LOGAN CAPITAL MANAGEMENT INC

CIK 1121330 · Ver en SEC EDGAR ↗

Valor de la cartera
$1.5B
#1 901 de 9 443 por valor de 13F · top 20.1%
Posiciones
442
A fecha de
30 de junio de 2026

Valor de cartera interanual: +15.1% El 13F no revela efectivo

Peso de las 10 principales tenencias
33,00%
Peso de las 25 principales tenencias
48,76%
Posiciones superiores al 1%
17
Número efectivo de posiciones
60,2

Basado solo en tenencias de acciones a largo plazo del 13F (efectivo, bonos, posiciones cortas no reveladas)

Rotación Q2 2026: 0,68% Est. compras $1 456 557 455 · ventas $9 210 457

Tenencia mediana: 2,0 trimestres Rastreado Q4 2024–Q2 2026 · 49,0% aún se mantiene

Nuevas posiciones
442
Aumentado
0
Disminuido
0
Cerrada
4
En esta página

Desglose por sector

Industrials
22,5%
Technology
21,4%
Healthcare
9,6%
Retail
9,4%
Financials
6,6%
Communication Services
5,3%
Energy
4,4%
Consumer Discretionary
4,4%
Financial Services
4,0%
Consumer Staples
3,7%
Communications
2,0%
Materials
1,8%
Consumer products
1,5%
Utilities
0,8%
Telecommunication
0,5%
Packaging
0,4%
Logistics & Transportation
0,2%
Real Estate
0,1%
Otro/No mapeado
1,5%

Cartera completa 442 posiciones

Tipo Racha Tendencia 8T
AAPL Apple Inc. - Common Stock $77 604 982 5,33% 268 195
APH Amphenol Corporation Common Stock $73 870 962 5,07% 418 960
AVGO Broadcom Inc. - Common Stock $72 917 977 5,01% 193 032
MU Micron Technology, Inc. - Common Stock $62 868 927 4,32% 54 465
AMZN Amazon.com, Inc. - Common Stock $43 155 032 2,96% 181 065
META Meta Platforms, Inc. - Class A Common Stock $34 757 987 2,39% 61 705
STRL Sterling Infrastructure, Inc. - Common Stock $30 553 543 2,10% 36 401 Subir ×1
NFLX Netflix, Inc. - Common Stock $29 438 149 2,02% 412 299
WSM Williams-Sonoma, Inc. Common Stock (DE) $28 418 790 1,95% 121 917
DKS Dick's Sporting Goods Inc Common Stock $27 099 059 1,86% 119 479
MSFT Microsoft Corporation - Common Stock $21 863 441 1,50% 58 612
KLAC KLA Corporation - Common Stock $19 894 757 1,37% 65 940
SHEL Shell PLC American Depositary Shares (each representing two (2) Ordinary Shares) $17 791 883 1,22% 229 454
CTAS Cintas Corporation - Common Stock $17 436 475 1,20% 102 519
IBM International Business Machines Corporation Common Stock $15 607 155 1,07% 55 500
ABBV AbbVie Inc. Common Stock $14 771 163 1,01% 58 700
MTD Mettler-Toledo International, Inc. Common Stock $14 762 906 1,01% 11 556
SHW Sherwin-Williams Company (The) Common Stock $14 265 230 0,98% 41 430
CAT Caterpillar, Inc. Common Stock $14 134 837 0,97% 13 273
CVX Chevron Corporation Common Stock $13 664 600 0,94% 82 436
ETN Eaton Corporation, PLC Ordinary Shares $13 610 231 0,93% 31 940
HD Home Depot, Inc. (The) Common Stock $13 498 824 0,93% 38 275
DE Deere & Company Common Stock $12 915 593 0,89% 20 361
MRK Merck & Company, Inc. Common Stock (new) $12 850 000 0,88% 100 000
WFC Wells Fargo & Company Common Stock $12 394 550 0,85% 149 982
URI United Rentals, Inc. Common Stock $12 353 033 0,85% 10 904
FLEX Flex Ltd. - Ordinary Shares $11 581 198 0,80% 71 458
NVS Novartis AG Common Stock $11 532 062 0,79% 73 584
HUBB Hubbell Inc Common Stock $11 397 807 0,78% 21 785
MNST Monster Beverage Corporation - Common Stock $11 148 094 0,77% 115 981
SNY Sanofi - American Depositary Shares $11 033 677 0,76% 258 642
ING ING Group, N.V. Common Stock $10 915 900 0,75% 347 862
WAT Waters Corporation Common Stock $10 834 530 0,74% 28 889
A Agilent Technologies, Inc. Common Stock $10 580 415 0,73% 79 654
MAR Marriott International - Class A Common Stock $10 523 962 0,72% 28 398
GE GE Aerospace Common Stock $10 269 596 0,71% 27 479
ANET Arista Networks, Inc. Common Stock $10 159 504 0,70% 59 804
TTE TotalEnergies SE Ordinary Shares $9 820 144 0,67% 126 288 Subir ×1
BTI British American Tobacco Industries, p.l.c. Common Stock ADR $9 707 151 0,67% 157 175
UL Unilever PLC American Depositary Shares (each representing One Ordinary Share) $9 460 732 0,65% 157 364 Subir ×1
SBUX Starbucks Corporation - Common Stock $9 242 969 0,63% 90 449
RY Royal Bank Of Canada Common Stock $9 226 256 0,63% 44 578
HSY The Hershey Company Common Stock $9 176 035 0,63% 52 300
AXP American Express Company Common Stock $8 862 408 0,61% 26 201
VB $8 807 758 0,60% 29 057
COP ConocoPhillips Common Stock $8 503 928 0,58% 81 800
DECK Deckers Outdoor Corporation Common Stock $8 058 575 0,55% 81 162
CNI Canadian National Railway Company Common Stock $8 037 339 0,55% 67 405
LYG Lloyds Banking Group Plc American Depositary Shares $8 011 762 0,55% 1 374 230
EQNR Equinor ASA $7 914 202 0,54% 252 045
V Visa Inc. $7 667 976 0,53% 22 350
HMC Honda Motor Company, Ltd. Common Stock $7 573 967 0,52% 279 379
MA Mastercard Incorporated Common Stock $7 492 910 0,51% 14 589
PEP PepsiCo, Inc. - Common Stock $7 433 460 0,51% 54 900
APP Applovin Corporation - Class A Common Stock $7 202 915 0,49% 13 980
VRSK Verisk Analytics, Inc. - Common Stock $7 119 621 0,49% 39 657
BKNG Booking Holdings Inc. - Common Stock $7 013 744 0,48% 39 350
CPRT Copart, Inc. - Common Stock $6 941 731 0,48% 246 248
UI Ubiquiti Inc. Common Stock $6 781 113 0,47% 12 698
USB U.S. Bancorp Common Stock $6 740 365 0,46% 111 595
FAST Fastenal Company - Common Stock $6 676 362 0,46% 139 004
LLY Eli Lilly and Company Common Stock $6 641 212 0,46% 5 537
PNC PNC Financial Services Group, Inc. (The) Common Stock $6 351 245 0,44% 25 795
PFE Pfizer, Inc. Common Stock $5 991 013 0,41% 248 796
DEO Diageo plc Common Stock $5 983 749 0,41% 74 443
PM Philip Morris International Inc Common Stock $5 979 033 0,41% 33 050
SW Smurfit WestRock plc Ordinary Shares $5 678 693 0,39% 122 756 Subir ×1
BURL Burlington Stores, Inc. Common Stock $5 667 235 0,39% 17 889
LOGI Logitech International S.A. - Registered Shares $5 593 865 0,38% 59 484
T AT&T Inc. $5 549 862 0,38% 268 109
AZN AstraZeneca PLC - American Depositary Shares $5 502 582 0,38% 29 019 Subir ×1
AMGN Amgen Inc. - Common Stock $5 243 388 0,36% 14 480
MS Morgan Stanley Common Stock $5 197 158 0,36% 24 862
CSCO Cisco Systems, Inc. - Common Stock $5 082 259 0,35% 43 268
TXRH Texas Roadhouse, Inc. - Common Stock $5 073 640 0,35% 26 257
CLS Celestica, Inc. Common Stock $5 028 038 0,35% 13 783
UNP Union Pacific Corporation Common Stock $4 973 975 0,34% 18 287
FULT Fulton Financial Corporation - Common Stock $4 939 598 0,34% 204 200
RELX RELX PLC PLC American Depositary Shares (Each representing One Ordinary Share) $4 936 825 0,34% 155 883 Subir ×1
JNJ Johnson & Johnson Common Stock $4 927 018 0,34% 19 400
GLW Corning Incorporated Common Stock $4 890 463 0,34% 19 146
NEE NextEra Energy, Inc. Common Stock $4 848 305 0,33% 55 239
LMT Lockheed Martin Corporation Common Stock $4 838 244 0,33% 9 497
LIN Linde plc - Ordinary Shares $4 780 551 0,33% 9 212
LAD Lithia Motors, Inc. Common Stock $4 753 288 0,33% 16 363
PH Parker-Hannifin Corporation Common Stock $4 666 315 0,32% 4 771
CL Colgate-Palmolive Company Common Stock $4 577 713 0,31% 49 931
LCLG $4 573 299 0,31% 60 226
NSP Insperity, Inc. Common Stock $4 529 472 0,31% 109 646
ODFL Old Dominion Freight Line, Inc. - Common Stock $4 490 768 0,31% 20 733
NDSN Nordson Corporation - Common Stock $4 318 994 0,30% 14 316
DGICA Donegal Group, Inc. - Class A Common Stock $4 219 039 0,29% 223 703
LECO Lincoln Electric Holdings, Inc. - Common Shares $4 086 464 0,28% 15 391
PRI Primerica, Inc. Common Stock $4 058 092 0,28% 14 279
TJX TJX Companies, Inc. (The) Common Stock $3 939 000 0,27% 26 000
MCD McDonald's Corporation Common Stock $3 911 784 0,27% 14 471
CB Chubb Limited Common Stock $3 824 611 0,26% 11 224
CBU Community Financial System, Inc. Common Stock $3 758 720 0,26% 56 000
ABT Abbott Laboratories Common Stock $3 727 996 0,26% 41 084
NVDA NVIDIA Corporation - Common Stock $3 709 669 0,25% 18 540

Mayores apuestas nuevas

Nuevas posiciones abiertas este trimestre, las mayores primero.

Valor Valor Acciones % de la cartera
AAPL $77 604 982 268 195 5,33%
APH $73 870 962 418 960 5,07%
AVGO $72 917 977 193 032 5,01%
MU $62 868 927 54 465 4,32%
AMZN $43 155 032 181 065 2,96%
META $34 757 987 61 705 2,39%
STRL $30 553 543 36 401 2,10%
NFLX $29 438 149 412 299 2,02%
WSM $28 418 790 121 917 1,95%
DKS $27 099 059 119 479 1,86%
MSFT $21 863 441 58 612 1,50%
KLAC $19 894 757 65 940 1,37%
SHEL $17 791 883 229 454 1,22%
CTAS $17 436 475 102 519 1,20%
IBM $15 607 155 55 500 1,07%

Posiciones cerradas

Incluye eventos corporativos (fusiones, exclusiones de cotización) — no todas las salidas son ventas

Las posiciones cerradas reflejan cambios en los informes 13F; para los gestores de índices, estos suelen ser mecánicos (exclusión de cotización, fusiones y adquisiciones, reequilibrio de índices), no decisiones activas.

ValorTrimestre Acciones anteriores Valor anterior Precio desde la eliminación
HON 30 de junio de 2026 23 574 $5 328 351 -1,2%
MASI 30 de junio de 2026 12 400 $2 205 588 Ya no se rastrea
NOW 30 de junio de 2026 8 662 $905 612 30,5%
GVI 31 de marzo de 2025 8 237 $858 378 Ya no se rastrea
DD 30 de junio de 2026 16 832 $770 906 3,0%
VTV 31 de marzo de 2025 1 769 $299 492 Ya no se rastrea
VYMI 31 de marzo de 2025 2 228 $151 237
SRPT 31 de marzo de 2025 500 $60 795 -70,0%
JPST 31 de marzo de 2025 543 $27 351 Ya no se rastrea
OKE 31 de marzo de 2025 250 $25 100 -2,2%
SRE 31 de marzo de 2025 224 $19 649 21,5%
CEG 31 de marzo de 2025 70 $15 660 36,5%
CHD 31 de marzo de 2025 81 $8 482 -10,1%
SKIN 31 de marzo de 2025 4 000 $6 360 -55,5%
CLX 31 de marzo de 2025 38 $6 172 -26,5%
CHTR 31 de marzo de 2025 2 $686 -58,5%
UAA 31 de marzo de 2025 50 $414 -17,4%
UA 31 de marzo de 2025 50 $373 -14,9%
AMTM 31 de marzo de 2025 5 $105 13,9%
BNDX 31 de marzo de 2025 1 $35
BND 31 de marzo de 2025 0 $4