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Portfolio (Quarterly) Guide ↗

Murphy & Mullick Capital Management Corp

· CIK 0002047271
13F Portfolio $139M AUM Filed Feb 10, 2026 EDGAR ↗ ← All Funds
Q1 2026 Q4 2025 · All 839 New
Page 35 of 42  ·  839 positions
# Ticker Company Sector Shares Value ↓ % Port Chg Shares Chg % Period Price ① Since Period ①
681 TSN Tyson Foods Inc Class A Consumer Defensive 7.0 $410.0 NEW $58.57 +11.1%
682 Berkeley Group Holdings (The) PLC 36.0 $393.0 NEW $10.92
683 SPEM SPDR INDEX SHARES EMERG 8.0 $374.0 NEW $46.75 +9.9%
684 NTR Nutrien Ltd COM NPV Basic Materials 6.0 $371.0 NEW $61.83 +13.4%
685 Entergy Corp 4.0 $370.0 NEW $92.50
686 AYI Acuity Inc Industrials 1.0 $360.0 NEW $360.00 -20.1%
687 ROST Ross Stores Inc Consumer Cyclical 2.0 $360.0 NEW $180.00 +30.4%
688 ATI ATI Inc Industrials 3.0 $344.0 NEW $114.67 +41.5%
689 UniCredit S.p.A. UNSP ADR EA REP 0.5 ORD SHS 8.0 $332.0 NEW $41.50
690 MTCH MATCH GROUP INC NEW Communication Services 10.0 $323.0 NEW $32.30 +10.8%
691 CHRW C.H. Robinson Worldwide Inc Industrials 2.0 $322.0 NEW $161.00 +8.2%
692 DNOW DNOW INC Energy 24.0 $318.0 NEW $13.25 -1.4%
693 MUR Murphy Oil Corp Energy 10.0 $313.0 NEW $31.30 +21.4%
694 CF CF Industries Holdings Inc Basic Materials 4.0 $309.0 NEW $77.25 +57.5%
695 LEN Lennar Corp Consumer Cyclical 3.0 $308.0 NEW $102.67 -13.4%
696 NSC Norfolk Southern Corp Industrials 1.0 $289.0 NEW $289.00 +8.8%
697 ES Eversource Energy Utilities 4.0 $269.0 NEW $67.25 +4.1%
698 FSLR First Solar Inc Energy 1.0 $261.0 NEW $261.00 -1.2%
699 DEO Diageo PLC Consumer Defensive 3.0 $259.0 NEW $86.33 -0.2%
700 CAR Avis Budget Group Inc Industrials 2.0 $257.0 NEW $128.50 +30.0%
Page 35 of 42  ·  839 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 37.3%
Industrials 13.5%
Consumer Cyclical 13.0%
Financial Services 11.8%
Healthcare 11.2%
Communication Services 7.6%
Consumer Defensive 2.4%
Utilities 1.6%
Energy 0.7%
Basic Materials 0.6%