil Corp Energy 23,170.0 $3.9M 0.32% -2K -8.4% $169.66 -8.7%
77 CMI Cummins Inc Industrials 7,217.0 $3.9M 0.32% +240.0 +3.4% $538.04 +24.3%
78 UNP Union Pacific Corp Industrials 15,674.0 $3.8M 0.31% +761.0 +5.1% $242.63 +11.7%
79 JEPQ Jpmorgan Etf NASDAQ EQT PREM 67,880.0 $3.8M 0.31% -515.0 -0.8% $55.52 +9.1%
80 RMD ResMed Inc Healthcare 16,384.0 $3.7M 0.30% +1K +8.6% $224.49 -7.4%
Page 4 of 15  ·  291 positions

Period Price is the implied market price on the last day of the reporting period, calculated as reported value ÷ shares held. It is not the fund's purchase price or cost basis — the fund may have initiated or added to the position at any point during the quarter at a different price. Since Period shows the price change from that quarter-end snapshot to today's last price — it reflects stock movement after the report date, not the fund's actual return.

Sector Allocation
Technology 26.8%
Financial Services 17.0%
Industrials 13.2%
Healthcare 10.5%
Consumer Defensive 7.8%
Consumer Cyclical 7.7%
Communication Services 7.1%
Basic Materials 3.5%
Energy 3.5%
Utilities 2.4%