Byrne Asset Management LLC

Holdings as of 2026-06-30, filed 2026-07-07

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 7 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
594
Value reported by manager
$185.1M
Sum of our stored positions
$185.1M
should match the line above
Disclosure lag
7 d
quarter end to filing
Top 5 concentration
22.0%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls

Positions

200 largest shown
IssuerClassValueSharesTypeCUSIP
ALPHABET INC CLASS ACOM$10.5M29,51438259P508
APPLE INCCOM$8.2M28,225037833100
MICROSOFT CORPCOM$7.1M18,971594918104
NVIDIA CORPCOM$6.6M33,09767066G104
AMAZON.COM INCCOM$5.4M22,805023135106
ADVANCED MICRO DEVICES ICOM$5.1M8,858007903107
JOHNSON & JOHNSONCOM$4.6M18,171478160104
CORNING INCCOM$4.6M18,019219350105
APPLIED MATLS INCCOM$4.2M5,748038222105
CATERPILLAR INCCOM$3.7M3,440149123101
JPMORGAN CHASE & COCOM$2.9M8,88846625H100
RTX CORPCOM$2.5M13,34059022W596
VISA INC CLASS ACOM$2.5M7,33192826C839
TOLL BROS INCCOM$2.5M15,046889478103
CISCO SYS INCCOM$2.4M20,33017275R102
VANGUARD S&P 500 ETFCOM$2.3M3,300922908363
META PLATFORMS INC CLASS ACOM$2.2M3,86430303M102
MICRON TECHNOLOGY INCCOM$2.2M1,872595112103
IBM CORPCOM$2M6,981459200101
ASML HLDG N V FSPONSORED ADR 1 ADR REPS 1 ORD SHSCOM$1.9M953N07059210
GE AEROSPACECOM$1.8M4,887369604103
TAIWAN SEMICONDUCTOR M FSPONSORED ADR 1 ADR REPS 5 ORD SHSCOM$1.7M3,579874039100
BERKSHIRE HATHAWAY CLASS BCOM$1.6M3,205084670702
NRG ENERGY INCCOM$1.5M10,179629377508
BLACKROCK INC NEWCOM$1.5M1,53109247X101
ALLSPRING MULTI SECTOR ICOM$1.5M158,97094987D101
BLACKROCK FLOAT RATE STRCOM$1.5M132,75009255X100
DEERE & COCOM$1.5M2,292244199105
BLACKROCK FLOATING RATECOM$1.4M133,860091941104
FRANKLIN LIMITED DURATIOCOM$1.4M243,58035472T101
WALMART INCCOM$1.4M12,346931142103
DISNEY WALT COCOM$1.4M14,417254687106
INVESCO SENIOR INCOME TRCOM$1.4M460,49046131H107
STATE STREET SPDR S&P BIOTECH ETFCOM$1.3M8,41378464A870
ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETFCOM$1.3M13,67746432F834
WARNER BROS DISCOVERY INCLASS SERIES ACOM$1.3M47,61097263M109
HUNTINGTON INGALLS INDSCOM$1.2M4,401446413106
EXXON MOBIL CORPCOM$1.2M8,75030231G102
EXPAND ENERGY CORPCOM$1.2M12,865226552107
LENNAR CORP CLASS BCOM$1.1M12,917526057302
GE VERNOVA INCCOM$1.1M97036828A101
ORACLE CORPCOM$1.1M7,65368389X105
FREEPORT-MCMORAN INCCOM$1.1M17,72935671D857
AMERICAN INTL GROUP INCCOM$1.1M14,629026874784
QUEST DIAGNOSTICS INCCOM$1.1M5,07874834L100
KKR & CO INCCOM$1M11,38748248M102
AMERICAN EXPRESS COCOM$1M3,075025816109
CRH PUBLIC LIMITED CO FCOM$1M9,60512626K203
QUALCOMM INCCOM$1M5,455747525103
CONOCOPHILLIPSCOM$997.9K9,59920825C104
STATE STREET TECHNOLOGY SELECT SECTOR SPDR ETFCOM$974.5K5,11581369Y803
CVS HEALTH CORPCOM$967.3K9,350126650100
SPDR GOLD SHARESCOM$950.8K2,58178463V107
PROCTER & GAMBLE COCOM$928.7K6,333742718109
KENVUE INCCOM$911.9K47,71849177J102
HOME DEPOT INCCOM$880.6K2,497437076102
GE HEALTHCARE TECHNOLOGICOM$875.3K13,67536266G107
STATE STREET SPDR S&P REGIONAL BANKING ETFCOM$865K11,55778464A698
REVVITY INCCOM$850.7K7,646714046109
ST JOE COCOM$847.2K13,527790148100
BOEING COCOM$846K3,908097023105
ABBOTT LABSCOM$835.1K9,203002824100
SANDISK CORPCOM$827.6K36480004C101
MASTERCARD INC CLASS CLASS ACOM$801.2K1,56057636Q104
EPR PPTYS REITCOM$757.5K13,05826884U109
THREDUP INC CLASS ACOM$753.5K110,00088556E102
LYFT INC CLASS ACOM$730.4K49,99055087P104
AT&T INCCOM$723.6K34,95800206R102
BLACKSTONE INCCOM$702.4K5,96909253U108
PFIZER INCCOM$646.5K26,848717081103
WISDOMTREE FLOATING RATETREASURY FUNDCOM$639.5K12,70197717X628
ELI LILLY AND COCOM$620.1K517532457108
SEMPRACOM$573.4K6,185816851109
CITIGROUP INCCOM$508.8K3,635172967424
CHEVRON CORP NEWCOM$505.7K3,051166764100
DOLLAR GEN CORP NEWCOM$476.1K4,136256677105
UNITEDHEALTH GROUP INCCOM$473.9K1,14091324P102
ABBVIE INCCOM$462K1,83600287Y109
INTEL CORPCOM$460.2K3,296458140100
AUTODESK INCCOM$446.4K2,296052769106
PAYPAL HLDGS INCCOM$441.1K10,21570450Y103
ISHARES CHINA LARGE-CAP ETFCOM$425.4K13,467464287184
EPAM SYS INCCOM$413.8K5,21529414B104
ADOBE INCCOM$399K1,94600724F101
MERCK & CO. INC.COM$389K3,02758933Y105
ISHARES RUSSELL 2000 ETFCOM$383.1K1,275464287655
JOHNSON CONTROLS INT FCOM$376.1K2,574478366107
WELLS FARGO & COCOM$368K4,453949746101
PINTEREST INC CLASS ACOM$355K16,880693439200
AMGEN INCCOM$353.8K977031162100
GREEN BRICK PARTNERS INCCOM$337.2K4,213392709101
CHAMPION HOMES INCCOM$334.5K3,796830830105
UNILEVER PLC FSPONSORED ADR 1 ADR REPS 1 ORD SHSCOM$334.3K5,560904767704
NEXTDOOR HLDGS INC CLASS ACOM$330.5K145,60065345M108
UNIVERSAL DISPLAY CORPCOM$328.7K3,79691347P105
BANK OF AMERICA CORPCOM$328K5,757060505104
SOUTHERN COCOM$318.8K3,331842587107
ISHARES BIOTECHNOLOGY ETFCOM$318.4K1,674464287556
S&P GLOBAL INCCOM$317.3K77978409V104
GILEAD SCIENCES INCCOM$314K2,485375558103
PUBLIC SVC ENTERPRISE GRCOM$313.9K3,868744573106
RIMINI STR INC DELCOM$312.2K73,28076674Q107
MARTIN MARIETTA MATLS INCOM$311.4K540573284106
VERIZON COMMUNICATIONS ICOM$311.2K7,34992343V104
ALPHABET INC CLASS CCOM$309.9K87738259P706
AUTOMATIC DATA PROCESSINCOM$307.7K1,374053015103
NTNL CINEMEDIA INCCOM$304.8K80,202635309107
MCDONALDS CORPCOM$303K1,121580135101
STATE STREET HEALTH CARESELECT SECTOR SPDR ETFCOM$302.8K1,90981369Y209
EXTREME NETWORKS INCCOM$292.6K9,04030226D106
NETFLIX INCCOM$290.5K4,06864110L106
ALTRIA GROUP INCCOM$286.6K3,98402209S103
ALIBABA GROUP HLDG LTD FSPONSORED ADR 1 ADR REPS 8 ORD SHSCOM$281.2K2,93001609W102
STATE STREET CONSUMER DISCRETIONARY SELECT SECTOR SPDR ETFCOM$277.3K2,36481369Y407
STATE STREET FINANCIAL SELECT SECTOR SPDR ETFCOM$275.5K5,13981369Y605
STATE STREET INDUSTRIAL SELECT SECTOR SPDR ETFCOM$265.6K1,43481369Y704
SURO CAPITAL CORPCOM$265.2K21,15086887Q109
STATE STREET COMMUNICATION SERVICES SELECT SECTOR SPDR ETFCOM$265K2,47481369Y852
GOLDMAN SACHS GROUP INCCOM$263K26038141G104
CORECIVIC INCCOM$256K8,42522025Y407
US BANCORP DELCOM$254.9K4,220902973304
TELEDYNE TECHNOLOGIES INCOM$251.4K377879360105
VANGUARD FTSE EMERGING MARKETS INDEX FUND ETF SHARESCOM$251.3K4,210922042858
VELO3D INCCOM$250.6K14,28092259N302
MARVELL TECHNOLOGY INCCOM$248.1K833G5876H105
LAM RESH CORPCOM$247.9K572512807108
CENTURI HLDGS INC EQUITYCLASS EQUITYCOM$245.2K8,110169449105
FEDERAL AGRIC MTG CORP CLASS CCOM$239.7K1,203313148306
VANGUARD LARGE-CAP INDEXFUND ETF SHARESCOM$238.7K694922908637
ATLANTA BRAVES HLDGS INCCLASS SERIES CCOM$236.6K4,558531229888
ISHARES CORE S&P 500 ETFCOM$232.9K311464287200
NACCO INDS INC CLASS ACOM$228.6K4,567629579103
LOWES COS INCCOM$228.4K1,036548661107
RED CAT HLDGS INCCOM$225.4K21,16075644T100
CAVCO INDS INC DELCOM$222.4K362149568107
PEABODY ENERGY CORP NEWCOM$222K9,600704551100
HECLA MNG COCOM$219.7K14,241422704106
ZEBRA TECHNOLOGIES CORP CLASS ACOM$218.5K830989207105
PHOTRONICS INCCOM$217K6,671719405102
KLA CORPCOM$214.2K710482480100
VANGUARD MID-CAP INDEX FUND ETF SHARESCOM$212.4K2,636922908629
THERMO FISHER SCIENTIFICCOM$211.1K421883556102
AECOMCOM$209.8K3,00600766T100
SKYWEST INCCOM$209.2K2,106830879102
LENDINGTREE INC NEWCOM$208K4,697894675107
ALICO INCCOM$207.3K5,011016230104
SS&C TECHNOLOGIES HLDGSCOM$206.5K3,32878467J100
CANADIAN SOLAR INC FCOM$205.7K12,842136635109
HAWAIIAN ELEC INDS INCCOM$204.3K15,100419870100
CONAGRA BRANDS INCCOM$203.9K15,145205887102
MP MATLS CORP CLASS ACOM$201.7K3,602553368101
ISHARES ULTRA SHORT DURATION BOND ACTIVE ETFCOM$199.8K3,95046434V878
THE MOSAIC COCOM$199K9,39061945C103
ISHARES MSCI JAPAN ETFCOM$198.1K2,124464286848
BURNHAM HLDGS INC CLASS ACOM$196.6K8,261122295108
NORTHERN OIL & GAS INCCOM$194.8K10,730665531307
APA CORPCOM$193.3K5,93603743Q108
BIT DIGITAL INC. FCOM$192.8K107,100G1144A105
DICKS SPORTING GOODS INCCOM$186.4K822253393102
COMFORT SYS USA INCCOM$184.3K93199908104
SPHERE ENTERTAINMENT A CLASS ACOM$183.9K1,06355826T102
3M COCOM$180.7K1,11688579Y101
OCEANFIRST FINL CORPCOM$180.3K9,230675234108
REGIS CORPCOM$179.5K6,412758932107
TITAN INTL INC DELCOM$178.1K23,10088830M102
SPORTRADAR GROUP AG FCLASS ACOM$175.9K11,750H8088L103
FIDELITY ENHANCED MID CAP CORE ETFCOM$175.5K4,32531609A503
AEROVIRONMENT INCCOM$175.5K1,063008073108
VANGUARD INFORMATION TECHNOLOGY INDEX FUND ETF SHARESCOM$173.8K1,45492204A702
SENECA FOODS CORP NEW CLASS ACOM$173.4K997817070501
FASTLY INC CLASS ACOM$172.8K9,41031188V100
WHIRLPOOL CORPCOM$171.8K4,357963320106
INTEST CORPCOM$170.6K9,390461147100
CAPRI HLDGS LTD FCOM$170.5K9,180172967598
SAFE PRO GROUP INC EQUITCLASS EQUITYCOM$170.2K39,30078648R102
PAN AMERN SILVER CORP FCOM$170K3,796697900108
CRONOS GROUP INC FCOM$167.6K60,300226903102
MADISON SQUARE GARDEN SPCLASS ACOM$167.2K41655826T102
ZIONS BANCORP N ACOM$165.9K2,398989701107
AUTOZONE INCCOM$163K51053332102
CERVOMED INCCOM$158.9K51,25015713L109
TEXAS INSTRS INCCOM$158.6K532882508104
SKYX PLATFORMS CORPCOM$158.5K142,80078471E105
UNION PAC CORPCOM$158.3K582907818108
PARDEE RES COCOM$158.1K550699437109
FUBOTV INCCOM$157.5K17,12035953D104
CONSOLIDATED WATER CO FCOM$157.1K5,324G23773107
QUANEX BLDG PRODS CORP CLASS ACOM$154.4K8,290747619104
COTY INC CLASS ACOM$153.4K71,040222070203
COMSCORE INCCOM$152.6K20,68020564W105
PHILIP MORRIS INTL INCCOM$152.5K843718172109
TREX CO INCCOM$152.5K3,04789531P105
PEPSICO INCCOM$150.7K1,113713448108
BYD CO LTD FUNSPONSORED ADR 1 ADR REPS 1 ORD SHSCOM$150K16,18505606L100
MATIV HOLDINGS INCCOM$148.5K19,620808541106
HOVNANIAN ENTERPRISES INCLASS ACOM$148.1K1,040442487203
EASTMAN KODAK COCOM$147.4K15,940277461406
PLUG PWR INCCOM$147K54,24072919P202
CORSAIR GAMING INCCOM$146.8K15,18022041X102
CHESAPEAKE UTILS CORPCOM$144K1,176165303108
Values are shown exactly as filed. Before 2023 managers reported in thousands of dollars and afterwards in whole dollars; the reporting unit is not always determinable from the document, so nothing is converted automatically.

Source: U.S. Securities and Exchange Commission, Form 13F · as of 2026-07-07

Byrne Asset Management LLC — 594 positions reported for 2026Q2 — Tapewire