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Stoneridge Investment Partners LLC

All holdings · as of Mar 31, 2026

128 positions

CompanyClassValueShares% of portfolio
NVIDIA Corp$7.4K42,6005.4%
Apple Inc.$7.4K29,2055.4%
MICROSOFT CORP$7.0K19,0085.1%
WELLS FARGO & COMPANY/MN$6.2K78,4594.5%
Amazon.com Inc$6.2K29,5704.5%
BOSTON SCIENTIFIC CORP$5.2K82,8243.8%
Broadcom Inc.$5.2K16,6923.7%
NIKE, Inc.$4.2K78,8343.0%
Alphabet Inc.$4.0K14,0842.9%
Meta Platforms Inc$3.4K5,9872.5%
Alphabet Inc.$3.2K11,2422.3%
HUNTINGTON BANCSHARES INC /MD$3.2K203,2422.3%
TARGET CORP$3.0K24,4182.1%
FISERV INC$2.2K39,8511.6%
ABBOTT LABORATORIES$2.1K20,6941.5%
LAM RESEARCH CORP$2.0K9,2771.4%
Uber Technologies, Inc$1.9K26,4531.4%
CARRIER GLOBAL Corp$1.8K32,2871.3%
Exelon Corp$1.7K34,8741.2%
ADVANCED MICRO DEVICES INC$1.7K8,2641.2%
UNITEDHEALTH GROUP INC$1.7K6,2081.2%
KLA CORP$1.6K1,0671.1%
APPLIED MATERIALS INC /DE$1.6K4,5781.1%
Baker Hughes Co$1.4K22,3901.0%
Salesforce Inc$1.4K7,3161.0%
United Parcel Service Inc$1.3K13,4821.0%
ServiceNow Inc$1.3K12,5971.0%
Walmart Inc.$1.3K10,5771.0%
PRUDENTIAL FINANCIAL INC$1.3K13,4631.0%
Assurant Inc$1.3K5,9350.9%
BIOGEN INC.$1.3K7,0290.9%
FIFTH THIRD BANCORP$1.3K27,3120.9%
ADOBE INC.$1.3K5,2120.9%
3M CO$1.2K8,4020.9%
ORACLE CORP$1.2K8,2810.9%
Allegion plc$1.2K7,9360.8%
FEDERAL REALTY$1.1K10,1690.8%
PPL Corp$1.0K27,2990.8%
Xylem Inc.$1.0K8,6340.7%
General Motors Co$1.0K13,5470.7%
American Tower Corp$1.0K5,8030.7%
Estee Lauder Cos Inc/The$99713,8960.7%
KIMBERLY CLARK CORP$97010,0520.7%
AMCOR$95123,9370.7%
VERIZON COMMUNICATIONS INC$94518,8240.7%
QUALCOMM INC/DE$9137,0890.7%
ONEOK Inc$8369,2520.6%
W. R. Berkley Corporation$81712,3240.6%
AMPHENOL CORP /DE$7756,1330.6%
Willdan Group, Inc.$7509,7990.5%
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