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Portfolio (Quarterly) Guide ↗

Kendall Capital Management

· CIK 0001731372
13F Portfolio $478M AUM 230 positions Filed Jan 16, 2026 EDGAR ↗ ← All Funds
Q1 2026 Q4 2025 · All 230 New
Page 7 of 12  ·  230 positions
# Ticker Company Sector Shares Value ↓ % Port Chg Shares Chg % Period Price ① Since Period ①
121 OMF Onemain Holdings Inc Financial Services 13,760.0 $929K 0.19% NEW $67.55 -20.8%
122 SANM Sanmina Corp Technology 5,940.0 $891K 0.19% NEW $150.07 +50.0%
123 MLI Mueller Industries Inc Industrials 7,740.0 $889K 0.19% NEW $114.80 +18.6%
124 ENVA Enova International Inc Financial Services 5,625.0 $884K 0.18% NEW $157.20 +5.2%
125 QSR Restaurant Brands International Inc Consumer Cyclical 12,545.0 $856K 0.18% NEW $68.23 +10.9%
126 VOE Vanguard Mid Value Index Fund ETF 4,625.0 $820K 0.17% NEW $177.37 +7.8%
127 ACI Albertsons Companies Inc Consumer Defensive 47,390.0 $814K 0.17% NEW $17.17 +0.2%
128 THC Tenet Healthcare Corp Healthcare 4,055.0 $806K 0.17% NEW $198.72 -3.2%
129 INCY Incyte Corp. Healthcare 8,030.0 $793K 0.17% NEW $98.77 -3.6%
130 VST Vistra Energy Corp Utilities 4,910.0 $792K 0.17% NEW $161.33 -15.2%
131 SFM Sprouts Farmers Market Inc Consumer Defensive 9,920.0 $790K 0.17% NEW $79.67 +10.9%
132 COLL Collegium Pharmaceutical Inc Healthcare 16,590.0 $768K 0.16% NEW $46.30 -27.3%
133 GPI Group 1 Automotive Inc Consumer Cyclical 1,925.0 $757K 0.16% NEW $393.30 -19.4%
134 KHC Kraft Heinz Co Consumer Defensive 31,190.0 $756K 0.16% NEW $24.25 -3.7%
135 IJT iShares S&P Small-Cap 600 Growth ETF 5,352.0 $755K 0.16% NEW $141.16 +11.5%
136 AstraZeneca plc 8,033.0 $739K 0.15% NEW $91.93
137 UAL United Continental Holdings Inc Industrials 6,495.0 $726K 0.15% NEW $111.82 -17.2%
138 FISV Fiserv Inc Technology 10,668.0 $717K 0.15% NEW $67.17 -15.6%
139 IJS iShares S&P Small-Cap 600 Value ETF 6,271.0 $713K 0.15% NEW $113.72 +9.9%
140 NOMD Nomad Foods Ltd Consumer Defensive 56,755.0 $710K 0.15% NEW $12.51 -18.1%
Page 7 of 12  ·  230 positions

Period Price is the implied market price on the last day of the reporting period, calculated as reported value ÷ shares held. It is not the fund's purchase price or cost basis — the fund may have initiated or added to the position at any point during the quarter at a different price. Since Period shows the price change from that quarter-end snapshot to today's last price — it reflects stock movement after the report date, not the fund's actual return.

Sector Allocation
Technology 35.4%
Financial Services 13.7%
Healthcare 13.0%
Consumer Cyclical 10.9%
Industrials 9.3%
Communication Services 9.2%
Consumer Defensive 4.2%
Energy 2.1%
Real Estate 1.2%
Utilities 0.9%