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Kings Path Partners LLC Last Quarter Change: USA Stocks, Added

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.

StockCountry of operationClassShares 2026-03-31Shares 2026-06-30Share changeValue 2026-03-31Value 2026-06-30Value change
CVLG
COVENANT LOGISTICS GROUP INC
United StatesCL A10,64114,680+4,039$288,903$648,562+$359,659
AAPL
APPLE INC
United StatesCOM1,3522,121+769$343,124$613,733+$270,609
XOMXXXX
EXXON MOBIL CORP
COM8,2698,290+21$1,402,919$1,133,409-$269,510
WLDN
WILLDAN GROUP INC
United StatesCOM2,8605,910+3,050$218,962$467,481+$248,519
MGRC
MCGRATH RENTCORP
United StatesCOM1,4502,740+1,290$159,906$331,622+$171,716
GOOG
ALPHABET INC
United StatesCAP STK CL C480647+167$137,693$228,605+$90,912
GOOGL
ALPHABET INC
United StatesCAP STK CL A380546+166$109,273$195,124+$85,851
TXN
TEXAS INSTRS INC
United StatesCOM560633+73$108,718$188,678+$79,960
GLD
SPDR GOLD TR
United StatesGOLD SHS8091,109+300$348,105$408,533+$60,428
MSFT
MICROSOFT CORP
United StatesCOM418530+112$154,731$197,701+$42,970
BRKB
BERKSHIRE HATHAWAY INC DEL
CL B NEW955991+36$457,636$495,886+$38,250
CSCO
CISCO SYS INC
United StatesCOM118291+173$9,156$34,181+$25,025
MRK
MERCK & CO INC
United StatesCOM2,6002,608+8$312,754$335,128+$22,374
WMT
WALMART INC
United StatesCOM1,4931,503+10$185,550$170,230-$15,320
SBUX
STARBUCKS CORP
United StatesCOM296405+109$26,519$41,387+$14,868
HD
HOME DEPOT INC
United StatesCOM97132+35$31,902$46,554+$14,652
PGR
PROGRESSIVE CORP
United StatesCOM42101+59$8,326$22,063+$13,737
JPM
JPMORGAN CHASE & CO
United StatesCOM276286+10$81,188$93,616+$12,428
INTC
INTEL CORP
United StatesCOM3767+30$1,633$9,355+$7,722
BKNG
BOOKING HOLDINGS INC
United StatesCOM7175+168$29,472$31,192+$1,720
PG
PROCTER & GAMBLE CO
United StatesCOM270276+6$38,999$40,473+$1,474
WBD
WARNER BROS DISCOVERY INC
United StatesCOM SER A732+25$192$853+$661
DVN
DEVON ENERGY CORP NEW
United StatesCOM1834+16$906$1,405+$499
TFC
TRUIST FINL CORP
United StatesCOM2531+6$1,149$1,544+$395
UGL
PROSHARES TR II
United StatesULTRA GOLD1822+4$1,106$965-$141
AGQ
PROSHARES TR II
United StatesULTRA SILVER NEW812+4$956$816-$140

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