Kings Path Partners 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, Kings Path Partners LLC opened 51 positions, added to 26, reduced 14, sold out of 14 and left 102 unchanged. The largest increase in value was CDNL (+$698,493); the largest decrease was IIIV (-$453,349).
- CVLG: Country of operation United States; Class CL A; Shares 2026-03-31 10,641; Shares 2026-06-30 14,680.
- AAPL: Country of operation United States; Class COM; Shares 2026-03-31 1,352; Shares 2026-06-30 2,121.
- XOMXXXX: Country of operation —; Class COM; Shares 2026-03-31 8,269; Shares 2026-06-30 8,290.
- WLDN: Country of operation United States; Class COM; Shares 2026-03-31 2,860; Shares 2026-06-30 5,910.
Two Form 13F-HR filings compared (SEC CIK 2030974): 2026-03-31 (filed 2026-08-21) and 2026-06-30 (filed 2026-07-14). 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 |
|---|
CVLG COVENANT LOGISTICS GROUP INC | United States | CL A | 10,641 | 14,680 | +4,039 | $288,903 | $648,562 | +$359,659 |
|---|
AAPL APPLE INC | United States | COM | 1,352 | 2,121 | +769 | $343,124 | $613,733 | +$270,609 |
|---|
XOMXXXX EXXON MOBIL CORP | | COM | 8,269 | 8,290 | +21 | $1,402,919 | $1,133,409 | -$269,510 |
|---|
WLDN WILLDAN GROUP INC | United States | COM | 2,860 | 5,910 | +3,050 | $218,962 | $467,481 | +$248,519 |
|---|
MGRC MCGRATH RENTCORP | United States | COM | 1,450 | 2,740 | +1,290 | $159,906 | $331,622 | +$171,716 |
|---|
GOOG ALPHABET INC | United States | CAP STK CL C | 480 | 647 | +167 | $137,693 | $228,605 | +$90,912 |
|---|
GOOGL ALPHABET INC | United States | CAP STK CL A | 380 | 546 | +166 | $109,273 | $195,124 | +$85,851 |
|---|
TXN TEXAS INSTRS INC | United States | COM | 560 | 633 | +73 | $108,718 | $188,678 | +$79,960 |
|---|
GLD SPDR GOLD TR | United States | GOLD SHS | 809 | 1,109 | +300 | $348,105 | $408,533 | +$60,428 |
|---|
MSFT MICROSOFT CORP | United States | COM | 418 | 530 | +112 | $154,731 | $197,701 | +$42,970 |
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BRKB BERKSHIRE HATHAWAY INC DEL | | CL B NEW | 955 | 991 | +36 | $457,636 | $495,886 | +$38,250 |
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CSCO CISCO SYS INC | United States | COM | 118 | 291 | +173 | $9,156 | $34,181 | +$25,025 |
|---|
MRK MERCK & CO INC | United States | COM | 2,600 | 2,608 | +8 | $312,754 | $335,128 | +$22,374 |
|---|
WMT WALMART INC | United States | COM | 1,493 | 1,503 | +10 | $185,550 | $170,230 | -$15,320 |
|---|
SBUX STARBUCKS CORP | United States | COM | 296 | 405 | +109 | $26,519 | $41,387 | +$14,868 |
|---|
HD HOME DEPOT INC | United States | COM | 97 | 132 | +35 | $31,902 | $46,554 | +$14,652 |
|---|
PGR PROGRESSIVE CORP | United States | COM | 42 | 101 | +59 | $8,326 | $22,063 | +$13,737 |
|---|
JPM JPMORGAN CHASE & CO | United States | COM | 276 | 286 | +10 | $81,188 | $93,616 | +$12,428 |
|---|
INTC INTEL CORP | United States | COM | 37 | 67 | +30 | $1,633 | $9,355 | +$7,722 |
|---|
BKNG BOOKING HOLDINGS INC | United States | COM | 7 | 175 | +168 | $29,472 | $31,192 | +$1,720 |
|---|
PG PROCTER & GAMBLE CO | United States | COM | 270 | 276 | +6 | $38,999 | $40,473 | +$1,474 |
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WBD WARNER BROS DISCOVERY INC | United States | COM SER A | 7 | 32 | +25 | $192 | $853 | +$661 |
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DVN DEVON ENERGY CORP NEW | United States | COM | 18 | 34 | +16 | $906 | $1,405 | +$499 |
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TFC TRUIST FINL CORP | United States | COM | 25 | 31 | +6 | $1,149 | $1,544 | +$395 |
|---|
UGL PROSHARES TR II | United States | ULTRA GOLD | 18 | 22 | +4 | $1,106 | $965 | -$141 |
|---|
AGQ PROSHARES TR II | United States | ULTRA SILVER NEW | 8 | 12 | +4 | $956 | $816 | -$140 |
|---|
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