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Asset Manager ← All Institutions

Smith Group Asset Management, LLC

Q1 2026 · Filed 2026-05-18
Market Value
$2.0B
+3.9%
Holdings
192
+1
New Purchases
22
Added To
82
Closed
31
Reduced
34
Top 10 Concentration
36.0%
Turnover
27.6%

Top Buys (by % of Portfolio)

SymbolCur %Prior %Chg %Value
JBL 2.23% 0.04% +2.19% $44M
DG 1.63% 0.00% +1.63% $32M
FIX 4.19% 3.21% +0.98% $82M
COST 3.15% 2.60% +0.55% $62M
XOM 1.64% 1.13% +0.51% $32M
ADI 2.77% 2.27% +0.50% $54M
MPC 1.16% 0.75% +0.41% $23M
HAS 2.61% 2.21% +0.39% $51M
TPR 2.40% 2.03% +0.37% $47M
JNJ 1.87% 1.53% +0.35% $37M
PH 3.70% 3.38% +0.32% $73M
0HQN.L 2.26% 1.96% +0.30% $44M
KLAC 4.23% 3.94% +0.30% $83M
HUBB 2.17% 1.89% +0.28% $43M
MCK 2.76% 2.52% +0.24% $54M

Top Sells (by % of Portfolio)

SymbolCur %Prior %Chg %Value
ADBE 0.00% 1.44% -1.44% $0
APP 2.01% 3.29% -1.27% $39M
EXLS 0.00% 1.12% -1.12% $0
MSFT 3.31% 4.26% -0.95% $65M
WDAY 1.15% 1.80% -0.65% $23M
BKNG 2.34% 2.88% -0.54% $46M
AXP 2.40% 2.86% -0.46% $47M
META 2.46% 2.82% -0.36% $48M
MEDP 2.54% 2.82% -0.28% $50M
WAT 1.18% 1.46% -0.28% $23M
AAPL 4.03% 4.28% -0.25% $79M
GOOGL 3.85% 4.09% -0.24% $76M
VEEV 0.96% 1.18% -0.22% $19M
AVGO 3.99% 4.17% -0.18% $78M
HBAN 1.72% 1.89% -0.17% $34M

Sector Allocation Over Time

Market Cap Concentration

TierHoldingsValueWeight
Mega Cap 31 $761M 38.8%
Large Cap 100 $1.2B 58.9%
Mid Cap 48 $37M 1.9%
Small Cap 13 $9M 0.4%

Portfolio Analytics

Avg Market Cap
$250.5B
Median Market Cap
$33.7B
Avg P/E
40.3
Median P/E
27.0
Avg Dividend Yield
0.01%
Avg Beta
1.07
# Stocks
188
# ETFs / Funds
4

Top Holdings (192 total)

# Symbol % Port Shares Value Avg Price Q/Q Value Chg Share Chg Chg % Status
1 KLAC 4.23% 56,352 $83M $1,472.41 $9M -4,707 -7.7%
2 FIX 4.19% 59,568 $82M $1,378.99 $22M -5,305 -8.2%
3 AAPL 4.03% 311,523 $79M $253.79 -$2M +14,556 +4.9%
4 AVGO 3.99% 252,834 $78M $309.51 -$440K +25,459 +11.2%
5 GOOGL 3.85% 262,620 $76M $287.56 -$2M +16,067 +6.5%
6 PH 3.70% 81,081 $73M $895.24 $9M +8,601 +11.9%
7 MSFT 3.31% 175,269 $65M $370.17 -$15M +9,198 +5.5%
8 COST 3.15% 61,895 $62M $996.43 $13M +5,119 +9.0%
9 ADI 2.77% 170,815 $54M $318.14 $12M +12,889 +8.2%
10 MCK 2.76% 62,597 $54M $865.36 $7M +4,564 +7.9%
11 HAS 2.61% 545,638 $51M $93.60 $9M +36,852 +7.2%
12 MEDP 2.54% 103,603 $50M $480.19 -$3M +8,821 +9.3%
13 ANET 2.53% 404,287 $50M $122.78 -$64K +24,967 +6.6%
14 META 2.46% 84,412 $48M $572.13 -$5M +3,837 +4.8%
15 TPR 2.40% 333,486 $47M $141.11 $9M +33,411 +11.1%
16 AXP 2.40% 155,547 $47M $302.48 -$7M +9,794 +6.7%
17 BKNG 2.34% 10,890 $46M $4,210.32 -$8M +759 +7.5%
18 0HQN.L 2.26% 157,726 $44M $281.07 $7M +10,586 +7.2%
19 JBL 2.23% 164,635 $44M $265.63 $43M +161,275 +4799.9%
20 HUBB 2.17% 86,736 $43M $490.74 $7M +6,616 +8.3%
21 TJX 2.16% 264,657 $42M $159.70 $4M +18,530 +7.5%
22 NFLX 2.12% 432,263 $42M $96.15 $4M +29,906 +7.4%
23 JPM 2.11% 140,693 $41M $294.16 -$865K +9,567 +7.3%
24 ACGL 2.02% 412,379 $40M $95.99 $3M +29,591 +7.7%
25 APP 2.01% 99,195 $39M $398.00 -$23M +7,156 +7.8%
26 JNJ 1.87% 150,121 $37M $244.44 $8M +11,139 +8.0%
27 SCHW 1.85% 385,975 $36M $93.98 $206K +24,971 +6.9%
28 CDNS 1.85% 130,269 $36M $277.87 -$2M +9,014 +7.4%
29 HBAN 1.72% 2,153,755 $34M $15.65 -$2M +99,863 +4.9%
30 XOM 1.64% 188,977 $32M $169.66 $11M +11,951 +6.8%
31 DG 1.63% 268,225 $32M $118.73 +268,225 NEW
32 AMD 1.52% 146,693 $30M $203.43 $665K +10,455 +7.7%
33 OKTA 1.51% 377,105 $30M $78.71 -$153K +32,078 +9.3%
34 DIS 1.34% 272,550 $26M $96.38 -$2M +27,851 +11.4%
35 VRTX 1.27% 55,746 $25M $446.54 $1M +3,695 +7.1%
36 WAT 1.18% 77,612 $23M $297.80 -$4M +4,964 +6.8%
37 MPC 1.16% 93,041 $23M $244.18 $9M +6,337 +7.3%
38 WDAY 1.15% 173,739 $23M $129.92 -$11M +15,377 +9.7%
39 VEEV 0.96% 107,445 $19M $175.66 -$3M +7,398 +7.4%
40 TSM 0.59% 34,443 $12M $337.95 $2M +1,080 +3.2%
41 NVDA 0.56% 63,124 $11M $174.40 -$1M -3,469 -5.2%
42 KGC 0.49% 313,570 $10M $30.52 -$99K -29,800 -8.7%
43 CM 0.43% 88,020 $8M $94.75 $734K +4,080 +4.9%
44 CCEP 0.34% 72,941 $7M $90.67 $283K +3,140 +4.5%
45 AMZN 0.19% 17,921 $4M $208.27 -$738K -1,446 -7.5%
46 AZZ 0.19% 29,221 $4M $125.13 $839K +2,931 +11.2%
47 YOU 0.17% 67,211 $3M $48.41 $826K -1,996 -2.9%
48 GOOG 0.16% 10,679 $3M $286.86 -$263K +80 +0.8%
49 CVSA 0.16% 26,395 $3M $115.25 $387K +732 +2.9%
50 EAT 0.15% 20,565 $3M $142.77 $47K +438 +2.2%
51 ROK 0.14% 7,644 $3M $358.88 -$283K -134 -1.7%
52 BP 0.14% 57,860 $3M $47.00 $987K +7,980 +16.0%
53 PWR 0.13% 4,654 $3M $549.02 $23K -1,346 -22.4%
54 COHR 0.13% 10,450 $2M $238.21 -$30K -3,200 -23.4%
55 VLO 0.12% 9,230 $2M $247.08 $778K
56 BTSG 0.12% 53,170 $2M $42.61 $309K +927 +1.8%
57 B 0.11% 55,200 $2M $40.79 -$597K -10,200 -15.6%
58 TTWO 0.11% 10,756 $2M $197.50 -$37K +2,316 +27.4%
59 MET 0.11% 30,000 $2M $70.72 -$247K
60 FHN 0.10% 90,000 $2M $22.76 -$103K
61 LLY 0.10% 2,117 $2M $919.77 $27K +330 +18.5%
62 WTS 0.10% 6,688 $2M $290.29 $131K +130 +2.0%
63 VICI 0.10% 70,000 $2M $27.32 -$56K
64 ESTC 0.09% 37,168 $2M $49.99 -$886K +795 +2.2%
65 PSX 0.09% 10,154 $2M $182.18 $540K
66 WEC 0.09% 15,740 $2M $115.77 $162K
67 CME 0.09% 6,000 $2M $295.35 $134K
68 ADSK 0.09% 7,308 $2M $239.40 -$525K -377 -4.9%
69 ZWS 0.09% 38,457 $2M $44.84 +38,457 NEW
70 AVAH 0.09% 263,669 $2M $6.44 $94K +67,393 +34.3%
71 TSLA 0.08% 4,227 $2M $371.75 -$691K -804 -16.0%
72 ROKU 0.08% 16,022 $2M $94.62 $117K +3,131 +24.3%
73 BK 0.07% 11,989 $1M $118.63 $377K +2,989 +33.2%
74 QTWO 0.07% 30,062 $1M $47.30 +30,062 NEW
75 FN 0.07% 2,686 $1M $521.52 -$15K -423 -13.6%
76 PAHC 0.07% 25,021 $1M $55.31 $362K -2,334 -8.5%
77 INDA 0.07% 29,260 $1M $46.84 $402K +11,310 +63.0%
78 PRIM 0.07% 9,428 $1M $143.04 $229K +413 +4.6%
79 HCA 0.07% 2,747 $1M $473.24 -$121K -296 -9.7%
80 ARM 0.07% 8,520 $1M $151.28 $358K
81 NUTX 0.06% 13,087 $1M $95.04 +13,087 NEW
82 IBKR 0.06% 18,374 $1M $67.07 $648K +9,280 +102.0%
83 EXPE 0.06% 5,160 $1M $230.89 $40K +1,095 +26.9%
84 V 0.06% 3,873 $1M $302.24 -$132K +160 +4.3%
85 AIT 0.06% 4,352 $1M $265.32 $138K +392 +9.9%
86 PEGA 0.06% 27,033 $1M $42.56 -$558K -1,584 -5.5%
87 WMB 0.06% 15,000 $1M $72.78 $190K
88 STLD 0.06% 6,000 $1M $180.00 $63K
89 MA 0.05% 2,118 $1M $499.66 $207K +627 +42.0%
90 IRM 0.05% 10,000 $1M $102.14 $192K
91 PLXS 0.05% 4,830 $978K $202.54 $328K +409 +9.2%
92 EXTR 0.05% 64,000 $965K $15.08 -$100K
93 AMAT 0.05% 2,679 $916K $341.79 $197K -116 -4.2%
94 AVAV 0.05% 5,000 $915K $183.05 -$294K
95 GE 0.05% 3,161 $897K $283.77 -$115K -124 -3.8%
96 MWA 0.05% 32,563 $895K $27.49 $199K +3,351 +11.5%
97 LRCX 0.05% 4,137 $884K $213.66 $156K -118 -2.8%
98 CL 0.04% 10,237 $872K $85.23 +10,237 NEW
99 BMY 0.04% 13,850 $840K $60.65 +13,850 NEW
100 MTDR 0.04% 12,571 $794K $63.18 $495K +5,515 +78.2%

New Positions

SymbolValue% Port
DG $32M 1.63%
ZWS $2M 0.09%
QTWO $1M 0.07%
NUTX $1M 0.06%
CL $872K 0.04%
BMY $840K 0.04%
HWM $773K 0.04%
PACS $771K 0.04%
KLIC $752K 0.04%
RDDT $678K 0.03%
HSY $678K 0.03%
RBRK $617K 0.03%
ETSY $532K 0.03%
AMP $467K 0.02%
ALNT $450K 0.02%

Sold Out Positions

SymbolValue% Port
HLI —%
UBER —%
SNOW —%
AWI —%
PATH —%
DOCS —%
CCI —%
BAC —%
EME —%
ROL —%
PNFP —%
CORT —%
EXEL —%
BANF —%
FRSH —%
View SEC EDGAR Filings for Smith Group Asset Management, LLC →

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms