Access Investment Management LLC

Holdings as of 2026-06-30, filed 2026-08-03

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 34 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
144
Value reported by manager
$390.6M
Sum of our stored positions
$390.6M
should match the line above
Disclosure lag
34 d
quarter end to filing
Top 5 concentration
26.6%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls

Positions

144 largest shown
IssuerClassValueSharesTypeCUSIP
UNITED RENTALS INCCOM$36.2M31,974911363109
WILEY JOHN & SONS INCCL A$17.8M365,994968223206
CITIGROUP INCCOM NEW$16.8M120,118172967424
APOLLO GLOBAL MGMT INCCOM$16.7M141,56203769M106
JABIL INCCOM$16.5M42,911466313103
SONOCO PRODS COCOM$16.5M292,209835495102
EAST WEST BANCORP INCCOM$16.3M126,59627579R104
STIFEL FINL CORPCOM$14.9M214,024860630102
DONNELLEY FINL SOLUTIONS INCCOM$12.8M306,30525787G100
BANK OF AMER CORPCOM$12M210,075060505104
JPMORGAN CHASE & COCOM$11.5M35,25046625H100
CUSTOMERS BANCORP INCCOM$11.1M140,54923204G100
LKQ CORPCOM$9.7M366,949501889208
FIFTH THIRD BANCORPCOM$8.6M153,100316773100
GENPACT LIMITEDSHS$8.6M312,002G3922B107
VANGUARD INTL EQUITY INDEX FFTSE PACIFIC ETF$8.4M72,801922042866
PVH CORPORATIONCOM$8M108,275693656100
SALLY BEAUTY HLDGS INCCOM$8M566,72479546E104
LA Z BOY INCCOM$7.4M185,104505336107
INTEGRA LIFESCIENCES HLDGS CCOM NEW$7.3M405,002457985208
LIQUIDITY SVCS INCCOM$7.1M180,92653635B107
LINCOLN NATL CORP INDCOM$6.9M196,500534187109
AGNICO EAGLE MINES LTDCOM$6.2M40,000008474108
OMNICOM GROUP INCCOM$5.9M81,190681919106
ABERCROMBIE & FITCH COCL A$5.5M60,670002896207
ISHARES TRINTL SEL DIV ETF$5.2M126,513464288448
LADDER CAP CORPCL A$4.8M483,446505743104
RAYMOND JAMES FINL INCCOM$4.6M29,960754730109
ISHARES TRSP SMCP600VL ETF$4.5M32,764464287879
OPEN TEXT CORPCOM$4.4M200,096683715106
EPAM SYS INCCOM$4.1M51,21529414B104
BALL CORPCOM$3.7M59,057058498106
VANGUARD INDEX FDSSM CP VAL ETF$3.6M15,000922908611
DXC TECHNOLOGY COCOM$3.5M390,00023355L106
FIRSTSUN CAP BANCORPCOM$3.4M87,34033767U107
COGNIZANT TECHNOLOGY SOLUTIOCL A$3.3M85,515192446102
KFORCE INCCOM$3.1M66,164493732101
VANGUARD WHITEHALL FDSINTL HIGH ETF$3M30,237921946794
WINTRUST FINL CORPCOM$3M18,40297650W108
TURNING PT BRANDS INCCOM$2.8M32,59290041L105
FIRST WATCH RESTAURANT GROUPCOM$2.7M212,71933748L101
ON SEMICONDUCTOR CORPCOM$2.6M27,000682189105
COLUMBIA BKG SYS INCCOM$2.5M76,554197236102
FIRST HORIZON CORPORATIONCOM$2.3M91,384320517105
MYERS INDS INCCOM$1.9M53,674628464109
FORTUNE BRANDS INNOVATIONS ICOM$1.4M25,53334964C106
CATHAY GEN BANCORPCOM$1.3M21,261149150104
JOHNSON & JOHNSONCOM$1.3M5,044478160104
SPROUTS FMRS MKT INCCOM$1.2M14,52485208M102
BRITISH AMERN TOB PLCSPONSORED ADR$1.2M19,769110448107
SMURFIT WESTROCK PLCSHS$1.2M25,675G8267P108
RITHM CAPITAL CORPCOM NEW$1.1M117,00064828T201
BROWN & BROWN INCCOM$1M15,996115236101
UNITED PARCEL SVCS INCCL B$975K9,070911312106
NEWMARK GROUP INCCL A$870.3K57,59865158N102
REPUBLIC SVCS INCCOM$852.3K4,000760759100
WORLD GOLD TRSPDR GLD MINIS$695.6K8,75998149E303
LEAR CORPCOM NEW$670.3K5,000521865204
WHIRLPOOL CORPCOM$630.7K16,000963320106
DISNEY WALT COCOM$628.2K6,527254687106
HERCULES CAPITAL INCCOM$602.4K38,200427096508
US BANCORPCOM NEW$592.3K9,807902973304
ARES CAPITAL CORPCOM$568.4K30,67504010L103
COCA-COLA EUROPACIFIC PARTNESHS$550.4K5,500G25839104
ALEXANDRIA REAL ESTATE EQ INCOM$539.1K10,200015271109
CARDINAL HEALTH INCCOM$512.4K2,15714149Y108
IQVIA HLDGS INCCOM$495.2K2,56346266C105
LULULEMON ATHLETICA INCCOM$463.8K4,062550021109
ARES COML REAL ESTATE CORPCOM$455.4K101,20004013V108
PERRIGO CO PLCSHS$441.6K42,500G97822103
CASELLA WASTE SYS INCCL A$436.4K4,500147448104
HEALTHPEAK PROPERTIES INCCOM$411.6K19,23342250P103
TOWNSQUARE MEDIA INCCL A$380.9K53,875892231101
VANGUARD SCOTTSDALE FDSVNG RUS1000IDX$217.5K64292206C730
JERASH HLDGS US INCCOM$216.7K45,05047632P101
INVESCO EXCH TRADED FD TR IIRAFI DVLPD MRKTS$210.3K4,67546138E735
APPLE INCCOM$192.4K665037833100
MCDONALDS CORPCOM$175.7K650580135101
MICROSOFT CORPCOM$152.9K410594918104
ALPHABET INCCAP STK CL A$117.9K33002079K305
SCHWAB STRATEGIC TRINTL SCEQT ETF$96.2K2,000808524888
ANALOG DEVICES INCCOM$75.1K189032654105
HOME DEPOT INCCOM$70.5K200437076102
SPDR SERIES TRUSTST STR P500VAL$63.8K1,05078464A508
MORGAN STANLEYCOM NEW$63.3K303617446448
VISA INCCOM CL A$61.1K17892826C839
ABBVIE INCCOM$59.9K23800287Y109
PROCTER & GAMBLE COCOM$58.7K400742718109
ISHARES TRCORE DIV GRWTH$57.6K76046434V621
ISHARES INCMSCI MEXICO ETF$56.8K754464286822
ISHARES TRCORE S&P MCP ETF$52.1K675464287507
AMAZON COM INCCOM$50.8K213023135106
CHUBB LIMITEDCOM$48.4K142H1467J104
NVIDIA CORPORATIONCOM$48K24067066G104
SPDR SERIES TRUSTST STR SP500DIV$47.7K1,00078468R788
COSTCO WHOLESALE CORPORATIONCOM$46.8K5022160K105
PERMIAN BASIN RTY TRUNIT BEN INT$45.1K1,800714236106
ISHARES TRRUS 1000 VAL ETF$43.6K180464287598
META PLATFORMS INCCL A$42.2K7530303M102
GENERAL DYNAMICS CORPCOM$42.2K119369550108
MCKESSON CORPCOM$41.6K5558155Q103
MIDCAP FINANCIAL INVSTMNT COCOM NEW$40.3K4,00003761U502
RTX CORPORATIONCOM$40K21175513E101
MONSTER BEVERAGE CORP NEWCOM$38.5K40161174X109
CISCO SYS INCCOM$34.5K29417275R102
DUKE ENERGY CORP NEWCOM NEW$33.2K26226441C204
HONEYWELL INTL INCCOM$30.8K138438516205
HONEYWELL AEROSPACE INCCOM$30.3K13743849R105
STATE STR SPDR S&P 500 ETF TTR UNIT$29.9K4078462F103
VERTEX PHARMACEUTICALS INCCOM$29.8K6092532F100
ONEOK INC NEWCOM$29.6K340682680103
DOMINION ENERGY INCCOM$29K42525746U109
AMERICAN EXPRESS COCOM$27.7K82025816109
WELLS FARGO & COCOM$26.1K316949746101
NASDAQ INCCOM$24.4K309631103108
STATE STR SPDR DOW JONES INDUT SER 1$23.5K4578467X109
EATON CORP PLCSHS$23.4K55G29183103
PNC FINL SVCS GROUP INCCOM$22.7K92693475105
PARKER-HANNIFIN CORPCOM$22.5K23701094104
BANK OF NY MELLON CORPCOM$21.7K150064058100
SELECT SECTOR SPDR TRST STR FINL ETF$21.4K40081369Y605
ACORN ENERGY INCCOM NEW$20.4K1,200004848206
INTERNATIONAL BUSINESS MACHSCOM$18.3K65459200101
INFORMATION SVCS GROUP INCCOM$18.2K4,43045675Y104
NOVARTIS AGSPONSORED ADR$14.6K9366987V109
FORD MTR COCOM$13.9K1,000345370860
COCA COLA COCOM$13.4K165191216100
ENTERGY CORP NEWCOM$13.1K11429364G103
CORNING INCCOM$13K51219350105
CUMMINS INCCOM$12.8K18231021106
AT&T INCCOM$12.1K58600206R102
SEI INVTS COCOM$12.1K138784117103
BLACKROCK INCCOM$11.5K1209290D101
NORTHROP GRUMMAN CORPCOM$11.2K22666807102
TJX COS INC NEWCOM$11.1K73872540109
CME GROUP INCCOM$10.6K4812572Q105
WASTE MGMT INC DELCOM$10.5K4794106L109
MOTORCAR PTS AMER INCCOM$9.8K640620071100
SIMPLIFY EXCHANGE TRADED FUNMBS ETF$8.2K16782889N525
INSTEEL INDS INCCOM$8K26545774W108
INVESCO EXCH TRADED FD TR IIKBW BK ETF$5.6K6046138E628
MASTERCARD INCORPORATEDCL A$5.1K1057636Q104
WOLVERINE WORLD WIDE INCCOM$4.1K250978097103
SPACE EXPLORATION TECHN CORPCLASS A COM STK$3.9K2384615Q103
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 2026-08-03

Access Investment Management LLC — 144 positions reported for 2026Q2 — Tapewire