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Smith Group Asset Management, LLC

All holdings · as of Dec 31, 2025

170 positions

CompanyClassValueShares% of portfolio
Apple Inc.$80.73M296,9674.3%
MICROSOFT CORP$80.32M166,0714.3%
Broadcom Inc.$78.69M227,3754.2%
Alphabet Inc.$77.17M246,5534.1%
KLA CORP$74.19M61,0593.9%
Parker-Hannifin Corp$63.71M72,4803.4%
AppLovin Corp$62.02M92,0393.3%
Comfort Systems USA Inc$60.55M64,8733.2%
Booking Holdings Inc$54.25M10,1312.9%
AMERICAN EXPRESS CO$53.92M145,7532.9%
Medpace Holdings, Inc.$53.23M94,7822.8%
Meta Platforms Inc$53.19M80,5752.8%
Arista Networks, Inc.ANETCommon Stock$49.70M379,3202.6%
COSTCO WHOLESALE CORP /NEW$48.96M56,7762.6%
MCKESSON CORP$47.60M58,0332.5%
ANALOG DEVICES INC$42.83M157,9262.3%
JPMORGAN CHASE & CO$42.25M131,1262.2%
HASBRO, INC.$41.72M508,7862.2%
Tapestry Inc$38.34M300,0752.0%
CADENCE DESIGN SYSTEMS INC$37.90M121,2552.0%
TJX Cos Inc/The$37.81M246,1272.0%
Netflix Inc$37.72M402,3572.0%
Cboe Global Markets Inc$36.93M147,1402.0%
ARCH CAPITAL GROUP LTD.$36.72M382,7881.9%
SCHWAB CHARLES CORP$36.07M361,0041.9%
HUNTINGTON BANCSHARES INC /MD$35.64M2,053,8921.9%
HUBBELL INC$35.58M80,1201.9%
Workday Inc$34.01M158,3621.8%
Okta, Inc.$29.83M345,0271.6%
ADVANCED MICRO DEVICES INC$29.18M136,2381.5%
JOHNSON & JOHNSON$28.76M138,9821.5%
Walt Disney Co$27.84M244,6991.5%
Waters Corp$27.59M72,6481.5%
ADOBE INC.$27.07M77,3421.4%
VERTEX PHARMACEUTICALS INC / MA$23.60M52,0511.3%
VEEVA SYSTEMS INC$22.33M100,0471.2%
EXXON MOBIL CORP$21.30M177,0261.1%
ExlService Holdings Inc$21.08M496,6611.1%
Marathon Petroleum Corp$14.10M86,7040.7%
NVIDIA Corp$12.42M66,5930.7%
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTDTSMADR$10.14M33,3630.5%
KINROSS GOLD CORP$9.67M343,3700.5%
CANADIAN IMPERIAL BANK OF COMMERCE /CAN$7.61M83,9400.4%
COCA-COLA EUROPACIFIC PARTNE$6.33M69,8010.3%
Amazon.com Inc$4.47M19,3670.2%
Alphabet Inc.$3.33M10,5990.2%
Rockwell Automation Inc$3.03M7,7780.2%
BRINKER INTERNATIONAL, INC$2.89M20,1270.2%
BARRICK MNG CORP$2.85M65,4000.2%
AZZ INC$2.82M26,2900.1%
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