Arkolith/Funds/Ables, Iannone, Moore & Associates, Inc.

Ables, Iannone, Moore & Associates, Inc.

CIK 2013713
Holdings as of Jun 30, 2026·disclosed Jul 13, 2026·~13-day 13F lag·13F-HR
Active Filer

Ables, Iannone, Moore & Associates, Inc. holds a focused book of 62 stocks worth $187.7M as of Q2 2026 (disclosed Jul 13, 2026, a ~45-day 13F lag). This quarter they opened Caterpillar Inc and trimmed Nvidia Corp. Their largest long position is Apple Inc at 15% of the equity book.

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Use Arkolith to show ABLES, IANNONE, MOORE & ASSOCIATES, INC.'s latest
holdings, largest changes, and filing provenance.
Opened
4
new positions
Added to
17
existing
Trimmed
32
reduced
Sold out
1
exited

Concentration

Top-heavy: focused book

Top 5 holdings
50%
Top 10 holdings
67%
Top 20 holdings
82%

Share of the disclosed book in its largest positions. A higher top-5 share means a more concentrated, higher-conviction portfolio.

Direct sector allocation

95% mapped to company sectors

Information Technology
45%
Consumer Discretionary
16%
Financials
15%
Industrials
6%
ETF / fund or unclassified
5%
Health Care
5%
Utilities
2%
Materials
2%

Direct operating-company sectors from our SIC-based security master. ETF/fund and unclassified holdings stay visible separately; this is not ETF look-through exposure.

Biggest moves: latest quarter

Estimated $ traded · quarter-end prices, no cost basis

Bought
Trimmed / exited

Holdings: largest first

Bars show each stock's share of the portfolio. Click a row for its position history.

62 positions
#SecurityValueShares% PortLast moveHistory
1Apple Inc
COM
$27.4M94.8K
14.6%
+1.8%
Added · +2K sh
2Nvidia Corporation
COM
$21.5M107.5K
11.5%
−4.2%
Reduced · −5K sh
3Alphabet Inc
CAP STK CL A
$21.0M58.8K
11.2%
−2.0%
Reduced · −1K sh
4Amazon Com Inc
COM
$16.4M68.7K
8.7%
−2.6%
Reduced · −2K sh
5JPMorgan Chase & Co.
COM
$8.0M24.5K
4.3%
−1.2%
Reduced · −308 sh
6Visa Inc
COM CL A
$7.6M22.3K
4.1%
−2.9%
Reduced · −657 sh
7Microsoft Corp
COM
$6.7M18.0K
3.6%
−1.6%
Reduced · −296 sh
8Home Depot Inc
COM
$6.3M17.9K
3.4%
+7.5%
Added · +1K sh
9Bank America Corp
COM
$5.4M95.5K
2.9%
−5.1%
Reduced · −5K sh
10Alphabet Inc
CAP STK CL C
$4.8M13.5K
2.5%
+1.1%
Added · +146 sh
11American Tower Corp
COM
$3.7M22.7K
2.0%
+3.6%
Added · +780 sh
12Berkshire Hathaway Inc Del
CL B NEW
$3.7M7.3K
2.0%
+1.1%
Added · +83 sh
13Unitedhealth Group Inc
COM
$3.3M8.0K
1.8%
−6.8%
Reduced · −587 sh
14Vulcan Matls Co
COM
$3.2M11.0K
1.7%
−1.3%
Reduced · −150 sh
15Johnson & Johnson
COM
$3.0M11.9K
1.6%
+4.0%
Added · +458 sh
16United Parcel Service Inc
CL B
$2.8M26.1K
1.5%
−3.5%
Reduced · −946 sh
17Deere & Co
COM
$2.5M4.0K
1.4%
+5.7%
Added · +217 sh
18McDonalds Corp
COM
$2.1M7.8K
1.1%
+0.4%
Added · +35 sh
19Taiwan Semiconductor Manufac
SPONSORED ADS
$2.0M4.2K
1.1%
−1.5%
Reduced · −64 sh
20Costco Wholesale Corporation
COM
$1.9M2.0K
1.0%
Held
21CSX Corp
COM
$1.8M38.0K
1.0%
−2.4%
Reduced · −929 sh
22Valero Energy Corp
COM
$1.8M6.8K
0.9%
−1.8%
Reduced · −121 sh
23Simplify Exchange Traded Fun
GOVT MONE MA ETF
$1.7M16.9K
0.9%
+90%
Added · +8K sh
24Eli Lilly & Co
COM
$1.6M1.3K
0.9%
−2.0%
Reduced · −27 sh
25Tesla Inc
COM
$1.5M3.6K
0.8%
−1.8%
Reduced · −65 sh
26Invesco QQQ TR
UNIT SER 1
$1.5M2.0K
0.8%
−0.9%
Reduced · −19 sh
27Watts Water Technologies Inc
CL A
$1.5M3.7K
0.8%
−3.0%
Reduced · −116 sh
28ALPS ETF TR
ALERIAN MLP
$1.3M24.7K
0.7%
−1.1%
Reduced · −290 sh
29Waste Mgmt Inc Del
COM
$1.3M5.7K
0.7%
−1.4%
Reduced · −83 sh
30Chevron Corp
COM
$1.2M7.5K
0.7%
−2.1%
Reduced · −165 sh
31Constellation Brands Inc
CL A
$1.1M8.2K
0.6%
−1.4%
Reduced · −116 sh
32Pepsico Inc
COM
$1.1M8.4K
0.6%
−3.2%
Reduced · −280 sh
33Amgen Inc
COM
$1.0M2.9K
0.6%
Held
34Exxon Mobil Corp
COM
$1.0M7.5K
0.5%
+0.4%
Added · +27 sh
35Ishares TR
CORE S&P500 ETF
$908K1.2K
0.5%
−0.3%
Reduced · −4 sh
36Mid-Amer Apt Cmntys Inc
COM
$888K6.4K
0.5%
+6.0%
Added · +365 sh
37Southern Co
COM
$844K8.8K
0.4%
+5.0%
Added · +419 sh
38Duke Energy Corp New
COM NEW
$838K6.6K
0.4%
+1.2%
Added · +80 sh
39Dominion Energy Inc
COM
$833K12.2K
0.4%
+0.1%
Added · +15 sh
40Airbnb Inc
COM CL A
$818K5.7K
0.4%
−9.1%
Reduced · −569 sh
41NextEra Energy Inc
COM
$796K9.1K
0.4%
+0.7%
Added · +66 sh
42Uber Technologies Inc
COM
$742K10.3K
0.4%
+19%
Added · +2K sh
43Caterpillar Inc
COM
$738K692
0.4%
New
New position
44Marriott Intl Inc New
CL A
$693K1.9K
0.4%
−5.4%
Reduced · −107 sh
45Old Natl Bancorp Ind
COM
$634K24.5K
0.3%
Held
46Ishares Bitcoin Trust ETF
SHS BEN INT
$632K19.0K
0.3%
−6.1%
Reduced · −1K sh
47Linde PLC
SHS
$620K1.2K
0.3%
Held
48Chubb Limited
COM
$522K1.5K
0.3%
Held
49The Trade Desk Inc
COM CL A
$514K28.4K
0.3%
−44%
Reduced · −22K sh
50Goldman Sachs Group Inc
COM
$504K498
0.3%
−9.1%
Reduced · −50 sh
Showing 50 of 62 positions

Filing history

As-of date vs the date the SEC received each filing

QuarterAs ofFiledPositionsValueForm
Q2 2026Jun 30, 2026Jul 13, 202662$187.7M13F-HR
Q1 2026Mar 31, 2026Apr 7, 202659$168.1M13F-HR
Q4 2025Dec 31, 2025Jan 5, 202659$182.6M13F-HR
Q3 2025Sep 30, 2025Oct 6, 202557$173.9M13F-HR
Q2 2025Jun 30, 2025Jul 7, 202556$160.8M13F-HR
Q1 2025Mar 31, 2025Apr 8, 202557$146.8M13F-HR
Q4 2024Dec 31, 2024Jan 6, 202555$162.1M13F-HR
Q3 2024Sep 30, 2024Oct 2, 202458$154.8M13F-HR

Data source

Holdings from SEC EDGAR 13F-HR filings, updated quarterly ~45 days after quarter-end. Public domain. The book and weighting are long equity only; disclosed put/call options are listed separately and excluded from those totals. Price-derived performance is withheld until the price-source policy and freshness gate are green.