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Palouse Capital Management, Inc.

All holdings · as of Mar 31, 2026

135 positions

CompanyClassValueShares% of portfolio
FISERV INC$1.18M21,1700.8%
APTIV PLC$1.17M16,8670.8%
CVS HEALTH Corp$1.07M14,9460.7%
Kraft Heinz Co$973.9K43,3020.6%
Apple Inc.$613.7K2,4180.4%
VANGUARD SCOTTSDALE FDS$583.3K7,0490.4%
PPG INDUSTRIES INC$535.3K5,0080.4%
LAM RESEARCH CORP$497.8K2,3300.3%
INVESCO EXCH TRADED FD TR II$395.6K16,4950.3%
Ultra Clean Holdings Inc$390.4K6,2780.3%
Waters Corp$381.8K1,2820.3%
iShares MSCI UAE ETF$364.6K3,3450.2%
SCHWAB STRATEGIC TR$324.5K12,6550.2%
ISHARES TR$280.5K2,4800.2%
THERMO FISHER SCIENTIFIC INC.$236.4K4810.2%
PHOTRONICS INC$202.0K4,9990.1%
EnerSys$199.7K1,1500.1%
SCHWAB STRATEGIC TR$195.0K6,7050.1%
SCHWAB STRATEGIC TR$188.4K6,4680.1%
Axos Financial Inc$183.6K2,1580.1%
BRADY CORP$178.9K2,2020.1%
Performance Food Group Co$167.2K1,9520.1%
CVB FINANCIAL CORP$155.0K7,9960.1%
MCGRATH RENTCORP$149.5K1,3560.1%
CROWN HOLDINGS, INC.$148.5K1,4810.1%
VANGUARD SCOTTSDALE FDS$143.7K1,8130.1%
PARSONS CORPPSNCommon Stock$140.2K2,5890.1%
Zeta Global Holdings Corp.$137.5K8,6360.1%
ITRON, INC.$135.6K1,5130.1%
ACM Research Inc$126.6K3,2180.1%
Yum China Holdings, Inc.YUMCCommon Stock$125.7K2,5770.1%
Crane NXT, Co.$125.5K3,0910.1%
ISHARES TR$123.3K5770.1%
Meritage Homes CORP$120.3K1,9460.1%
Globus Medical Inc$119.2K1,3830.1%
Gentherm Inc$117.3K4,2220.1%
INCYTE CORP$115.1K1,2230.1%
SPDR SERIES TRUST$115.0K1,2010.1%
SCHWAB STRATEGIC TR$112.8K3,6760.1%
MOHAWK INDUSTRIES INC$100.3K1,0190.1%
ABM INDUSTRIES INC /DE$97.2K2,5240.1%
Owens Corning$96.5K8920.1%
UPBOUND GROUP, INC.$95.8K5,3070.1%
Northwest Natural Holding Co$93.8K1,7620.1%
MERIT MEDICAL SYSTEMS INC$90.6K1,3150.1%
Western Alliance Bancorp$89.3K1,2610.1%
NEW JERSEY RESOURCES CORP$88.9K1,6180.1%
HEALTHPEAK PROPERTIES, INC.$88.4K5,3830.1%
Bridgewater Bancshares IncBWBCommon Stock$85.2K4,8140.1%
MID PENN BANCORP INC$83.1K2,5840.1%
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