HARTLINE INVESTMENT CORP/

data from 31/03/2026

Capitalization

$ 908.926 M

-1.71%

Performance

$ 1.061 B

84,970.80%

Average holding period

28 years

Capitalization

Portfolio size

Portfolio performance

Portfolio performance %

Performance compared to S&P 500 (%)

Stock in HARTLINE INVESTMENT CORP/

Date Ticket Name Weight Capitalization Share number First added Performance ($) Performance (%)
2026/03/31 NVDA NVIDIA CORPORATION COM 12.09% 109.847 M $ 629855 2016/06/30 -7.552 M $ -6.49 %
2026/03/31 BRK-A BERKSHIRE HATHAWAY INC DEL CL A 9.40% 85.459 M $ 119 2005/12/31 -4.363 M $ -4.86 %
2026/03/31 FLOT ISHARES FLOATING RATE BOND ETF 7.89% 71.734 M $ 1407923 2019/12/31 127.627 K $ 0.18 %
2026/03/31 AAPL APPLE INC COM 6.07% 55.167 M $ 217374 2012/06/30 -3.922 M $ -6.65 %
2026/03/31 VRT VERTIV HOLDINGS CO COM CL A 5.26% 47.848 M $ 190948 2023/12/31 17.093 M $ 54.67 %
2026/03/31 GOOGL ALPHABET INC CAP STK CL A 4.32% 39.249 M $ 136491 2015/09/30 -3.407 M $ -8.13 %
2026/03/31 GLW CORNING INC COM 4.12% 37.441 M $ 275364 2025/06/30 13.980 M $ 55.29 %
2026/03/31 MRVL MARVELL TECHNOLOGY INC COM 3.93% 35.761 M $ 361043 2022/12/31 5.038 M $ 16.56 %
2026/03/31 AMZN AMAZON COM INC COM 3.29% 29.928 M $ 143699 2017/03/31 -3.179 M $ -9.77 %
2026/03/31 NET CLOUDFLARE INC CL A COM 2.74% 24.867 M $ 120517 2022/12/31 1.113 M $ 4.66 %
2026/03/31 MSFT MICROSOFT CORP COM 2.69% 24.438 M $ 66019 2012/06/30 -7.464 M $ -23.46 %
2026/03/31 AMD ADVANCED MICRO DEVICES INC COM 2.57% 23.324 M $ 114656 2018/09/30 -1.250 M $ -5.01 %
2026/03/31 WMT WALMART INC COM 2.50% 22.767 M $ 183189 2011/12/31 2.360 M $ 11.55 %
2026/03/31 META META PLATFORMS INC CL A 2.00% 18.165 M $ 31749 2016/06/30 -2.741 M $ -13.33 %
2026/03/31 SCHJ SCHWAB 1-5 YEAR CORPORATE BOND ETF 1.74% 15.832 M $ 640325 2025/09/30 -98.139 K $ -0.68 %
2026/03/31 GEV GE VERNOVA INC COM 1.63% 14.859 M $ 17022 2025/06/30 3.582 M $ 33.56 %
2026/03/31 DELL DELL TECHNOLOGIES INC CL C 1.53% 13.891 M $ 84632 2025/09/30 1.783 M $ 30.39 %
2026/03/31 MS MORGAN STANLEY COM NEW 1.51% 13.715 M $ 83337 2022/12/31 -1.061 M $ -7.30 %
2026/03/31 LLY ELI LILLY & CO COM 1.47% 13.331 M $ 14494 2022/09/30 -2.132 M $ -14.41 %
2026/03/31 C CITIGROUP INC COM NEW 1.41% 12.831 M $ 113135 2025/09/30 -344.609 K $ -2.81 %
2026/03/31 PLTR PALANTIR TECHNOLOGIES INC CL A 1.31% 11.917 M $ 81470 2024/06/30 -2.550 M $ -17.70 %
2026/03/31 BRK-B BERKSHIRE HATHAWAY INC DEL CL B NEW 1.20% 10.893 M $ 22732 2009/12/31 -527.648 K $ -4.67 %
2026/03/31 TFLO ISHARES TREASURY FLOATING RATE BOND ETF 1.19% 10.803 M $ 213380 2025/03/31 35.271 K $ 0.34 %
2026/03/31 MAR MARRIOTT INTL INC NEW CL A 1.08% 9.853 M $ 30126 2020/12/31 507.020 K $ 5.42 %
2026/03/31 V VISA INC COM CL A 1.05% 9.568 M $ 31658 2015/06/30 -1.536 M $ -13.82 %
2026/03/31 COST COSTCO WHOLESALE CORPORATION COM 1.02% 9.307 M $ 9340 2005/12/31 1.265 M $ 15.55 %
2026/03/31 SHOP SHOPIFY INC CL A SUB VTG SHS 0.74% 6.700 M $ 56485 2023/12/31 -1.385 M $ -26.31 %
2026/03/31 LOW LOWES COS INC COM 0.74% 6.691 M $ 28316 2014/12/31 -138.406 K $ -2.02 %
2026/03/31 NEE NEXTERA ENERGY INC COM 0.71% 6.490 M $ 69876 2012/06/30 866.690 K $ 15.70 %
2026/03/31 ETN EATON CORP PLC SHS 0.65% 5.945 M $ 16621 2025/03/31 643.829 K $ 12.29 %
2026/03/31 VST VISTRA CORP COM 0.64% 5.771 M $ 38392 2025/09/30 -38.753 K $ -6.82 %
2026/03/31 UBER UBER TECHNOLOGIES INC COM 0.59% 5.405 M $ 75137 2025/06/30 -817.999 K $ -11.97 %
2026/03/31 UNP UNION PAC CORP COM 0.50% 4.516 M $ 18612 2010/09/30 217.604 K $ 4.89 %
2026/03/31 NOW SERVICENOW INC COM 0.49% 4.426 M $ 42335 2020/12/31 -4.427 M $ -31.75 %
2026/03/31 HD HOME DEPOT INC COM 0.48% 4.391 M $ 13350 2014/03/31 -213.046 K $ -4.42 %
2026/03/31 AXP AMERICAN EXPRESS CO COM 0.48% 4.340 M $ 14349 2011/09/30 -952.271 K $ -18.24 %
2026/03/31 JPM JPMORGAN CHASE & CO COM 0.47% 4.284 M $ 14564 2015/06/30 -401.819 K $ -8.71 %
2026/03/31 PANW PALO ALTO NETWORKS INC COM 0.35% 3.215 M $ 20056 2016/09/30 -864.885 K $ -12.96 %
2026/03/31 FAST FASTENAL CO COM 0.33% 3.000 M $ 64660 2011/06/30 405.418 K $ 15.62 %
2026/03/31 STRL STERLING INFRASTRUCTURE INC COM 0.32% 2.912 M $ 7151 2025/06/30 596.843 K $ 32.99 %
2026/03/31 AMAT APPLIED MATLS INC COM 0.32% 2.866 M $ 8385 2025/03/31 711.048 K $ 33.00 %
2026/03/31 CEG CONSTELLATION ENERGY CORP COM 0.31% 2.794 M $ 10006 2025/06/30 -569.287 K $ -20.95 %
2026/03/31 ABBV ABBVIE INC COM 0.29% 2.678 M $ 12311 2012/12/31 -135.421 K $ -4.81 %
2026/03/31 WM WASTE MGMT INC DEL COM 0.29% 2.645 M $ 11510 2012/06/30 116.020 K $ 4.59 %
2026/03/31 LIN LINDE PLC SHS 0.27% 2.473 M $ 4988 2023/03/31 346.017 K $ 16.27 %
2026/03/31 ENB ENBRIDGE INC COM 0.27% 2.451 M $ 45280 2024/03/31 207.460 K $ 13.19 %
2026/03/31 AVGO BROADCOM INC COM 0.26% 2.358 M $ 7619 2024/03/31 -196.817 K $ -10.57 %
2026/03/31 CSCO CISCO SYS INC COM 0.23% 2.113 M $ 27232 2012/06/30 15.249 K $ 0.73 %
2026/03/31 HOOD ROBINHOOD MKTS INC COM CL A 0.23% 2.069 M $ 29850 2025/06/30 -3.241 M $ -38.73 %
2026/03/31 GOOG ALPHABET INC CAP STK CL C 0.23% 2.059 M $ 7177 2015/09/30 -221.177 K $ -8.59 %
2026/03/31 ITW ILLINOIS TOOL WKS INC COM 0.22% 2.036 M $ 7823 2012/06/30 123.447 K $ 5.68 %
2026/03/31 SYK STRYKER CORPORATION COM 0.22% 2.017 M $ 6138 2002/12/31 -140.437 K $ -6.51 %
2026/03/31 SCHR SCHWAB INTERMEDIATE-TERM US TREASURY ETF 0.22% 1.985 M $ 79700 2025/12/31 -13.548 K $ -0.68 %
2026/03/31 ORLY OREILLY AUTOMOTIVE INC COM 0.21% 1.902 M $ 20607 2012/06/30 22.667 K $ 1.21 %
2026/03/31 ZG ZILLOW GROUP INC CL A 0.20% 1.860 M $ 44946 2015/03/31 -1.787 M $ -39.34 %
2026/03/31 CTAS CINTAS CORP COM 0.20% 1.796 M $ 10620 2018/09/30 -201.036 K $ -10.07 %
2026/03/31 AFL AFLAC INC COM 0.20% 1.785 M $ 16268 2002/12/31 -9.110 K $ -0.51 %
2026/03/31 XBI STATE STREET SPDR S&P BIOTECH ETF 0.19% 1.762 M $ 13797 2025/12/31 77.934 K $ 4.76 %
2026/03/31 VBK VANGUARD SMALL-CAP GROWTH ETF 0.14% 1.301 M $ 4306 2012/03/31 602.000 $ 0.05 %
2026/03/31 XOM EXXON MOBIL CORP COM 0.14% 1.242 M $ 7323 2021/06/30 337.644 K $ 40.98 %
2026/03/31 GS GOLDMAN SACHS GROUP INC COM 0.13% 1.218 M $ 1440 2023/12/31 -46.940 K $ -3.76 %
2026/03/31 VEEV VEEVA SYS INC CL A COM 0.13% 1.207 M $ 6870 2019/06/30 -348.402 K $ -21.31 %
2026/03/31 MCHP MICROCHIP TECHNOLOGY INC. COM 0.13% 1.173 M $ 18150 2015/09/30 16.153 K $ 1.40 %
2026/03/31 AMGN AMGEN INC COM 0.12% 1.058 M $ 3006 2004/09/30 73.006 K $ 7.50 %
2026/03/31 MGK VANGUARD MEGA CAP GROWTH ETF 0.11% 986.576 K $ 2685 2010/06/30 -121.711 K $ -10.98 %
2026/03/31 DIS DISNEY WALT CO COM 0.10% 897.105 K $ 9308 2011/06/30 -161.866 K $ -15.29 %
2026/03/31 ABT ABBOTT LABORATORIES COM 0.09% 841.689 K $ 8198 2003/06/30 -184.873 K $ -18.05 %
2026/03/31 SNPS SYNOPSYS INC COM 0.09% 838.555 K $ 2115 2026/03/31 0.000 $ 0.00 %
2026/03/31 LH LABCORP HOLDINGS INC COM SHS 0.09% 827.111 K $ 3100 2024/06/30 49.383 K $ 6.35 %
2026/03/31 GEHC GE HEALTHCARE TECHNOLOGIES INC COMMON STOCK 0.09% 806.754 K $ 11334 2025/09/30 -101.267 K $ -13.22 %
2026/03/31 CARR CARRIER GLOBAL CORPORATION COM 0.09% 803.769 K $ 14274 2023/09/30 49.617 K $ 6.57 %
2026/03/31 SNOW SNOWFLAKE INC COM SHS 0.08% 739.470 K $ 4903 2020/12/31 -326.798 K $ -31.25 %
2026/03/31 NFLX NETFLIX INC. COM 0.08% 730.836 K $ 7601 2020/06/30 30.666 K $ 2.55 %
2026/03/31 SCHX SCHWAB U.S. LARGE-CAP ETF 0.08% 687.101 K $ 26798 2012/12/31 -34.033 K $ -4.72 %
2026/03/31 PSA PUBLIC STORAGE OPER CO COM 0.07% 674.220 K $ 2489 2019/12/31 28.324 K $ 4.39 %
2026/03/31 SCHO SCHWAB SHORT-TERM US TREASURY ETF 0.07% 671.066 K $ 27650 2025/06/30 -2.355 K $ -0.41 %
2026/03/31 TROW PRICE T ROWE GROUP INC COM 0.07% 637.290 K $ 7070 2013/06/30 -86.536 K $ -11.96 %
2026/03/31 MDT MEDTRONIC PLC SHS 0.07% 626.046 K $ 7225 2015/03/31 -67.987 K $ -9.80 %
2026/03/31 ORCL ORACLE CORP COM 0.06% 558.724 K $ 3798 2012/06/30 -178.437 K $ -24.52 %
2026/03/31 EXR EXTRA SPACE STORAGE INC COM 0.06% 527.274 K $ 4021 2023/09/30 3.659 K $ 0.70 %
2026/03/31 WELL WELLTOWER INC COM 0.06% 524.327 K $ 2652 2023/06/30 32.089 K $ 6.52 %
2026/03/31 SO SOUTHERN CO COM 0.06% 507.695 K $ 5260 2020/03/31 49.023 K $ 10.69 %
2026/03/31 HASI HA SUSTAINABLE INFRA CAP INC COM 0.05% 496.272 K $ 13504 2025/12/31 55.934 K $ 16.93 %
2026/03/31 SEDG SOLAREDGE TECHNOLOGIES INC COM 0.05% 444.135 K $ 8700 2026/03/31 0.000 $ 0.00 %
2026/03/31 CVX CHEVRON CORPORATION COM 0.05% 431.180 K $ 2084 2011/12/31 178.236 K $ 35.75 %
2026/03/31 MCD MCDONALDS CORP COM 0.05% 422.674 K $ 1360 2008/03/31 7.017 K $ 1.69 %
2026/03/31 IBM INTERNATIONAL BUSINESS MACHS COM 0.04% 374.008 K $ 1543 2018/03/31 -101.073 K $ -18.17 %
2026/03/31 CNI CANADIAN NATL RY CO COM 0.04% 369.972 K $ 3600 2012/12/31 14.112 K $ 3.97 %
2026/03/31 SCHF SCHWAB INTERNATIONAL EQUITY ETF 0.04% 340.164 K $ 13744 2023/03/31 9.758 K $ 2.95 %
2026/03/31 EXC EXELON CORP COM 0.04% 336.914 K $ 6873 2022/12/31 37.320 K $ 12.46 %
2026/03/31 BMNR BITMINE IMMERSION TECHS INC COM NEW 0.04% 327.458 K $ 16555 2025/09/30 0.000 $ 0.00 %
2026/03/31 MSTR STRATEGY INC CL A NEW 0.04% 326.851 K $ 2619 2023/12/31 -90.545 K $ -17.87 %
2026/03/31 CRM SALESFORCE INC COM 0.04% 323.312 K $ 1732 2024/12/31 -142.553 K $ -29.53 %
2026/03/31 AEIS ADVANCED ENERGY INDS COM 0.03% 314.642 K $ 975 2025/09/30 133.061 K $ 54.13 %
2026/03/31 FSLR FIRST SOLAR INC COM 0.03% 304.569 K $ 1544 2020/12/31 -98.769 K $ -24.49 %
2026/03/31 BLK BLACKROCK INC COM 0.03% 285.628 K $ 297 2024/12/31 -277.658 K $ -10.15 %
2026/03/31 ZTS ZOETIS INC CL A 0.03% 285.241 K $ 2413 2018/06/30 -23.499 K $ -6.05 %
2026/03/31 DTE DTE ENERGY CO COM 0.03% 284.837 K $ 1948 2020/06/30 33.583 K $ 13.37 %
2026/03/31 NXT NEXTPOWER INC CLASS A COM 0.03% 251.588 K $ 2087 2025/12/31 80.256 K $ 38.39 %
2026/03/31 KMB KIMBERLY-CLARK CORP COM 0.03% 232.879 K $ 2414 2018/12/31 -10.669 K $ -4.38 %