0001056516-26-000002.txt : 20260424
0001056516-26-000002.hdr.sgml : 20260424
20260424144333
ACCESSION NUMBER: 0001056516-26-000002
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20260331
FILED AS OF DATE: 20260424
DATE AS OF CHANGE: 20260424
EFFECTIVENESS DATE: 20260424
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Palouse Capital Management, Inc.
CENTRAL INDEX KEY: 0001056516
ORGANIZATION NAME:
EIN: 000000000
STATE OF INCORPORATION: WA
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-06910
FILM NUMBER: 26892988
BUSINESS ADDRESS:
STREET 1: 1212 N. WASHINGTON ST.
STREET 2: SUITE 300
CITY: SPOKANE
STATE: WA
ZIP: 99201
BUSINESS PHONE: 5096245591
MAIL ADDRESS:
STREET 1: 1212 N. WASHINGTON ST.
STREET 2: SUITE 300
CITY: SPOKANE
STATE: WA
ZIP: 99201
FORMER COMPANY:
FORMER CONFORMED NAME: KEN ROBERTS INVESTMENT MANAGEMENT INC
DATE OF NAME CHANGE: 19990329
13F-HR
1
primary_doc.xml
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false
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0001056516
XXXXXXXX
03-31-2026
03-31-2026
Palouse Capital Management, Inc.
1212 N. WASHINGTON ST.
SUITE 300
SPOKANE
WA
99201
13F HOLDINGS REPORT
028-06910
000104573
801-46893
N
CHRISTOPHER K. HICKS
PRESIDENT
503-292-5853
CHRISTOPHER K. HICKS
PORTLAND
OR
04-24-2026
0
135
151238367
false
INFORMATION TABLE
2
table.xml
ABM INDS INC
COM
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2524
SH
SOLE
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0
717
ACM RESH INC
COM CL A
00108J109
126628
3218
SH
SOLE
2079
0
1139
ADVANCED MICRO DEVICES INC
COM
007903107
1229531
6044
SH
SOLE
5564
0
480
AKAMAI TECHNOLOGIES INC
COM
00971T101
3054321
26594
SH
SOLE
24614
0
1980
ALPHABET INC
CAP STK CL A
02079K305
3903627
13575
SH
SOLE
12429
0
1146
ALPS ETF TR
ALERIAN MLP
00162Q452
1873563
35592
SH
SOLE
24571
0
11021
AMAZON COM INC
COM
023135106
1486006
7135
SH
SOLE
6470
0
665
AMERICAN TOWER CORP
COM
03027X100
2396100
13884
SH
SOLE
10553
0
3331
AMKOR TECHNOLOGY INC
COM
031652100
44535
989
SH
SOLE
593
0
396
APOGEE ENTERPRISES INC
COM
037598109
17
1
SH
SOLE
0
0
1
APPLE HOSPITALITY REIT INC
COM NEW
03784Y200
40907
3554
SH
SOLE
1601
0
1953
APPLE INC
COM
037833100
613664
2418
SH
SOLE
1918
0
500
APTIV PLC
COM SHS
G3265R107
1171245
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SH
SOLE
15370
0
1497
AT&T INC
COM
00206R102
1822514
62867
SH
SOLE
43825
0
19042
AXOS FINANCIAL INC
COM
05465C100
183625
2158
SH
SOLE
1613
0
545
BAKER HUGHES COMPANY
CL A
05722G100
5460373
89441
SH
SOLE
72618
0
16823
BECTON DICKINSON & CO
COM
075887109
1555005
9890
SH
SOLE
9067
0
823
BOEING CO
COM
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75
SH
SOLE
75
0
0
BOEING CO
DEP CONV PFD A
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35425
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SOLE
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9042
BRADY CORP
CL A
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178890
2202
SH
SOLE
1541
0
661
BRIDGEWATER BANCSHARES INC
COM
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4814
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SOLE
2961
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1853
CARRIAGE SVCS INC
COM
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SOLE
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624
CISCO SYS INC
COM
17275R102
2618663
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SH
SOLE
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8224
CITIGROUP INC
COM NEW
172967424
3507205
30926
SH
SOLE
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0
5921
COHU INC
COM
192576106
41000
1339
SH
SOLE
565
0
774
COLUMBUS MCKINNON CORP N Y
COM
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1392
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1465
COMCAST CORP NEW
CL A
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SOLE
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0
0
CONNECTONE BANCORP INC
COM
20786W107
13
1
SH
SOLE
0
0
1
CRANE NXT CO
COM
224441105
125463
3091
SH
SOLE
2258
0
833
CROWN HLDGS INC
COM
228368106
148470
1481
SH
SOLE
1082
0
399
CVB FINL CORP
COM
126600105
155042
7996
SH
SOLE
5875
0
2121
CVS HEALTH CORP
COM
126650100
1073422
14946
SH
SOLE
11041
0
3905
DARLING INGREDIENTS INC
COM
237266101
78426
1268
SH
SOLE
531
0
737
DELL TECHNOLOGIES INC
CL C
24703L202
2948103
17962
SH
SOLE
16488
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1474
DEVON ENERGY CORP NEW
COM
25179M103
3534225
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SH
SOLE
57214
0
13021
DISNEY WALT CO
COM
254687106
1837774
19068
SH
SOLE
17583
0
1485
DMC GLOBAL INC
COM
23291C103
40159
7708
SH
SOLE
4842
0
2866
DREAM FINDERS HOMES INC
COM CL A
26154D100
36874
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SH
SOLE
1763
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886
DUTCH BROS INC
CL A
26701L100
5066
100
SH
SOLE
100
0
0
EAST WEST BANCORP INC
COM
27579R104
2052215
19223
SH
SOLE
17334
0
1889
ELEVANCE HEALTH INC FORMERLY
COM
036752103
1608076
5493
SH
SOLE
5017
0
476
ENERSYS
COM
29275Y102
199691
1150
SH
SOLE
893
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257
EVEREST GROUP LTD
COM
G3223R108
1745379
5340
SH
SOLE
4887
0
453
FISERV INC
COM
337738108
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21170
SH
SOLE
19327
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1843
GENERAL MILLS INC
COM
370334104
3038157
81627
SH
SOLE
65791
0
15836
GENTHERM INC
COM
37253A103
117287
4222
SH
SOLE
2879
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1343
GLOBUS MED INC
CL A
379577208
119159
1383
SH
SOLE
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0
365
HEALTHPEAK PROPERTIES INC
COM
42250P103
88442
5383
SH
SOLE
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HEWLETT PACKARD ENTERPRISE C
7.625 MAND CONV
174610601
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SH
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9030
HEWLETT PACKARD ENTERPRISE C
COM
42824C109
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HONEYWELL INTL INC
COM
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SH
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HP INC
COM
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SH
SOLE
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HUNTINGTON BANCSHARES INC
COM
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3593138
229594
SH
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184829
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44765
INCYTE CORP
COM
45337C102
115109
1223
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SOLE
1223
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0
INSIGHT ENTERPRISES INC
COM
45765U103
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SH
SOLE
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PFD ETF
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55488
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VAR RATE PFD
46138G870
395550
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SH
SOLE
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INVESCO EXCHANGE TRADED FD T
FINL PFD ETF
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SH
SOLE
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ISHARES TR
IBOXX INV CP ETF
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SH
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577
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PFD AND INCM SEC
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SH
SOLE
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ISHARES TR
RUS 1000 ETF
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SH
SOLE
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0
ISHARES TR
RUS 1000 VAL ETF
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SH
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ISHARES TR
S&P 500 GRWT ETF
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ISHARES TR
S&P 500 VAL ETF
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SH
SOLE
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ISHARES TR
S&P MC 400GR ETF
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368
SH
SOLE
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0
ISHARES TR
S&P MC 400VL ETF
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SH
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0
ISHARES TR
S&P SML 600 GWT
464287887
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SH
SOLE
232
0
0
ISHARES TR
SP SMCP600VL ETF
464287879
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244
SH
SOLE
244
0
0
ITRON INC
COM
465741106
135610
1513
SH
SOLE
1056
0
457
JACOBS SOLUTIONS INC
COM
46982L108
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17866
SH
SOLE
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KEYCORP
COM
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KRAFT HEINZ CO
COM
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SH
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LAM RESEARCH CORP
COM NEW
512807306
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SOLE
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LAMAR ADVERTISING CO
CL A
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LOCKHEED MARTIN CORP
COM
539830109
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SOLE
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MARSH & MCLENNAN COS INC
COM
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MCGRATH RENTCORP
COM
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SOLE
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367
MEDTRONIC PLC
SHS
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MERIT MED SYS INC
COM
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MERITAGE HOMES CORP
COM
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SH
SOLE
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META PLATFORMS INC
CL A
30303M102
1778752
3109
SH
SOLE
2754
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355
METHODE ELECTRS INC
COM
591520200
3
1
SH
SOLE
0
0
1
MGP INGREDIENTS INC NEW
COM
55303J106
56384
3066
SH
SOLE
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1015
MICRON TECHNOLOGY INC
COM
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SH
SOLE
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MICROSOFT CORP
COM
594918104
5782426
15622
SH
SOLE
12666
0
2956
MID PENN BANCORP INC
COM
59540G107
83101
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SH
SOLE
1598
0
986
MOHAWK INDS INC
COM
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SH
SOLE
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NETAPP INC
COM
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NEW JERSEY RES CORP
COM
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NORTHWEST NAT HLDG CO
COM
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NVIDIA CORPORATION
COM
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SH
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ONEOK INC NEW
COM
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ORACLE CORP
6.5 DEP CUM SR D
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OWENS CORNING NEW
COM
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SH
SOLE
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PARSONS CORP DEL
COM
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PAYPAL HLDGS INC
COM
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PEPSICO INC
COM
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PERFORMANCE FOOD GROUP CO
COM
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SH
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PFIZER INC
COM
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PHOTRONICS INC
COM
719405102
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PIMCO ETF TR
MULTISECTOR BD
72201R585
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SH
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47245
PPG INDS INC
COM
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SH
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4547
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461
QUALCOMM INC
COM
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SH
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5901
REGENERON PHARMACEUTICALS
COM
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SANOFI SA
SPONSORED ADR
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US AGGREGATE B
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0
SCHWAB STRATEGIC TR
US DIVIDEND EQ
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112780
3676
SH
SOLE
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231
SCHWAB STRATEGIC TR
US LCAP GR ETF
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188413
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SH
SOLE
6210
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258
SCHWAB STRATEGIC TR
US LRG CAP ETF
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519
SCHWAB STRATEGIC TR
US MID-CAP ETF
808524508
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SH
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418
SCHWAB STRATEGIC TR
US SML CAP ETF
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194981
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448
SELECT SECTOR SPDR TR
STATE STREET CON
81369Y308
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SELECT SECTOR SPDR TR
STATE STREET FIN
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STATE STREET SPD
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0
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STATE STREET SPD
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SH
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334
SPDR SERIES TRUST
STATE STREET SPD
78468R663
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44750
SH
SOLE
32417
0
12333
STARBUCKS CORP
COM
855244109
2014073
22481
SH
SOLE
16858
0
5623
STATE STR SPDR S&P 500 ETF T
TR UNIT
78462F103
1331246
2047
SH
SOLE
1811
0
236
TESLA INC
COM
88160R101
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50
SH
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50
TEXAS INSTRS INC
COM
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SH
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THERMO FISHER SCIENTIFIC INC
COM
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SH
SOLE
481
0
0
TYSON FOODS INC
CL A
902494103
4882390
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SH
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ULTRA CLEAN HLDGS INC
COM
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SH
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4527
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UNITED PARCEL SVCS INC
CL B
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UNITEDHEALTH GROUP INC
COM
91324P102
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SH
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10095
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2480
UPBOUND GROUP INC
COM
76009N100
95791
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SH
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3902
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1405
VANGUARD SCOTTSDALE FDS
INT-TERM CORP
92206C870
583305
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SH
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5947
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1102
VANGUARD SCOTTSDALE FDS
SHRT TRM CORP BD
92206C409
143717
1813
SH
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966
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847
VERIZON COMMUNICATIONS INC
COM
92343V104
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SH
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41872
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WATERS CORP
COM
941848103
381779
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SH
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1182
0
100
WESTERN ALLIANCE BANCORP
COM
957638109
89342
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SH
SOLE
778
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483
WYNN RESORTS LTD
COM
983134107
10155
100
SH
SOLE
0
0
100
YUM CHINA HLDGS INC
COM
98850P109
125706
2577
SH
SOLE
2577
0
0
ZETA GLOBAL HOLDINGS CORP
CL A
98956A105
137485
8636
SH
SOLE
6474
0
2162