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Stonebrook Private Inc.

All holdings · as of Dec 31, 2025

209 positions

CompanyClassValueShares% of portfolio
Motorola Solutions, Inc.$2.04M5,3240.4%
HOME DEPOT, INC.$2.02M5,8690.4%
SPDR S&P 500 ETF TR$2.02M2,9590.4%
Warren E. Buffett$1.97M3,9240.4%
ANALOG DEVICES INC$1.87M6,8970.4%
Marathon Petroleum Corp$1.84M11,2990.4%
Visa Inc$1.77M5,0610.4%
ISHARES TR$1.71M4,9960.4%
BLACKROCK ETF TRUST$1.69M65,8260.4%
SCHWAB STRATEGIC TR$1.66M50,9750.3%
ISHARES TR$1.57M32,5270.3%
Chubb Ltd$1.50M4,7920.3%
GRAYSCALE ETHEREUM MINI TR E$1.43M51,0360.3%
CME Group Inc$1.39M5,0750.3%
SELECT SECTOR SPDR TR$1.36M24,9100.3%
COSTCO WHOLESALE CORP /NEW$1.36M1,5790.3%
SPDR DOW JONES INDL AVERAGE$1.35M2,8170.3%
Johnson Controls International plc$1.31M10,9490.3%
ISHARES TR$1.24M8,7290.3%
Netflix Inc$1.09M11,5750.2%
Mastercard Inc$1.08M1,9000.2%
BONDBLOXX ETF TRUST$1.08M21,4300.2%
BANK OF AMERICA CORP /DE$1.08M19,5760.2%
ORACLE CORP$1.05M5,4010.2%
EXXON MOBIL CORP$1.03M8,5790.2%
Medtronic plc$990.4K10,3100.2%
COCA COLA CO$978.2K13,9920.2%
iShares MSCI UAE ETF$956.3K25,1320.2%
CUMMINS INC$943.7K1,8490.2%
DARDEN RESTAURANTS INC$897.9K4,8800.2%
VANGUARD INDEX FDS$877.3K1,3990.2%
ISHARES TR$870.9K13,1960.2%
VERIZON COMMUNICATIONS INC$869.2K21,3400.2%
MICRON TECHNOLOGY INC$838.3K2,9370.2%
Air Products & Chemicals, Inc.$822.3K3,3290.2%
ADVANCED MICRO DEVICES INC$801.4K3,7420.2%
iShares MSCI UAE ETF$790.9K8,4000.2%
SELECT SECTOR SPDR TR$783.5K5,0610.2%
CISCO SYSTEMS, INC.$783.3K10,1690.2%
REALTY INCOME CORP$781.9K13,8700.2%
UNITEDHEALTH GROUP INC$759.1K2,3000.2%
SCHWAB STRATEGIC TR$757.7K27,6230.2%
Union Pacific Corp$740.9K3,2030.2%
NEXTERA ENERGY INC$723.6K9,0130.2%
ISHARES TR$722.7K3,4360.2%
SPDR SERIES TRUST$719.5K8,7220.2%
THE GOLDMAN SACHS GROUP, INC.$695.7K7920.1%
The Boeing Company$657.9K3,0300.1%
ISHARES TR$655.5K9570.1%
CARLISLE COMPANIES INC$646.8K2,0220.1%
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