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Rayburn West Financial Services LLC

All holdings · as of Jun 30, 2026

81 positions

CompanyClassValueShares% of portfolio
STARBUCKS CORP$589.5K5,7690.3%
CORNING INC /NY$561.9K2,2000.3%
ISHARES TR$519.1K3,5000.3%
CATERPILLAR INC$479.2K4500.3%
PIMCO HIGH INCOME FUNDPHKClosed-End Fund$461.8K99,1000.3%
Alibaba Group Holding LtdBABAADR$436.8K4,4510.2%
ISHARES TR$431.4K5760.2%
Alphabet Inc.$424.0K1,2000.2%
SPDR SERIES TRUST$411.1K4,6780.2%
iShares MSCI UAE ETF$406.3K2,7500.2%
HOME DEPOT, INC.$399.2K1,1320.2%
JPMORGAN CHASE & CO$387.9K1,1850.2%
SELECT SECTOR SPDR TR$346.0K1,8160.2%
NIKE, Inc.$304.2K7,4100.2%
Yum! Brands Inc$299.1K1,8710.2%
ARES CAPITAL CORPARCCCommon Stock$292.3K15,7750.2%
Mastercard Inc$292.2K5690.2%
ISHARES TR$292.1K3,0240.2%
CUMMINS INC$285.3K4000.2%
TJX Cos Inc/The$272.7K1,8000.2%
PAYCHEX INC$271.4K2,7600.1%
Constellation Energy Corp$262.5K1,0570.1%
KIMBERLY CLARK CORP$257.0K2,3410.1%
TEXAS INSTRUMENTS INC$252.2K8460.1%
Walt Disney Co$250.9K2,6060.1%
COSTCO WHOLESALE CORP /NEW$243.2K2600.1%
3M CO$240.4K1,4850.1%
Infosys LtdINFYADR$233.5K22,2580.1%
WASTE MANAGEMENT INC$224.9K1,0090.1%
KRANESHARES TRUST$224.3K5,2670.1%
Qnity Electronics, Inc.$220.3K1,3490.1%
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