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Foster & Motley Inc

All holdings · as of Jun 30, 2026

405 positions

CompanyClassValueShares% of portfolio
Merck & Co., Inc.$4.9K38,2820.2%
Valero Energy Corp$4.9K18,7740.2%
EOG RESOURCES INC$4.8K37,3170.2%
NetApp Inc$4.8K30,9380.2%
THE GOLDMAN SACHS GROUP, INC.$4.7K4,6540.2%
Owens Corning$4.7K29,5200.2%
CIRRUS LOGIC, INC.$4.7K31,4520.2%
BELDEN INC.$4.6K38,7320.2%
OMNICOM GROUP INC.$4.5K61,8260.2%
VONTIER CORP$4.5K155,0380.2%
NUCOR CORP$4.3K19,5110.2%
PRUDENTIAL FINANCIAL INC$4.3K40,0560.2%
Dick's Sporting Goods Inc$4.1K17,9920.2%
PFIZER INC$4.1K168,2390.2%
Taylor Morrison Home Corp$4.0K56,2440.2%
iShares Natl Amt-Free Muni Bond ETF$4.0K37,2000.2%
Alphabet Inc.$3.9K10,8410.2%
Vanguard Interm-Tm Govt Bd Inx ETF$3.8K65,1520.2%
VeriSign Inc$3.7K14,7830.2%
Invesco FTSE RAFI Emerging Markets ETF$3.7K132,0000.2%
PGIM AAA CLO ETF$3.6K70,7410.2%
iShares Barclays TIPS Bond$3.6K33,0790.2%
The Real Estate Select Sector SPDR Fund$3.6K81,2660.2%
J M SMUCKER Co$3.6K31,6770.2%
Quest Diagnostics Inc$3.5K16,5710.2%
SANMINA CORP$3.5K13,8480.2%
RELIANCE, INC.$3.4K9,1710.2%
Union Pacific Corp$3.4K12,4990.2%
Novartis A G Spon Adr$3.4K21,4470.2%
Vanguard Emerging Markets Stock ETF$3.3K55,7330.2%
AMERICAN INTERNATIONAL GROUP, INC.$3.3K44,2910.2%
LOWES COMPANIES INC$3.3K14,9370.2%
BRISTOL MYERS SQUIBB CO$3.3K56,4540.1%
AUTONATION, INC.$3.3K17,4920.1%
Leidos Holdings Inc$3.2K31,3650.1%
Ingredion Inc$3.2K33,8820.1%
Principal Financial Group Inc$3.2K29,6150.1%
EDISON INTERNATIONAL$3.2K42,6860.1%
Vanguard Small Cap Value ETF$3.1K12,9450.1%
MOLSON COORS BEVERAGE CO$3.1K79,0590.1%
AT&T INC.$3.0K144,4030.1%
Eaton Corp plc$3.0K6,9670.1%
US BANCORP \DE$3.0K49,1310.1%
ARROW ELECTRONICS, INC.$2.9K13,5880.1%
Tapestry Inc$2.9K19,5980.1%
Match Group, Inc.$2.9K74,9300.1%
Sensata Technologies Holding plc$2.8K58,1520.1%
Amdocs Limited Common Stock$2.7K53,7280.1%
SPDR Portfolio High Yield Bond ETF$2.7K113,6810.1%
iShares 0-3 Month Treasury Bond ETF$2.6K26,1140.1%
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