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.
| Stock | Country of operation | Class | Shares 2026-03-31 | Shares 2026-06-30 | Share change | Value 2026-03-31 | Value 2026-06-30 | Value change |
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INTC INTEL CORP | United States | COMMON STOCK | 9,095 | 10,170 | +1,075 | $401,371 | $1,420,065 | +$1,018,694 |
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ASML ASML HLDG N V FSPONSORED ADR 1 ADR REPS 1 ORD SHS | | AMERICAN DEPOSITORY | 1,128 | 1,140 | +12 | $1,489,896 | $2,267,962 | +$778,066 |
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CRWD CROWDSTRIKE HLDGS INC FORWARD SPLIT WITH STOCK SPLIT SHARES | United States | COMMON STOCK | 1,796 | 1,826 | +30 | $701,176 | $1,393,494 | +$692,318 |
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UNH UNITEDHEALTH GROUP INC | United States | COMMON STOCK | 3,372 | 3,380 | +8 | $912,530 | $1,404,829 | +$492,299 |
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LLY ELI LILLY AND CO | United States | COMMON STOCK | 1,445 | 1,503 | +58 | $1,329,387 | $1,802,947 | +$473,560 |
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ANET ARISTA NETWORKS INC | United States | COMMON STOCK | 6,722 | 6,767 | +45 | $825,327 | $1,149,578 | +$324,251 |
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AMZN AMAZON.COM INC | United States | COMMON STOCK | 7,453 | 7,740 | +287 | $1,552,236 | $1,844,762 | +$292,526 |
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NFLX NETFLIX INC | United States | COMMON STOCK | 10,700 | 10,800 | +100 | $1,028,805 | $771,120 | -$257,685 |
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KLAC KLA CORP | United States | COMMON STOCK | 140 | 1,400 | +1,260 | $206,137 | $422,394 | +$216,257 |
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TSM TAIWAN SEMICONDUCTOR M FSPONSORED ADR 1 ADR REPS 5 ORD SHS | | AMERICAN DEPOSITORY | 1,256 | 1,308 | +52 | $424,465 | $624,662 | +$200,197 |
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TER TERADYNE INC | United States | COMMON STOCK | 692 | 794 | +102 | $205,150 | $384,169 | +$179,019 |
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CVX CHEVRON CORP NEW | United States | COMMON STOCK | 3,976 | 3,981 | +5 | $822,694 | $659,970 | -$162,724 |
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ETN EATON CORP PLC F | | FOREIGN ORDINARIES | 2,174 | 2,199 | +25 | $777,575 | $937,038 | +$159,463 |
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WMT WALMART INC | United States | COMMON STOCK | 14,410 | 14,495 | +85 | $1,790,888 | $1,641,716 | -$149,172 |
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DE DEERE & CO | United States | COMMON STOCK | 1,402 | 1,472 | +70 | $789,747 | $933,734 | +$143,987 |
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AVGO BROADCOM INC | United States | COMMON STOCK | 1,114 | 1,293 | +179 | $344,896 | $488,615 | +$143,719 |
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MRK MERCK & CO. INC. | United States | COMMON STOCK | 2,367 | 2,813 | +446 | $284,749 | $361,524 | +$76,775 |
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KO THE COCA-COLA CO | United States | COMMON STOCK | 4,696 | 5,196 | +500 | $357,131 | $422,279 | +$65,148 |
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PLD PROLOGIS INC REIT | United States | REAL ESTATE INVESTME | 3,180 | 3,541 | +361 | $420,333 | $479,766 | +$59,433 |
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JNJ JOHNSON & JOHNSON | United States | COMMON STOCK | 5,453 | 5,466 | +13 | $1,332,987 | $1,388,320 | +$55,333 |
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MDLZ MONDELEZ INTL INC CLASS A | United States | COMMON STOCK | 9,545 | 10,207 | +662 | $550,159 | $590,399 | +$40,240 |
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TJX TJX COS INC NEW | United States | COMMON STOCK | 5,534 | 5,599 | +65 | $883,780 | $848,249 | -$35,531 |
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LIN LINDE PLC F | United Kingdom | FOREIGN ORDINARIES | 459 | 479 | +20 | $227,554 | $248,572 | +$21,018 |
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META META PLATFORMS INC CLASS A | United States | COMMON STOCK | 668 | 715 | +47 | $382,183 | $402,752 | +$20,569 |
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APD AIR PRODS & CHEMS INC | United States | COMMON STOCK | 1,722 | 1,755 | +33 | $500,224 | $514,531 | +$14,307 |
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COST COSTCO WHSL CORP NEW | United States | COMMON STOCK | 649 | 693 | +44 | $646,876 | $648,416 | +$1,540 |
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