13FBOX
Karras Company, Inc. · 13F Holdings
Options Calculator Rankings

Karras Company, Inc.

No.8996 Data as of 2026Q2
Latest AUM (Q2 2026)
$110.3M
QoQ Change Q1 2026
+$11.7M+11.9%
Holdings
61
New Buys
3
Adds
16
Reduces
39
Exits
3
Unchanged
3
Holdings Value Trend
Holdings by Sector
Stock Ownership TrendPortfolio %Prev Q %Q2 2026 ValueQ2 2026 SharesPrev Q ValuePrev Q SharesShares ChangeAction
IINVESCO EXCHANGE TRADED FD TRSP
16.39%16.87%$18.1M84,980$16.6M86,673-1,693-1.95%Reduce
SSCHWAB STRATEGIC TRSCHD
8.27%9.19%$9.1M287,846$9.1M295,492-7,646-2.59%Reduce
ALPHABET INCGOOGL
7.27%6.6%$8.0M22,430$6.5M22,629-199-0.88%Reduce
CORNING INCGLW
6.48%4.32%$7.1M27,978$4.3M31,297-3,319-10.60%Reduce
BROADCOM INCAVGO
6.45%6.13%$7.1M18,851$6.0M19,514-663-3.40%Reduce
APPLE INCAAPL
4.21%4.16%$4.6M16,070$4.1M16,173-103-0.64%Reduce
ASML HLDG NVASML
4.17%3.37%$4.6M2,315$3.3M2,515-200-7.95%Reduce
AMAZON COM INCAMZN
3.88%3.64%$4.3M17,948$3.6M17,240+708+4.11%Add
IISHARES TRIDEV
2.66%2.27%$2.9M32,916$2.2M26,822+6,094+22.72%Add
TTHERMO FISHER SCIENTIFIC INCTMO
2.33%2.45%$2.6M5,128$2.4M4,922+206+4.19%Add
IINTERNATIONAL BUSINESS MACHSIBM
2.24%2.1%$2.5M8,782$2.1M8,552+230+2.69%Add
JPMORGAN CHASE & COJPM
2.23%2.25%$2.5M7,518$2.2M7,554-36-0.48%Reduce
ASTRAZENECA PLCAZN
2%$2.2M11,623$00+11,623New Buy
TESLA INCTSLA
1.9%2.03%$2.1M4,982$2.0M5,382-400-7.43%Reduce
PPROFESIONALLY MANAGED PORTFOAKRE
1.76%3.02%$1.9M36,425$3.0M56,430-20,005-35.45%Reduce
GOLDMAN SACHS GROUP INCGS
1.38%1.37%$1.5M1,506$1.3M1,595-89-5.58%Reduce
VISA INCV
1.31%1.21%$1.4M4,216$1.2M3,946+270+6.84%Add
UBER TECHNOLOGIES INCUBER
1.29%1.39%$1.4M19,723$1.4M19,007+716+3.77%Add
ENTERPRISE PRODS PARTNERS LEPD
1.21%1.42%$1.3M36,344$1.4M37,129-785-2.11%Reduce
ALLSTATE CORPALL
1.16%1.16%$1.3M5,393$1.1M5,519-126-2.28%Reduce
IISHARES TRUSMV
1.12%1.21%$1.2M12,850$1.2M12,909-59-0.46%Reduce
CISCO SYS INCCSCO
1.11%0.87%$1.2M10,405$855,62711,028-623-5.65%Reduce
T-MOBILE US INC COMTMUS
1.11%1.56%$1.2M7,285$1.5M7,301-16-0.22%Reduce
AAMPLIFY ETF TRIDVO
1.08%0.81%$1.2M28,420$794,34619,628+8,792+44.79%Add
EQUINIX INCEQIX
1.07%1.19%$1.2M1,138$1.2M1,197-59-4.93%Reduce
LOCKHEED MARTIN CORPLMT
1.07%1.45%$1.2M2,307$1.4M2,359-52-2.20%Reduce
VISTRA CORPVST
0.96%1.04%$1.1M6,688$1.0M6,803-115-1.69%Reduce
JOHNSON & JOHNSONJNJ
0.83%0.96%$918,9333,618$941,8273,853-235-6.10%Reduce
ORACLE CORPORCL
0.8%0.91%$884,6446,036$901,6376,129-93-1.52%Reduce
DDELL TECHNOLOGIES INC CLASS CDELL
0.68%0.36%$745,9821,729$353,6392,155-426-19.77%Reduce
EXXON MOBIL CORPXOM
0.65%0.92%$720,8585,273$910,4405,366-93-1.73%Reduce
RRIO TINTO PLCBBP
0.63%0.71%$692,1127,291$704,0727,547-256-3.39%Reduce
AAMPLIFY ETF TRDIVO
0.62%0.71%$685,49015,000$695,40715,505-505-3.26%Reduce
IISHARES TRIXUS
0.62%0.59%$684,9127,176$577,2086,662+514+7.72%Add
DEERE & CODE
0.62%0.62%$680,1641,072$609,5671,082-10-0.92%Reduce
SERVICENOW INCNOW
0.57%0.91%$633,4066,380$895,6808,567-2,187-25.53%Reduce
BERKSHIRE HATHAWAY INC DELBRK.B
0.56%0.64%$615,4801,230$629,6691,314-84-6.39%Reduce
HOME DEPOT INCHD
0.56%0.72%$613,5661,740$713,4192,169-429-19.78%Reduce
UNION PAC CORPUNP
0.54%0.54%$590,5042,171$534,4202,203-32-1.45%Reduce
TD SYNNEX CORPORATIONSNX
0.53%0.44%$587,9472,199$432,3612,563-364-14.20%Reduce
MMERIT MED SYS INCMMSI
0.5%0.81%$551,2537,950$794,41811,525-3,575-31.02%Reduce
PPROSHARES TRNOBL
0.39%0.41%$426,6997,598$408,0233,849+3,749+97.40%Add
CCIGNA GROUPLIBD
0.37%0.35%$412,3361,496$348,8111,308+188+14.37%Add
VVANGUARD INDEX FDSVOO
0.36%0.25%$400,213583$247,683414+169+40.82%Add
UNITEDHEALTH GROUP INCUNH
0.35%0.26%$381,691918$257,327951-33-3.47%Reduce
ACCENTURE PLC IRELANDACN
0.32%0.41%$354,1932,846$403,1452,033+813+39.99%Add
LINDE PLCLIN
0.31%0.32%$343,426662$311,812629+33+5.25%Add
AMGEN INC COMAMGN
0.31%0.35%$337,970933$348,306990-57-5.76%Reduce
WALMART INCWMT
0.3%0.41%$332,2382,933$405,2563,261-328-10.06%Reduce
SOFI TECHNOLOGIES INC COMSOFI
0.27%0.27%$297,63816,600$270,53217,036-436-2.56%Reduce

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