Curbstone Financial Management Corp Q2 2025 Filing

Filed July 29, 2025

Portfolio Value

$487.4M

Holdings

200

Report Date

Q2 2025

Filing Type

13F-HR

All Holdings (200 positions)

#StockSharesValue% PortfolioType
101
CRMSalesforce Inc (CRM)
3,976$1.1M0.22%
102
TSMTaiwan Semiconductor Manufactu
4,748$1.1M0.22%
103
SBUXStarbucks Corp (SBUX)
11,676$1.1M0.22%
104
CVSCVS Health Corp (CVS)
15,478$1.1M0.22%
105
SCHHCharles Schwab US REIT (SCHH)
49,332$1.0M0.21%
106
UPSUnited Parcel Service Inc (UPS
10,272$1.0M0.21%
107
SONSonoco Products (SON)
23,610$1.0M0.21%
108
BXBlackstone Inc (BX)
6,808$1.0M0.21%
109
HTDCorcept Therapeutics (CORT)
13,880$1.0M0.21%
110
TGTTarget (TGT)
10,168$1.0M0.21%
111
FICOFair Isaac Corp (FICO)
548$1.0M0.21%
112
MPVBarings Participation Investor
48,466$974K0.20%
113
SPDR S&P Dividend ETF (SDY)
7,150$970K0.20%
114
ULUnilever PLC (UL)
15,778$965K0.20%
115
IBMIBM Corp (IBM)
3,208$945K0.19%
116
TTDTrade Desk Inc (TTD)
12,820$922K0.19%
117
CHWYChewy Cl A (CHWY)
21,540$918K0.19%
118
STTState Street Corp (STT)
8,550$909K0.19%
119
BKBank New York Mellon (BK)
9,750$888K0.18%
120
VOVanguard Mid Cap ETF (VO)
3,170$887K0.18%
121
BMYBristol Myers (BMY)
18,934$876K0.18%
122
VNQVanguard Real Estate ETF (VNQ)
9,764$869K0.18%
123
VEUVanguard FTSE All World ex US
12,608$847K0.17%
124
DHRDanaher Corp (DHR)
4,266$842K0.17%
125
MMM3M CO (MMM)
5,518$840K0.17%
126
AMECXAmerican Funds Income Fd Of Am
31,021$826K0.17%
127
GRMNGarmin Ltd (GRMN)
3,936$821K0.17%
128
SYKStryker Corp (SYK)
2,074$820K0.17%
129
DWDMorgan Stanley (MS)
5,676$799K0.16%
130
EWKIShares MSCI Ireland ETF (EIRL
11,790$790K0.16%
131
IDV*IShares Int'l Select Div ETF (
22,510$776K0.16%
132
GMGeneral Motors Co (GM)
15,764$775K0.16%
133
RFRegions Financial (RF)
32,800$771K0.16%
134
COSTCostco (COST)
772$764K0.16%
135
LOWLowes Co (LOW)
3,342$741K0.15%
136
HRLHormel Foods Corp (HRL)
23,751$718K0.15%
137
ETNEaton Corporation PLC (ETN)
2,004$715K0.15%
138
APPFAppfolio Cl A (APPF)
3,090$711K0.15%
139
GEVGE Vernova Inc (GEV)
1,336$706K0.14%
140
iShares Muni Bd 2029 (IBMR)
27,970$705K0.14%
141
GSATGlobalstar Inc (GSAT)
29,200$687K0.14%
142
VTIVanguard Total Stock Market ET
2,214$672K0.14%
143
NSCNorfolk Southern (NSC)
2,614$669K0.14%
144
Invesco S&P500 High Div Low Vo
14,000$665K0.14%
145
TAT&T INC
22,186$642K0.13%
146
TYLTyler Technologies Inc (TYL)
1,080$640K0.13%
147
OTISOtis Worldwide (OTIS)
6,448$638K0.13%
148
LSTRLandstar Corp (LSTR)
4,556$633K0.13%
149
IBHGiShares iBonds 2026 Corp ETF (
24,050$583K0.12%
150
EMREmerson Electric Co (EMR)
4,232$564K0.12%
151
LINLinde PLC (LIN)
1,194$560K0.11%
152
AMGNAmgen Inc (AMGN)
2,004$559K0.11%
153
CINFCincinnati Financial (CINF)
3,750$558K0.11%
154
IPARInterparfums (IPAR)
4,240$556K0.11%
155
PODDInsulet Corp (PODD)
1,764$554K0.11%
156
CRWDCrowdstrike Hldgs Inc Cl A (CR
1,088$554K0.11%
157
TMOThermo Fisher Scientific (TMO)
1,366$553K0.11%
158
AMCRAMCOR PLC F (AMCR)
59,768$549K0.11%
159
VCELVericel Corp (VCEL)
12,920$549K0.11%
160
ACNAccenture PLC Ireland Class A
1,818$543K0.11%
161
NVSNovartis ADR (NVS)
4,444$537K0.11%
162
VTVanguard Total World Stock ETF
4,180$537K0.11%
163
KFYKorn Ferry (KFI)
7,300$535K0.11%
164
DEDeere & Co (DE)
1,038$527K0.11%
165
BWXTBWX Technologies Inc (BWXT)
3,650$525K0.11%
166
UNPUnion Pacific Corp (UNP)
2,278$524K0.11%
167
SUSAiShares USA ESG Select (SUSA)
4,116$521K0.11%
168
GVIiShares Intrm Govt/Credit Bond
4,866$519K0.11%
169
ADIAnalog Devices (ADI)
2,164$515K0.11%
170
EWCIShares MSCI Canada ETF IV (EW
11,080$511K0.10%
171
CATCaterpillar Inc (CAT)
1,312$509K0.10%
172
SPDR Portfolio S&P 500 ETF (SP
7,000$508K0.10%
173
LMATLemaitre Vascular (LMAT)
6,050$502K0.10%
174
INGRIngredion (INGR)
3,700$501K0.10%
175
AMDAdvanced Micro Devices (AMD)
3,476$493K0.10%
176
BABoeing Co (BA)
2,336$489K0.10%
177
APDAir Products & Chemicals (APD)
1,730$487K0.10%
178
VYMVanguard High Dividend Yield E
3,550$473K0.10%
179
VTEBVanguard Muni Bond Tax Exempt
9,650$473K0.10%
180
SPDR S&P Int'l Dividend ETF (D
11,028$464K0.10%
181
GISGeneral Mills Inc (GIS)
8,664$448K0.09%
182
MDTMedtronic PLC (MDT)
5,044$439K0.09%
183
GILDGilead Sciences Inc (GILD)
3,940$436K0.09%
184
OLEDUniversal Display (OLED)
2,810$434K0.09%
185
LKQ1LKQ Corp (LKQ)
11,750$434K0.09%
186
TROWT Rowe Price Group (TROW)
4,450$429K0.09%
187
JPMorgan UltraShort Muni Incom
8,250$420K0.09%
188
PNCPNC Fin'l Services (PNC)
2,228$415K0.09%
189
PPLPPL Corp (PPL)
12,222$414K0.08%
190
SPDR Intermediate Corp Bond ET
12,300$413K0.08%
191
QCOMQualcom Corp (QCOM)
2,576$410K0.08%
192
GGGGraco Inc (GGG)
4,700$404K0.08%
193
GDGeneral Dynamics Corp (GD)
1,382$403K0.08%
194
EAElectronic Arts (EA)
2,520$402K0.08%
195
SNXTD Synnex (SNX)
2,950$400K0.08%
196
QBTSD-Wave Quantum Inc (QBTS)
23,800$348K0.07%
197
LAESSealsq Corp (LAES)
37,000$149K0.03%
198
Primary Hydrogen Corp (HNATF)
20,000$5K0.00%
199
Scandium Mining (SCYYF)
236,000$3K0.00%
200
Airborn Wireless (ABWN)
18,021,394$00.00%
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