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Evansbrook LLC Last Quarter Change: USA Stocks, Added

Evansbrook LLC quarter change: USA Stocks, Added

In share positions in stocks (listed in the US), from the quarter ended 2026-03-31 to 2026-06-30, Evansbrook LLC opened 9 positions, added to 26, reduced 27, sold out of 2 and left 42 unchanged. The largest increase in value was STX (+$1,304,694); the largest decrease was XOMXXXX (-$597,771).

  • INTC: Country of operation United States; Class COMMON STOCK; Shares 2026-03-31 9,095; Shares 2026-06-30 10,170.
  • ASML: Country of operation —; Class AMERICAN DEPOSITORY; Shares 2026-03-31 1,128; Shares 2026-06-30 1,140.
  • CRWD: Country of operation United States; Class COMMON STOCK; Shares 2026-03-31 1,796; Shares 2026-06-30 1,826.
  • UNH: Country of operation United States; Class COMMON STOCK; Shares 2026-03-31 3,372; Shares 2026-06-30 3,380.

Two Form 13F-HR filings compared (SEC CIK 2069478): 2026-03-31 (filed 2026-06-04) and 2026-06-30 (filed 2026-08-04). Rows for the same security, class and put/call are added together. Value change is the filed value at each quarter end, so it includes the price move; share change is the position change.

StockCountry of operationClassShares 2026-03-31Shares 2026-06-30Share changeValue 2026-03-31Value 2026-06-30Value change
INTC
INTEL CORP
United StatesCOMMON STOCK9,09510,170+1,075$401,371$1,420,065+$1,018,694
ASML
ASML HLDG N V FSPONSORED ADR 1 ADR REPS 1 ORD SHS
AMERICAN DEPOSITORY1,1281,140+12$1,489,896$2,267,962+$778,066
CRWD
CROWDSTRIKE HLDGS INC FORWARD SPLIT WITH STOCK SPLIT SHARES
United StatesCOMMON STOCK1,7961,826+30$701,176$1,393,494+$692,318
UNH
UNITEDHEALTH GROUP INC
United StatesCOMMON STOCK3,3723,380+8$912,530$1,404,829+$492,299
LLY
ELI LILLY AND CO
United StatesCOMMON STOCK1,4451,503+58$1,329,387$1,802,947+$473,560
ANET
ARISTA NETWORKS INC
United StatesCOMMON STOCK6,7226,767+45$825,327$1,149,578+$324,251
AMZN
AMAZON.COM INC
United StatesCOMMON STOCK7,4537,740+287$1,552,236$1,844,762+$292,526
NFLX
NETFLIX INC
United StatesCOMMON STOCK10,70010,800+100$1,028,805$771,120-$257,685
KLAC
KLA CORP
United StatesCOMMON STOCK1401,400+1,260$206,137$422,394+$216,257
TSM
TAIWAN SEMICONDUCTOR M FSPONSORED ADR 1 ADR REPS 5 ORD SHS
AMERICAN DEPOSITORY1,2561,308+52$424,465$624,662+$200,197
TER
TERADYNE INC
United StatesCOMMON STOCK692794+102$205,150$384,169+$179,019
CVX
CHEVRON CORP NEW
United StatesCOMMON STOCK3,9763,981+5$822,694$659,970-$162,724
ETN
EATON CORP PLC F
FOREIGN ORDINARIES2,1742,199+25$777,575$937,038+$159,463
WMT
WALMART INC
United StatesCOMMON STOCK14,41014,495+85$1,790,888$1,641,716-$149,172
DE
DEERE & CO
United StatesCOMMON STOCK1,4021,472+70$789,747$933,734+$143,987
AVGO
BROADCOM INC
United StatesCOMMON STOCK1,1141,293+179$344,896$488,615+$143,719
MRK
MERCK & CO. INC.
United StatesCOMMON STOCK2,3672,813+446$284,749$361,524+$76,775
KO
THE COCA-COLA CO
United StatesCOMMON STOCK4,6965,196+500$357,131$422,279+$65,148
PLD
PROLOGIS INC REIT
United StatesREAL ESTATE INVESTME3,1803,541+361$420,333$479,766+$59,433
JNJ
JOHNSON & JOHNSON
United StatesCOMMON STOCK5,4535,466+13$1,332,987$1,388,320+$55,333
MDLZ
MONDELEZ INTL INC CLASS A
United StatesCOMMON STOCK9,54510,207+662$550,159$590,399+$40,240
TJX
TJX COS INC NEW
United StatesCOMMON STOCK5,5345,599+65$883,780$848,249-$35,531
LIN
LINDE PLC F
United KingdomFOREIGN ORDINARIES459479+20$227,554$248,572+$21,018
META
META PLATFORMS INC CLASS A
United StatesCOMMON STOCK668715+47$382,183$402,752+$20,569
APD
AIR PRODS & CHEMS INC
United StatesCOMMON STOCK1,7221,755+33$500,224$514,531+$14,307
COST
COSTCO WHSL CORP NEW
United StatesCOMMON STOCK649693+44$646,876$648,416+$1,540

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