FORT WASHINGTON INVESTMENT ADVISORS INC /OH/ quarter change: USA Stocks, Reduced
In share positions in stocks (listed in the US), from the quarter ended 2026-03-31 to 2026-06-30, FORT WASHINGTON INVESTMENT ADVISORS INC /OH/ opened 24 positions, added to 134, reduced 131, sold out of 20 and left 38 unchanged. The largest increase in value was AMAT (+$169,734,830); the largest decrease was XOMXXXX (-$94,518,505).
- AMAT: Country of operation United States; Class Common Stock; Shares 2026-03-31 445,323; Shares 2026-06-30 445,286.
- GOOG: Country of operation United States; Class Common Stock; Shares 2026-03-31 2,569,074; Shares 2026-06-30 2,547,714.
- XOMXXXX: Country of operation —; Class Common Stock; Shares 2026-03-31 2,136,316; Shares 2026-06-30 1,959,690.
- GS: Country of operation United States; Class Common Stock; Shares 2026-03-31 191,990; Shares 2026-06-30 74,770.
Two Form 13F-HR filings compared (SEC CIK 1009016): 2026-03-31 (filed 2026-04-22) and 2026-06-30 (filed 2026-07-17). 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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AMAT APPLIED MATERIALS INC | United States | Common Stock | 445,323 | 445,286 | -37 | $152,206,948 | $321,941,778 | +$169,734,830 |
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GOOG ALPHABET INC-CL C | United States | Common Stock | 2,569,074 | 2,547,714 | -21,360 | $736,964,568 | $900,183,788 | +$163,219,220 |
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XOMXXXX EXXON MOBIL CORP | | Common Stock | 2,136,316 | 1,959,690 | -176,626 | $362,447,322 | $267,928,817 | -$94,518,505 |
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GS GOLDMAN SACHS GROUP INC | United States | Common Stock | 191,990 | 74,770 | -117,220 | $162,421,620 | $75,620,135 | -$86,801,485 |
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SSNC SS&C TECHNOLOGIES HOLDINGS | United States | Common Stock | 1,512,934 | 503,614 | -1,009,320 | $102,228,950 | $31,249,249 | -$70,979,701 |
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AAPL APPLE INC | United States | Common Stock | 2,641,243 | 2,549,295 | -91,948 | $670,321,145 | $737,664,063 | +$67,342,918 |
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MU MICRON TECHNOLOGY INC | United States | Common Stock | 170,106 | 97,159 | -72,947 | $57,468,611 | $112,149,662 | +$54,681,051 |
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BAC BANK OF AMERICA CORP | United States | Common Stock | 5,790,164 | 5,748,174 | -41,990 | $282,270,478 | $327,530,936 | +$45,260,458 |
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TXN TEXAS INSTRUMENTS INC | United States | Common Stock | 1,036,439 | 536,900 | -499,539 | $201,214,267 | $160,033,783 | -$41,180,484 |
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CINF CINCINNATI FINANCIAL CORP | United States | Common Stock | 1,498,676 | 1,495,541 | -3,135 | $235,816,669 | $276,884,461 | +$41,067,792 |
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SWK STANLEY BLACK & DECKER INC | United States | Common Stock | 1,432,504 | 1,396,575 | -35,929 | $101,793,716 | $131,445,639 | +$29,651,923 |
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PGNY PROGYNY INC | United States | Common Stock | 2,693,393 | 2,548,164 | -145,229 | $45,733,813 | $73,463,568 | +$27,729,755 |
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CSCO CISCO SYSTEMS INC | United States | Common Stock | 1,133,743 | 970,924 | -162,819 | $87,967,114 | $114,044,733 | +$26,077,619 |
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KR KROGER CO | United States | Common Stock | 379,227 | 32,752 | -346,475 | $27,440,866 | $1,818,718 | -$25,622,148 |
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QCOM QUALCOMM INC | United States | Common Stock | 499,232 | 486,440 | -12,792 | $64,291,097 | $89,889,248 | +$25,598,151 |
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CVX CHEVRON CORP | United States | Common Stock | 512,189 | 486,015 | -26,174 | $105,971,904 | $80,561,846 | -$25,410,058 |
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BMY BRISTOL-MYERS SQUIBB CO | United States | Common Stock | 2,605,927 | 2,304,823 | -301,104 | $158,049,473 | $132,803,901 | -$25,245,572 |
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CVS CVS HEALTH CORP | United States | Common Stock | 752,007 | 722,017 | -29,990 | $54,009,143 | $74,692,659 | +$20,683,516 |
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JNJ JOHNSON & JOHNSON | United States | Common Stock | 1,064,304 | 944,509 | -119,795 | $260,158,477 | $239,876,958 | -$20,281,519 |
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MNST MONSTER BEVERAGE CORP | United States | Common Stock | 1,108,817 | 1,026,941 | -81,876 | $80,344,880 | $98,709,569 | +$18,364,689 |
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FTDR FRONTDOOR INC | United States | Common Stock | 799,843 | 764,547 | -35,296 | $42,279,701 | $59,321,202 | +$17,041,501 |
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LMT LOCKHEED MARTIN CORP | United States | Common Stock | 107,554 | 94,967 | -12,587 | $65,004,562 | $48,381,888 | -$16,622,674 |
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CAT CATERPILLAR INC | United States | Common Stock | 100,672 | 82,247 | -18,425 | $71,322,085 | $87,584,830 | +$16,262,745 |
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ADI ANALOG DEVICES INC | United States | Common Stock | 246,490 | 159,462 | -87,028 | $78,418,329 | $63,333,523 | -$15,084,806 |
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HAE HAEMONETICS CORP/MASS | United States | Common Stock | 841,017 | 830,925 | -10,092 | $47,399,718 | $62,319,375 | +$14,919,657 |
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PSX PHILLIPS 66 | United States | Common Stock | 252,809 | 185,498 | -67,311 | $46,056,744 | $31,358,437 | -$14,698,307 |
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ONTO ONTO INNOVATION INC | United States | Common Stock | 163,525 | 127,290 | -36,235 | $33,534,072 | $48,172,901 | +$14,638,829 |
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KLIC KULICKE & SOFFA INDUSTRIES | | Common Stock | 451,386 | 324,053 | -127,333 | $29,665,088 | $43,345,329 | +$13,680,241 |
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USB US BANCORP | United States | Common Stock | 1,440,893 | 1,438,139 | -2,754 | $74,940,845 | $86,863,596 | +$11,922,751 |
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LOPE GRAND CANYON EDUCATION INC | United States | Common Stock | 251,546 | 216,990 | -34,556 | $42,770,366 | $31,053,439 | -$11,716,927 |
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WAT WATERS CORP | United States | Common Stock | 40,174 | 968 | -39,206 | $11,963,817 | $363,039 | -$11,600,778 |
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OPCH OPTION CARE HEALTH INC | United States | Common Stock | 1,479,728 | 1,352,995 | -126,733 | $39,834,278 | $28,372,305 | -$11,461,973 |
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MCHP MICROCHIP TECHNOLOGY INC | United States | Common Stock | 580,915 | 512,058 | -68,857 | $37,532,918 | $46,699,690 | +$9,166,772 |
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GE GENERAL ELECTRIC | United States | Common Stock | 93,073 | 93,030 | -43 | $26,411,325 | $34,768,102 | +$8,356,777 |
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PFG PRINCIPAL FINANCIAL GROUP | United States | Common Stock | 408,534 | 268,408 | -140,126 | $36,812,999 | $28,929,014 | -$7,883,985 |
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CVLT COMMVAULT SYSTEMS INC | United States | Common Stock | 273,206 | 201,819 | -71,387 | $21,280,015 | $28,603,807 | +$7,323,792 |
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SPG SIMON PROPERTY GROUP INC | United States | REIT | 190,359 | 189,577 | -782 | $35,507,664 | $42,398,896 | +$6,891,232 |
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YETI YETI HOLDINGS INC | United States | Common Stock | 677,360 | 612,384 | -64,976 | $24,784,602 | $30,349,751 | +$5,565,149 |
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MMM 3M CO | United States | Common Stock | 376,840 | 372,156 | -4,684 | $54,728,473 | $60,255,778 | +$5,527,305 |
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KMI KINDER MORGAN INC | United States | Common Stock | 2,029,519 | 1,957,880 | -71,639 | $68,049,772 | $62,593,424 | -$5,456,348 |
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GOOGL ALPHABET INC-CL A | United States | Common Stock | 83,900 | 82,341 | -1,559 | $24,126,284 | $29,426,203 | +$5,299,919 |
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SYY SYSCO CORP | United States | Common Stock | 695,647 | 656,494 | -39,153 | $49,620,496 | $54,869,769 | +$5,249,273 |
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FSS FEDERAL SIGNAL CORP | United States | Common Stock | 270,471 | 266,223 | -4,248 | $29,248,734 | $34,206,993 | +$4,958,259 |
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ETR ENTERGY CORP | United States | Common Stock | 567,862 | 512,432 | -55,430 | $63,804,974 | $58,857,940 | -$4,947,034 |
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AUB ATLANTIC UNION BANKSHARES CO | United States | Common Stock | 829,469 | 798,331 | -31,138 | $29,645,222 | $33,777,385 | +$4,132,163 |
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SLGN SILGAN HOLDINGS INC | United States | Common Stock | 552,945 | 551,295 | -1,650 | $21,454,266 | $25,574,575 | +$4,120,309 |
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TFC TRUIST FINANCIAL CORP | United States | Common Stock | 1,079,513 | 1,077,481 | -2,032 | $49,625,213 | $53,680,103 | +$4,054,890 |
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CTAS CINTAS CORP | United States | Common Stock | 4,252,541 | 4,252,487 | -54 | $719,274,785 | $723,262,989 | +$3,988,204 |
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VLO VALERO ENERGY CORP | United States | Common Stock | 192,430 | 167,347 | -25,083 | $47,545,604 | $43,583,853 | -$3,961,751 |
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ABCB AMERIS BANCORP | United States | Common Stock | 384,699 | 374,655 | -10,044 | $30,002,675 | $33,816,360 | +$3,813,685 |
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CROX CROCS INC | United States | Common Stock | 296,276 | 233,950 | -62,326 | $24,596,834 | $28,223,728 | +$3,626,894 |
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SBUX STARBUCKS CORP | United States | Common Stock | 419,903 | 402,981 | -16,922 | $37,619,076 | $41,180,628 | +$3,561,552 |
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FNB FNB CORP | United States | Common Stock | 1,815,190 | 1,766,754 | -48,436 | $30,349,977 | $33,709,666 | +$3,359,689 |
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AEIS ADVANCED ENERGY INDUSTRIES | United States | Common Stock | 89,732 | 70,060 | -19,672 | $28,957,414 | $26,123,272 | -$2,834,142 |
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PWR QUANTA SERVICES INC | United States | Common Stock | 16,003 | 16,000 | -3 | $8,785,967 | $11,520,640 | +$2,734,673 |
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AMD ADVANCED MICRO DEVICES | United States | Common Stock | 8,460 | 7,312 | -1,148 | $1,721,018 | $4,247,614 | +$2,526,596 |
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WHD CACTUS INC - A | United States | Common Stock | 460,878 | 379,727 | -81,151 | $21,831,791 | $19,453,414 | -$2,378,377 |
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LRCX LAM RESEARCH CORP | United States | Common Stock | 11,152 | 10,607 | -545 | $2,382,736 | $4,596,331 | +$2,213,595 |
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ROP ROPER TECHNOLOGIES INC | United States | Common Stock | 141,584 | 141,550 | -34 | $50,100,914 | $47,899,105 | -$2,201,809 |
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NEXT NEXTDECADE CORP | United States | Common Stock | 644,417 | 370,831 | -273,586 | $4,936,234 | $2,796,066 | -$2,140,168 |
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SNOW SNOWFLAKE INC | United States | Common Stock | 19,456 | 19,452 | -4 | $2,934,354 | $4,950,534 | +$2,016,180 |
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RTX RTX CORP | United States | Common Stock | 374,599 | 370,453 | -4,146 | $72,260,147 | $70,286,048 | -$1,974,099 |
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ORCL ORACLE CORP | United States | Common Stock | 1,258,247 | 1,251,246 | -7,001 | $185,100,714 | $183,370,101 | -$1,730,613 |
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BLD TOPBUILD CORP | United States | Common Stock | 63,595 | 58,492 | -5,103 | $22,340,924 | $20,737,169 | -$1,603,755 |
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CARG CARGURUS INC | United States | Common Stock | 1,110,231 | 1,069,080 | -41,151 | $37,803,366 | $36,444,937 | -$1,358,429 |
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INTC Intel Corp | United States | Common Stock | 14,422 | 14,222 | -200 | $636,455 | $1,985,818 | +$1,349,363 |
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SSB SOUTHSTATE BANK CORP | United States | Common Stock | 337,045 | 324,796 | -12,249 | $31,183,403 | $32,447,120 | +$1,263,717 |
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WMT WALMART INC | United States | Common Stock | 104,048 | 103,122 | -926 | $12,931,085 | $11,679,598 | -$1,251,487 |
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DINO HF SINCLAIR CORP | United States | Common Stock | 359,264 | 304,153 | -55,111 | $22,414,481 | $21,184,256 | -$1,230,225 |
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DASH DOORDASH INC - A | United States | Common Stock | 33,583 | 33,567 | -16 | $5,042,487 | $6,194,119 | +$1,151,632 |
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DG DOLLAR GENERAL CORP | United States | Common Stock | 289,489 | 289,169 | -320 | $34,371,071 | $33,286,244 | -$1,084,827 |
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AMGN AMGEN INC | United States | Common Stock | 92,090 | 91,608 | -482 | $32,401,867 | $33,173,089 | +$771,222 |
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ABT Abbott Laboratories | United States | Common Stock | 23,597 | 19,285 | -4,312 | $2,422,736 | $1,749,921 | -$672,815 |
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TJX TJX COMPANIES INC | United States | Common Stock | 58,254 | 57,157 | -1,097 | $9,303,157 | $8,659,286 | -$643,871 |
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ITT ITT INC | United States | Common Stock | 165,061 | 155,794 | -9,267 | $31,449,072 | $30,809,821 | -$639,251 |
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MRVL MARVELL TECHNOLOGY INC | United States | Common Stock | 10,700 | 5,672 | -5,028 | $1,059,835 | $1,689,632 | +$629,797 |
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RNG RINGCENTRAL INC-CLASS A | United States | Common Stock | 763,428 | 712,943 | -50,485 | $28,391,887 | $27,790,518 | -$601,369 |
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SO SOUTHERN CO/THE | United States | Common Stock | 652,169 | 651,760 | -409 | $62,947,352 | $62,379,950 | -$567,402 |
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CME CME Group Inc | United States | Common Stock | 6,789 | 6,614 | -175 | $2,005,131 | $1,460,570 | -$544,561 |
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ELV ELEVANCE HEALTH INC | United States | Common Stock | 5,868 | 5,846 | -22 | $1,717,761 | $2,260,824 | +$543,063 |
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COST Costco Wholesale Corp | United States | Common Stock | 6,463 | 6,344 | -119 | $6,439,927 | $5,934,622 | -$505,305 |
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OKE ONEOK INC | United States | Common Stock | 59,219 | 56,726 | -2,493 | $5,352,805 | $4,931,758 | -$421,047 |
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ISRG INTUITIVE SURGICAL INC | United States | Common Stock | 6,419 | 6,416 | -3 | $2,959,095 | $2,551,515 | -$407,580 |
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WMB WILLIAMS COS INC | United States | Common Stock | 80,826 | 74,735 | -6,091 | $5,882,516 | $5,555,800 | -$326,716 |
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AM ANTERO MIDSTREAM CORP | United States | Common Stock | 161,205 | 147,227 | -13,978 | $3,675,474 | $3,349,414 | -$326,060 |
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ETN Eaton Corp PLC | | Common Stock | 4,070 | 4,006 | -64 | $1,455,717 | $1,707,037 | +$251,320 |
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CAH CARDINAL HEALTH INC | United States | Common Stock | 9,916 | 7,797 | -2,119 | $2,095,350 | $1,852,255 | -$243,095 |
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CHE CHEMED CORP | United States | Common Stock | 62,264 | 51,013 | -11,251 | $23,519,603 | $23,758,795 | +$239,192 |
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PM PHILIP MORRIS INTERNATIONAL | United States | Common Stock | 1,546,551 | 1,414,730 | -131,821 | $255,706,742 | $255,938,804 | +$232,062 |
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BRKB BERKSHIRE HATHAWAY INC-CL B | | Common Stock | 267,701 | 255,913 | -11,788 | $128,282,319 | $128,056,306 | -$226,013 |
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GLDM World Gold Trust SPDR GLD MiniShares ETF | United States | ETF | 13,601 | 13,101 | -500 | $1,260,677 | $1,040,481 | -$220,196 |
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AWK American Water Works Company Inc | United States | Common Stock | 32,430 | 31,898 | -532 | $4,413,399 | $4,197,139 | -$216,260 |
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DELL DELL TECHNOLOGIES -C | United States | Common Stock | 2,241 | 1,344 | -897 | $367,816 | $579,882 | +$212,066 |
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FDX FEDEX CORP | United States | Common Stock | 4,863 | 4,856 | -7 | $1,732,103 | $1,520,559 | -$211,544 |
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BNY BANK OF NEW YORK MELLON CORP | United States | Common Stock | 9,277 | 8,992 | -285 | $1,100,531 | $1,300,333 | +$199,802 |
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NOW SERVICENOW INC | United States | Common Stock | 28,250 | 28,235 | -15 | $2,953,538 | $2,803,171 | -$150,367 |
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SLB SLB Limited | | Common Stock | 10,391 | 8,366 | -2,025 | $533,993 | $388,935 | -$145,058 |
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VCTR Victory Cap Hldgs Inc Com Cl A | United States | Common Stock | 5,610 | 2,710 | -2,900 | $367,343 | $227,803 | -$139,540 |
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PNC PNC Financial Service Corp | United States | Common Stock | 3,454 | 3,424 | -30 | $718,639 | $842,934 | +$124,295 |
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IAU iShares Gold Trust | United States | ETF | 8,755 | 8,600 | -155 | $771,841 | $649,386 | -$122,455 |
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