Connors Investor Services Inc Portfolio Stock Holdings

Connors Investor Services Inc disclosed 149 stock positions valued at approximately $1.1 billion in its latest SEC 13F filing. The largest holdings include PALANTIR TECHNOLOGIES, APPLE, and SPDR S & P 500 INDEX. The filing reflects positions held as of March 31, 2026 and was filed on May 15, 2026.

Report Period
March 31, 2026
No. of Stocks
149
Portfolio Value
$1.1B
Holdings by Sector
Connors Investor Services Inc Portfolio Holdings in Q1 2026

139 holdings in the latest reporting period.

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CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
PALANTIR TECHNOLOGIESPLTRTechnology7.45%551,102-113,700-17.10%$80,615,201
APPLEAAPLTechnology4.59%195,712+9,527+5.12%$49,669,773
SPDR S & P 500 INDEXSPYOther3.80%63,251-4,998-7.32%$41,134,655
NVIDIANVDATechnology3.09%191,600+1,151+0.60%$33,415,040
MICROSOFTMSFTTechnology2.87%84,092+18,421+28.05%$31,128,167
ALPHABET CLASS AGOOGLCommunication Services2.80%105,449+7,809+8.00%$30,322,919
AMAZONCOMAMZNConsumer Cyclical2.69%139,756+306+0.22%$29,106,982
WILLIAMS COMPANIESWMBEnergy1.96%291,683+1,129+0.39%$21,228,652
JPMORGAN CHASEJPMFinancial Services1.96%72,108+267+0.37%$21,211,289
PEPSICOPEPConsumer Defensive1.95%135,652-275-0.20%$21,065,399
CISCO SYSTEMSCSCOTechnology1.90%264,782+1,877+0.71%$20,544,435
CHUBBCBFinancial Services1.87%62,001-306-0.49%$20,207,986
TJX COMPANIESTJXConsumer Cyclical1.80%122,272+335+0.27%$19,526,849
EATONETNOther1.69%51,061+401+0.79%$18,263,128
RTX CORPRTXIndustrials1.67%93,802-6,097-6.10%$18,094,422
META PLATFORMSMETACommunication Services1.67%31,569+439+1.41%$18,061,576
QUANTA SERVICESPWRIndustrials1.64%32,341-15,145-31.89%$17,755,856
ABBVIEABBVHealthcare1.61%80,007+666+0.84%$17,400,747
WELLTOWERWELLReal Estate1.59%87,110-9,881-10.19%$17,222,529
LOWE'SLOWConsumer Cyclical1.57%71,731-146-0.20%$16,948,683
LILLY ELILLYHealthcare1.56%18,320-80-0.43%$16,850,193
VERIZON COMMUNICATIONSVZCommunication Services1.50%324,551-2,602-0.80%$16,292,475
BROADCOMAVGOTechnology1.50%52,547+5,550+11.81%$16,263,832
PALO ALTO NETWORKSPANWTechnology1.45%97,801+3,326+3.52%$15,679,456
MORGAN STANLEYMSFinancial Services1.42%93,350-39,013-29.47%$15,362,644
ABBOTT LABORATORIESABTHealthcare1.42%149,591+1,268+0.85%$15,358,522
ISHARES RUSSELL 2000 INDEXIWMOther1.40%61,012-2,188-3.46%$15,130,976
WELLS FARGOWFCFinancial Services1.33%180,319-50,510-21.88%$14,355,222
WAL-MART STORESWMTConsumer Defensive1.32%115,184+2,380+2.11%$14,315,068
COCA-COLAKOConsumer Defensive1.31%186,665+3,276+1.79%$14,195,873
VISAVFinancial Services1.31%46,957-91-0.19%$14,192,370
WASTE MANAGEMENTWMIndustrials1.21%56,887+56,887+100.00%$13,072,064
SCHWAB CHARLESSCHWFinancial Services1.19%136,726-25,200-15.56%$12,849,522
DOORDASHDASHCommunication Services1.14%82,000--$12,312,300
MEDTRONICMDTOther1.12%140,301+274+0.20%$12,157,082
CATERPILLARCATIndustrials1.06%16,151-9,307-36.56%$11,442,349
STRYKERSYKHealthcare1.05%34,582+74+0.21%$11,363,299
TAPESTRYTPRConsumer Cyclical0.99%76,294-48,847-39.03%$10,765,860
SALESFORCE.COMCRMTechnology0.93%53,775+1,095+2.08%$10,038,179
BOEINGBAIndustrials0.92%49,993+1,783+3.70%$9,950,107
CHEVRONCVXEnergy0.85%44,354-36,502-45.14%$9,176,763
ACCENTUREACNTechnology0.82%44,892-375-0.83%$8,901,635
DUPONT DE NEMOURSDDBasic Materials0.80%189,855-44,116-18.86%$8,695,371
PROCTER & GAMBLEPGConsumer Defensive0.79%59,142+46,897+382.99%$8,542,470
PROLOGISPLDReal Estate0.79%64,310-5,030-7.25%$8,500,496
ISHARES MSCI EAFE INDEXEFAOther0.76%84,435+2,024+2.46%$8,201,172
VANGUARD FTSE EMERGING MARKETS ETFVWOOther0.59%118,208-66,695-36.07%$6,389,142
INTERNATIONAL BUSINESS MACHINESIBMTechnology0.49%21,751+20,835+2274.56%$5,272,225
ISHARES CORE S&P MID-CAP ETFIJHOther0.40%64,244+9,237+16.79%$4,338,397
EURONET WORLDWIDE INCEEFTTechnology0.38%62,805+28,080+80.86%$4,168,368
COSTCO WHOLESALECOSTConsumer Defensive0.37%4,056-3,496-46.29%$4,041,523
IMAX CORPIMAXCommunication Services0.37%105,621+198+0.19%$4,014,654
ROBLOXRBLXCommunication Services0.36%68,000--$3,846,080
SIMMONS FIRST NATIONAL CORPSFNCFinancial Services0.34%190,793+1,349+0.71%$3,710,924
SIMPLY GOOD FOOD COSMPLConsumer Defensive0.34%256,771+67,856+35.92%$3,684,664
ISHARES MSCI EMERGING MARKETS INDEXEEMOther0.33%63,662+63,662+100.00%$3,615,365
UMH PROPERTIES INCUMHReal Estate0.32%238,637+5,236+2.24%$3,443,532
AMERESCO INCAMRCIndustrials0.30%125,606+197+0.16%$3,202,953
ARTIVION INCAORTHealthcare0.29%84,652+144+0.17%$3,099,956
POWER INTEGRATIONS INCPOWITechnology0.28%59,040+59,040+100.00%$3,022,848
ITRON INCITRITechnology0.27%32,020+32,020+100.00%$2,869,953
CALIX INCCALXTechnology0.26%58,368+384+0.66%$2,859,448
ZETA GLOBAL HOLDINGS CORPZETATechnology0.26%179,240-37,778-17.41%$2,853,501
AXOS FINANCIAL INCAXFinancial Services0.26%33,063-5,165-13.51%$2,813,331
TYLER TECHNOLOGIESTYLTechnology0.26%8,157+507+6.63%$2,792,794
ALBANY INTERNATIONALAINConsumer Cyclical0.25%52,749-16,659-24.00%$2,754,025
PORTLAND GENERAL ELECTRICPORUtilities0.25%51,379+148+0.29%$2,711,270
OMNICELL INCOMCLHealthcare0.24%77,963-10,443-11.81%$2,602,405
INNOSPEC INCIOSPBasic Materials0.22%33,095+570+1.75%$2,416,597
MATADOR RESOURCES COMTDREnergy0.21%36,645+36,645+100.00%$2,315,231
CONOCOPHILLIPSCOPEnergy0.21%17,465-415-2.32%$2,305,380
HEALTHCARE SERVICES GROUP INCHCSGHealthcare0.21%122,702-87,368-41.59%$2,276,122
SEMTECH CORPSMTCTechnology0.21%29,569-31,085-51.25%$2,273,560
HILLMAN SOLUTIONSHLMNIndustrials0.21%268,480+57+0.02%$2,233,754
BRIGHTVIEW HOLDINGS INCBVIndustrials0.20%188,016-536-0.28%$2,216,709
CRANE NXT COCXTIndustrials0.20%54,559+54,559+100.00%$2,214,550
STERLING INFRASTRUCTURE INCSTRLIndustrials0.20%5,343-6,168-53.58%$2,176,044
ALPS MEDICAL BREAKTHROUGHS ETFSBIOOther0.20%41,204+34,608+524.68%$2,156,617
GENTHERM INCTHRMConsumer Cyclical0.20%76,746+24,168+45.97%$2,132,004
ONE GAS INCOGSUtilities0.19%24,451+146+0.60%$2,105,965
HEALTHSTREAM INCHSTMHealthcare0.19%98,119+594+0.61%$2,032,044
TESLATSLAConsumer Cyclical0.19%5,411+366+7.25%$2,011,539
PALOMAR HOLDINGS INCPLMRFinancial Services0.18%16,647+16,647+100.00%$1,989,317
AT&T NEWTCommunication Services0.18%68,207+2,293+3.48%$1,977,321
FRONTDOOR INCFTDRConsumer Cyclical0.17%35,444+249+0.71%$1,873,570
TRUPANION INCTRUPFinancial Services0.17%71,689-55-0.08%$1,835,955
PRESTIGE CONSUMER HEALTHCARE INCPBHHealthcare0.17%30,756+297+0.98%$1,822,908
HAEMONETICS COPRHAEHealthcare0.16%31,282+31,282+100.00%$1,763,054
AEROVIRONMENT INCAVAVIndustrials0.15%9,127+83+0.92%$1,670,697
SENTINELONE INCSTechnology0.15%128,061-34,829-21.38%$1,649,426
CHAMPION HOMES INCSKYConsumer Cyclical0.14%19,998+19,998+100.00%$1,487,251
ISHARES MICRO CAP ETFIWCOther0.12%7,975+7,975+100.00%$1,272,890
MCDONALD'SMCDConsumer Cyclical0.12%4,050+2,198+118.68%$1,258,700
CBOE GLOBAL MARKETSCBOEFinancial Services0.09%3,520+600+20.55%$989,366
JOHNSON & JOHNSONJNJHealthcare0.09%3,768-560-12.94%$921,066
YUM! BRANDSYUMConsumer Cyclical0.08%5,800--$901,784
ISHARES CORE S&P SMALL-CAP ETFIJROther0.08%6,549+85+1.31%$814,106
VANGUARD TOTAL BOND MARKET ETFBNDOther0.06%8,661+1,056+13.89%$637,812
YUM CHINA HOLDINGSYUMCConsumer Cyclical0.06%13,000--$634,140
SPDR S&P MIDCAP 400 ETFMDYOther0.06%1,007--$621,077