0001056516-25-000001.txt : 20250130
0001056516-25-000001.hdr.sgml : 20250130
20250130162000
ACCESSION NUMBER: 0001056516-25-000001
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20241231
FILED AS OF DATE: 20250130
DATE AS OF CHANGE: 20250130
EFFECTIVENESS DATE: 20250130
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Palouse Capital Management, Inc.
CENTRAL INDEX KEY: 0001056516
ORGANIZATION NAME:
IRS NUMBER: 000000000
STATE OF INCORPORATION: WA
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-06910
FILM NUMBER: 25574012
BUSINESS ADDRESS:
STREET 1: 1212 N. WASHINGTON ST.
STREET 2: SUITE 300
CITY: SPOKANE
STATE: WA
ZIP: 99201
BUSINESS PHONE: 5096245591
MAIL ADDRESS:
STREET 1: 1212 N. WASHINGTON ST.
STREET 2: SUITE 300
CITY: SPOKANE
STATE: WA
ZIP: 99201
FORMER COMPANY:
FORMER CONFORMED NAME: KEN ROBERTS INVESTMENT MANAGEMENT INC
DATE OF NAME CHANGE: 19990329
13F-HR
1
primary_doc.xml
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0001056516
XXXXXXXX
12-31-2024
12-31-2024
Palouse Capital Management, Inc.
1212 N. WASHINGTON ST.
SUITE 300
SPOKANE
WA
99201
13F HOLDINGS REPORT
028-06910
000104573
801-46893
N
CHRISTOPHER K. HICKS
PRESIDENT
503-292-5853
CHRISTOPHER K. HICKS
PORTLAND
OR
01-30-2025
0
139
150382492
false
INFORMATION TABLE
2
13f.xml
ABM Industries Inc
COM
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2570
SH
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ACM Research Inc
COM CL A
00108J109
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2907
SH
SOLE
994
0
1913
AGCO Corp
COM
001084102
103950
1112
SH
SOLE
719
0
393
Air Products & Chemicals Inc
COM
009158106
3576773
12332
SH
SOLE
10279
0
2053
Akamai Technologies Inc
COM
00971T101
2315591
24209
SH
SOLE
22034
0
2175
Alphabet Inc Class A
CAP STK CL A
02079K305
2133411
11270
SH
SOLE
10179
0
1091
ALPS Alerian MLP ETF
ALERIAN MLP
00162Q452
1867356
38774
SH
SOLE
29261
0
9513
Amazon.com Inc
COM
023135106
1752049
7986
SH
SOLE
7261
0
725
Amkor Technology Inc
COM
031652100
67694
2635
SH
SOLE
903
0
1732
Apple Hospitality REIT Inc
COM NEW
03784Y200
104042
6778
SH
SOLE
3942
0
2836
Apple Inc
COM
037833100
3046860
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SH
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11072
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1095
Aptiv PLC
COM SHS
G3265R107
945363
15631
SH
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14495
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1136
AT&T Inc
COM
00206R102
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SH
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Axcelis Tech Inc
COM NEW
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SH
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AXOS Finl Inc
COM
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SH
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Baker Hughes Company
CL A
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SH
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Becton, Dickinson and Company
COM
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SH
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BlackRock Inc
COM
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SH
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Boeing Co
COM
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75
SH
SOLE
75
0
0
Brady Corporation Cl A
CL A
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3320
SH
SOLE
2352
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Broadcom Inc
COM
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SH
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Carriage Services Inc
COM
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SH
SOLE
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Cathay General Bancorp
COM
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SH
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Cisco Systems Inc
COM
17275R102
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SH
SOLE
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9758
Citigroup Inc
COM NEW
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56582
SH
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47121
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9461
Cohu Inc
COM
192576106
63893
2393
SH
SOLE
1072
0
1321
Columbus McKinnon Corp
COM
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149444
4013
SH
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2337
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Comcast Corp A
CL A
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39711
SH
SOLE
35874
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3837
ConocoPhillips
COM
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59502
600
SH
SOLE
600
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Corning Inc
COM
219350105
409670
8621
SH
SOLE
8103
0
518
CVS Health Corp
COM
126650100
1035253
23062
SH
SOLE
18959
0
4103
Darling Ingredients Inc
COM
237266101
86179
2558
SH
SOLE
1498
0
1060
Devon Energy Corporation
COM
25179M103
2489345
76057
SH
SOLE
63836
0
12221
Digi International Inc
COM
253798102
158315
5237
SH
SOLE
3584
0
1653
DMC Global Inc
COM
23291C103
76756
10443
SH
SOLE
6454
0
3989
Dream Finders Homes
COM CL A
26154D100
71578
3076
SH
SOLE
1790
0
1286
Dutch Bros Inc
CL A
26701L100
5238
100
SH
SOLE
100
0
0
Dynavax Technologies Corp
COM NEW
268158201
16090
1260
SH
SOLE
1260
0
0
East West Bancorp
COM
27579R104
2207508
23053
SH
SOLE
20347
0
2706
eBay Inc.
COM
278642103
661564
10679
SH
SOLE
9489
0
1190
Electronic Arts Inc
COM
285512109
324933
2221
SH
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2221
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0
Elevance Health Inc
COM
036752103
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SH
SOLE
3653
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417
EnerSys
COM
29275Y102
163833
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SH
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1229
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544
Envista Hldgs Corp Com
COM
29415F104
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SH
SOLE
5327
0
2931
EOG Resources Inc
COM
26875P101
3152329
25717
SH
SOLE
21432
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4285
FedEx Corp
COM
31428X106
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290
SH
SOLE
290
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Fiserv Inc
COM
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SH
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4943
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General Mills Inc
COM
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SH
SOLE
42952
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Gentherm Inc
COM
37253A103
143131
3585
SH
SOLE
2148
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1437
Globus Med Inc
CL A
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SH
SOLE
1304
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562
HP Inc
COM
40434L105
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SH
SOLE
1942
0
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Huntington Bancshares Inc
COM
446150104
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SH
SOLE
218250
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Incyte Corp
COM
45337C102
1304180
18882
SH
SOLE
17193
0
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Ingredion Inc
COM
457187102
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879
SH
SOLE
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Insight Enterprises Inc
COM
45765U103
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SH
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354
International Paper Co
COM
460146103
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SH
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FINL PFD ETF
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PFD ETF
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SH
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S&P 500 GRWT ETF
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S&P 500 VAL ETF
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S&P MC 400GR ETF
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S&P MC 400VL ETF
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SH
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S&P SML 600 GWT
464287887
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SH
SOLE
232
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0
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SP SMCP600VL ETF
464287879
26501
244
SH
SOLE
244
0
0
Kelly Services Inc
CL A
488152208
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SH
SOLE
5308
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Kenvue Inc
COM
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SH
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Keurig Dr Pepper Inc
COM
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SH
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Keycorp Inc
COM
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SH
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136143
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Kraft Heinz Company
COM
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SH
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Lam Research Corp
COM NEW
512807306
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SH
SOLE
29072
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3323
Lamar Advertising Co A
CL A
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SH
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25837
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Lamb Weston Holdings
COM
513272104
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SH
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903
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119
Medtronic PLC
SHS
G5960L103
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SH
SOLE
24509
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Merit Medical Sys Inc
COM
589889104
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SH
SOLE
492
0
352
Meritage Homes Corp
COM
59001A102
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690
SH
SOLE
523
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167
Meta Platforms Inc
CL A
30303M102
1884171
3218
SH
SOLE
2937
0
281
Metropolitan Bk Hldg Corp Com
COM
591774104
274947
4708
SH
SOLE
3251
0
1457
MGP Ingredients Inc
COM
55303J106
57559
1462
SH
SOLE
930
0
532
Micron Technology Inc
COM
595112103
1102580
13101
SH
SOLE
11741
0
1360
Microsoft Corp
COM
594918104
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SH
SOLE
9403
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1860
Mohawk Industries Inc
COM
608190104
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855
SH
SOLE
500
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355
NetApp Inc
COM
64110D104
3059056
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SH
SOLE
21033
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5320
Newmont Corporation
COM
651639106
3215585
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SH
SOLE
73339
0
13055
Nike Inc Class B
CL B
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22020
SH
SOLE
19894
0
2126
Northwest Natural Hldg Co
COM
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2352
SH
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Nutrien Ltd
COM
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SH
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NVIDIA Corp
COM
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SH
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1070
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NXP Semiconductors NV
COM
N6596X109
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SH
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7912
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Owens Corning
COM
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SH
SOLE
293
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PayPal Holdings Inc
COM
70450Y103
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SH
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Pepsico Incorporated
COM
713448108
60824
400
SH
SOLE
400
0
0
Performance Food Group Co
COM
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SH
SOLE
1594
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Pfizer Inc
COM
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SH
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Photronics Inc
COM
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SH
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PPG Industries Inc
COM
693506107
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SH
SOLE
4144
0
564
Preferred Bank Los Angeles
COM NEW
740367404
86294
999
SH
SOLE
581
0
418
Qualcomm Incorporated
COM
747525103
2611233
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SH
SOLE
13758
0
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Schwab US Aggregate Bond ETF
US AGGREGATE B
808524839
5993
264
SH
SOLE
264
0
0
Schwab US Dividend Equity
US DIVIDEND EQ
808524797
100019
3661
SH
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3387
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274
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US LRG CAP ETF
808524201
303751
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SH
SOLE
12423
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681
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US LCAP GR ETF
808524300
205708
7381
SH
SOLE
7087
0
294
Schwab US Mid Cap
US MID-CAP ETF
808524508
60075
2168
SH
SOLE
1620
0
548
Schwab US Small Cap ETF
US SML CAP ETF
808524607
186632
7217
SH
SOLE
6629
0
588
Shutterstock Inc
COM
825690100
132235
4357
SH
SOLE
2805
0
1552
SPDR Barclays High Yield Bond
BLOOMBERG HIGH Y
78468R622
71125
745
SH
SOLE
565
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180
SPDR Bloomberg 1-3 Month T-Bill
BLOOMBERG 1-3 MO
78468R663
5510578
60271
SH
SOLE
48812
0
11459
SPDR Bloomberg Short Term High Yield Bond ETF
BLOOMBERG SHT TE
78468R408
119155
4719
SH
SOLE
4719
0
0
SPDR Consumer Staples Select Sector
SBI CONS STPLS
81369Y308
43078
548
SH
SOLE
548
0
0
SPDR S&P 500 Trust
TR UNIT
78462F103
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2730
SH
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2420
0
310
SPDR S&P Dividend
S&P DIVID ETF
78464A763
867237
6565
SH
SOLE
2022
0
4543
Starbucks Corp
COM
855244109
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SH
SOLE
39466
0
7811
Sturm Ruger & Co Inc
COM
864159108
41595
1176
SH
SOLE
402
0
774
Target Corporation
COM
87612E106
2962605
21916
SH
SOLE
18690
0
3226
Tesla Inc
COM
88160R101
20192
50
SH
SOLE
50
0
0
The Interpublic Group of Companies Inc.
COM
460690100
1518376
54189
SH
SOLE
43576
0
10613
Thermo Fisher Scientific Inc
COM
883556102
1457684
2802
SH
SOLE
2532
0
270
Thor Industries Inc
COM
885160101
124328
1299
SH
SOLE
759
0
540
Tyson Foods Inc
CL A
902494103
3910630
68082
SH
SOLE
56550
0
11532
Ulta Beauty Inc
COM
90384S303
1236506
2843
SH
SOLE
2651
0
192
Ultra Clean Holdings Inc
COM
90385V107
204627
5692
SH
SOLE
4054
0
1638
United Parcel Service Inc
CL B
911312106
2118354
16799
SH
SOLE
13878
0
2921
UnitedHealth Group Inc
COM
91324P102
484867
959
SH
SOLE
958
0
1
Upbound Group Inc
COM
76009N100
117585
4031
SH
SOLE
2667
0
1364
US Foods Holding Corp
COM
912008109
128916
1911
SH
SOLE
1272
0
639
US Steel Corp
COM
912909108
33990
1000
SH
SOLE
1000
0
0
Vanguard Intermediate Term Corporate Bond ETF
INT-TERM CORP
92206C870
982746
12243
SH
SOLE
11289
0
954
Vanguard Long Term Corporate Bond Index ETF
LG-TERM COR BD
92206C813
3555415
47545
SH
SOLE
36753
0
10792
Vanguard Short Term Corp Bond
SHRT TRM CORP BD
92206C409
128170
1643
SH
SOLE
1528
0
115
Verint Systems Inc
COM
92343X100
5106
186
SH
SOLE
186
0
0
Walt Disney Co
COM
254687106
2313742
20779
SH
SOLE
18909
0
1870
Western Digital Corp
COM
958102105
59630
1000
SH
SOLE
1000
0
0
Weyerhaeuser Inc
COM NEW
962166104
56300
2000
SH
SOLE
2000
0
0
Wynn Resorts Ltd
COM
983134107
8616
100
SH
SOLE
100
0
0
Yum China Holdings Inc
COM
98850P109
1175252
24398
SH
SOLE
22047
0
2351