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Coyle Financial Counsel LLC

All holdings · as of Jun 30, 2026

125 positions

CompanyClassValueShares% of portfolio
T3 DEFENSE INC$2.8K16,4780.0%
Snap Inc$44.6K10,0430.0%
BRC Inc.BRCCCommon Stock$88.1K79,3950.0%
ISHARES TR$201.1K4910.0%
INVESCO EXCHANGE TRADED FD T$203.8K3,1600.0%
SUNCOR ENERGY INC NEW$207.4K3,8630.0%
COSTCO WHOLESALE CORP /NEW$209.5K2240.0%
SELECT SECTOR SPDR TR$222.5K1,2010.0%
IDEXX LABORATORIES INC /DE$231.1K4390.0%
PINTEREST, INC.$232.2K11,0420.0%
STARBUCKS CORP$235.3K2,3030.0%
CISCO SYSTEMS, INC.$245.3K2,0880.0%
Mastercard Inc$249.7K4860.0%
ANALOG DEVICES INC$259.0K6520.0%
Merck & Co., Inc.$260.6K2,0280.0%
O REILLY AUTOMOTIVE INC$266.6K2,8950.0%
General Motors Co$271.2K3,5180.0%
Philip Morris International Inc.$275.7K1,5240.1%
QUALCOMM INC/DE$289.4K1,5660.1%
VANGUARD INDEX FDS$302.3K3,5100.1%
MACOM Technology Solutions Holdings, Inc.$306.2K8050.1%
CME Group Inc$313.7K1,4210.1%
FIRST TR EXCH TRADED FD III$318.7K6,2040.1%
CARDINAL HEALTH INC$320.5K1,3490.1%
VANGUARD INDEX FDS$321.2K1,4740.1%
APPLIED MATERIALS INC /DE$324.6K4490.1%
Nebius Group N.V.$331.4K1,2000.1%
EXXON MOBIL CORP$336.3K2,4600.1%
REINSURANCE GROUP OF AMERICA INC$339.2K1,5950.1%
CHEVRON CORP$346.8K2,0920.1%
SELECT SECTOR SPDR TR$350.2K2,2070.1%
MCKESSON CORP$356.6K4720.1%
SELECT SECTOR SPDR TR$365.6K3,4130.1%
GLOBE LIFE INC.$368.3K2,0610.1%
VANGUARD INSTL INDEX FD$384.5K5,0800.1%
UNITEDHEALTH GROUP INC$384.9K9260.1%
Arista Networks, Inc.ANETCommon Stock$394.0K2,3190.1%
Union Pacific Corp$394.9K1,4520.1%
Monolithic Power Systems Inc$400.9K2900.1%
CITIGROUP INC$415.3K2,9670.1%
Diamondback Energy, Inc.$416.1K2,3670.1%
TJX Cos Inc/The$419.4K2,7680.1%
ATI Inc$438.9K2,2270.1%
Wintrust Financial Corp$445.5K2,7720.1%
COCA COLA CONSOLIDATED INC$450.8K2,3610.1%
RTX Corp$496.4K2,6170.1%
ISHARES TR$515.9K3,7510.1%
Walmart Inc.$518.8K4,5810.1%
GENERAC HOLDINGS INC.$528.8K1,8060.1%
GENERAL ELECTRIC CO$528.8K1,4150.1%
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