Universe · entity

WINSLOW ASSET MANAGEMENT INC

Institutional manager (13F) · CIK 1286534
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $503k
#IssuerValueShares
1APPLE COMPUTER$40k155,743
2TERADYNE INC COM$39k132,901
3ELI LILLY & CO$27k29,022
4PULTEGROUP INC$26k218,276
5TENET HEALTHCARE$22k114,981
6JPMORGAN CHASE & CO$18k60,130
7ORACLE CORP$16k108,537
8NORDSON CORP$15k54,998
9TAPESTRY INC$14k101,486
10SCHWAB AB CHARLES CORP NEW COM$14k148,074
11TETRA TECH INC$13k432,538
12UBER TECHNOLOGIES INC$11k147,833
13INTERNATIONAL BUS MACH COM$11k43,400
14EOG RESOURCES INC$10k72,475
15MERCK & CO. INC.$10k83,013
16CISCO SYSTEMS INC$10k128,535
17EATON CORP PLC F$10k27,629
18AMERICAN EXPRESS CO$10k31,700
19MOELIS & COMPANY$9k164,908
20BEAZER HOMES USA INC$9k482,343
21ULTA BEAUTY INC.$9k17,156
22KAISER ALUMINUM CORP$9k74,003
23DEERE & CO$9k15,531
24BOEING$9k43,606
25SLB$9k168,586
26LINDE PLC COM$8k16,865
27GATX CORP$8k46,698
28JOHNSON & JOHNSON$8k31,268
29LULULEMON ATHLETICA$7k48,091
30AMGEN INC.$7k20,881
31WELLS FARGO & CO$7k91,656
32SIMON PPTY GROUP NEW COM$7k38,809
33CARLYLE GROUP INC$7k145,118
34STERIS PLC F$7k31,501
35WALT DISNEY CO COM$7k70,504
36BIO-RAD LABORATORIES$7k24,169
37COHEN & STEERS INC$6k100,682
38VERRA MOBILITY CORP$5k369,857
39COMCAST CORP COM CL A$5k162,698
40SKYWORKS SOLUTIONS$4k80,377
41CHEWY INC CL A$4k156,257
42ESTEE LAUDER COS INC COM$4k50,905
43LOEWS CORP COM$4k33,402
44WEYERHAEUSER CO COM$3k133,457
45KENVUE INC$3k166,590
46CHEVRON CORP$2k10,792
47HILTON GRAND VACATIONS I$2k54,706
48EXXON CORP COM$1k6,706
49PROGRESSIVE CORP OHIO COM$1k5,225
50MICROSOFT CORP COM$9442,551
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.