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Fund · CIK 1056825

Praxis Investment Management Inc

Jun 30, 2026Filed Aug 4, 2026 · SEC filing ↗
Reported value$1.9B +16%
Positions853
Opened · sold out162 · 98

Holdings

Share positions at Jun 30, 2026
Stock% of fundValueSharesSince Q1 2026
NVDANvidia CorpCOM5.2%$99.7M498,107Held
AAPLApple IncCOM5.0%$95.9M331,457Held
Praxis Impact Bond IEQTY4.7%$89.0M9,439,701Added +9%
Praxis Intl Index IEQTY2.9%$55.4M2,963,409Cut −4%
MSFTMicrosoft CorpCOM2.7%$50.7M135,978Held
Praxis Growth Index IEQTY2.6%$49.3M818,564Cut −7%
Praxis Val IndiEQTY2.5%$47.3M2,098,202Cut −3%
GOOGLAlphabet Inc-Cl ACAP STK CL A2.3%$44.5M124,440Held
AVGOBroadcom IncCOM2.0%$38.9M102,919Held
AMZNAmazon.Com IncCOM1.9%$36.0M151,010Held
GOOGAlphabet Inc-Cl CCAP STK CL C1.9%$35.6M100,630Held
Praxis Small Cap Index IEQTY1.7%$32.4M2,319,651Cut −5%
MUMicron Technology IncCOM1.5%$29.1M25,211Cut −2%
METAMeta Platforms Inc-Class ACL A1.5%$28.8M51,211Held
TSLATesla IncCOM1.4%$26.4M62,842Cut −1%
LLYEli Lilly & CoStock1.4%$25.7M21,410Held
JPMJpmorgan Chase & CoCOM1.2%$23.5M71,665Held
AMATApplied Materials IncStock1.2%$23.0M31,873Held
AMDAdvanced Micro DevicesStock1.2%$22.4M38,530Held
JNJJohnson & JohnsonStock0.8%$15.0M59,055Added +6%
HDHome Depot IncCOM0.8%$14.3M40,656Added +9%
WMTWalmart IncCOM0.7%$13.8M121,850Held
ABBVAbbvie IncStock0.7%$13.7M54,506Added +3%
LRCXLam Research CorpCOM NEW0.7%$13.5M31,227Held
VVisa Inc-Class A SharesCOM CL A0.7%$12.9M37,706Cut −4%
INTCIntel CorpStock0.7%$12.4M88,826Cut −17%
CSCOCisco Systems IncStock0.6%$11.5M98,040Cut −6%
PGProcter & Gamble Co/TheStock0.6%$10.7M72,997Cut −4%
FGXXXFirst Am Govt Oblig-XEQTY0.5%$9.9M9,900,018Added +120%
BACBank of America CorpStock0.5%$9.9M173,310Held
TMOThermo Fisher Scientific IncStock0.5%$9.5M18,872Added +9%
KLACKla CorpCOM NEW0.5%$9.1M30,300Added +900%
MRKMerck & Co. Inc.Stock0.5%$9.0M70,254Held
GSGoldman Sachs Group IncStock0.5%$8.8M8,730Held
MAMastercard Inc - ACL A0.5%$8.8M17,176Held
LINLinde PLCStock0.5%$8.6M16,648Held
KOCoca-Cola Co/TheCOM0.4%$8.6M105,220Held
PANWPalo Alto Networks IncCOM0.4%$8.5M24,994Added +15%
COPConocophillipsStock0.4%$8.4M80,739Added +12%
NFLXNetflix IncCOM0.4%$8.2M114,690Added +6%
SNDKSandisk CorpCOM0.4%$7.9M3,493Held
TTTrane Technologies PLCStock0.4%$7.9M16,060Held
DEDeere & CoCOM0.4%$7.8M12,223Held
GEVGe Vernova IncStock0.4%$7.4M6,313Added +7%
CCitigroup IncStock0.4%$7.1M50,406Held
MSMorgan StanleyStock0.4%$6.8M32,291Held
MRVLMarvell Technology IncStock0.4%$6.7M22,460Held
STXSeagate Technology HoldingsStock0.3%$6.5M6,691Cut −25%
ROKRockwell Automation IncStock0.3%$5.8M11,678Held
WDCWestern Digital CorpStock0.3%$5.7M8,897Cut −24%
QCOMQualcomm IncStock0.3%$5.7M30,609Cut −11%
BKNGBooking Holdings IncStock0.3%$5.6M31,557Held
COSTCostco Wholesale CorpStock0.3%$5.6M5,954Cut −18%
TXNTexas Instruments IncStock0.3%$5.5M18,601Added +8%
ANETArista Networks IncCOM SHS0.3%$5.5M32,530Held
EOGEog Resources IncStock0.3%$5.4M41,601Added +9%
AXPAmerican Express CoStock0.3%$5.3M15,794Held
PEPPepsico IncStock0.3%$5.2M38,728Cut −12%
ITWIllinois Tool WorksStock0.3%$5.2M19,211Cut −7%
DHRDanaher CorpStock0.3%$5.1M26,657Cut −15%
PGRProgressive CorpStock0.3%$5.0M23,011Cut −3%
RSGRepublic Services IncStock0.3%$4.9M22,948Added +76%
CRWDCrowdstrike Holdings Inc - ACL A0.3%$4.8M6,320Held
BNYBank of New York Mellon CorpStock0.3%$4.8M32,984Held
ABTAbbott LaboratoriesStock0.2%$4.7M52,064Added +35%
CDNSCadence Design Sys IncStock0.2%$4.7M12,442Held
AMGNAmgen IncStock0.2%$4.6M12,830Held
GWWWw Grainger IncStock0.2%$4.6M3,400Held
VZVerizon Communications IncStock0.2%$4.6M108,835Held
GLWCorning IncCOM0.2%$4.6M17,927Cut −41%
JCIJohnson Controls InternationStock0.2%$4.6M31,287Held
CBChubb LtdStock0.2%$4.4M12,990Held
KMIKinder Morgan IncStock0.2%$4.4M138,140Added +11%
GILDGilead Sciences IncStock0.2%$4.4M34,790Held
MCKMckesson CorpStock0.2%$4.3M5,744Held
UNPUnion Pacific CorpStock0.2%$4.3M15,791Held
LOWLowe'S Cos IncStock0.2%$4.3M19,359Cut −12%
NEENextera Energy IncStock0.2%$4.2M48,316Held
PSXPhillips 66Stock0.2%$4.2M25,043Held
UBERUber Technologies IncStock0.2%$4.2M58,411Added +16%
WMWaste Management IncStock0.2%$4.1M18,312Added +20%
EQIXEquinix IncREIT0.2%$4.0M3,842Held
APHAmphenol Corp-Cl AStock0.2%$3.9M22,287Cut −17%
WELLWelltower IncREIT0.2%$3.9M17,153Held
TJXTjx Companies IncStock0.2%$3.9M25,503Held
DUKDuke Energy CorpCOM NEW0.2%$3.8M30,409Held
BKRBaker Hughes CoStock0.2%$3.8M69,210Held
SPGIS&P Global IncStock0.2%$3.7M9,199Added +86%
TAT&T IncCOM0.2%$3.6M174,986Held
NEMNewmont CorpCOM0.2%$3.6M38,112Held
FTNTFortinet IncStock0.2%$3.6M23,153Held
TRVTravelers Cos Inc/TheStock0.2%$3.5M10,733Added +14%
VRTVertiv Holdings Co-AStock0.2%$3.5M10,544Held
MDLZMondelez International Inc-AStock0.2%$3.5M60,063Added +15%
CLColgate-Palmolive CoStock0.2%$3.5M37,705Added +48%
APPApplovin Corp-Class AStock0.2%$3.4M6,660Held
SOSouthern Co/TheStock0.2%$3.3M34,801Held
DISWalt Disney Co/TheStock0.2%$3.3M34,533Cut −22%
SCHWSchwab (Charles) CorpStock0.2%$3.3M35,800Held
ISRGIntuitive Surgical IncStock0.2%$3.3M8,240Cut −8%
WFCWells Fargo & CoCOM0.2%$3.3M39,424New
WMBWilliams Cos IncStock0.2%$3.3M43,780Held
MPCMarathon Petroleum CorpStock0.2%$3.2M12,708New
CVSCvs Health CorpStock0.2%$3.2M31,342Held
BLKBlackrock IncStock0.2%$3.2M3,332Held
COFCapital One Financial CorpStock0.2%$3.2M15,730Held
DELLDell Technologies -CStock0.2%$3.1M7,264Cut −12%
LYBLyondellbasell Indu-Cl AStock0.2%$3.1M59,181Added +3%
KEYSKeysight Technologies inStock0.2%$3.1M8,850Added +11%
HOODRobinhood Markets Inc - AStock0.2%$3.0M30,163Cut −11%
SLBSlb LtdStock0.2%$3.0M64,581Held
MCDMcdonald'S CorpStock0.2%$3.0M11,045Held
ALLAllstate CorpStock0.2%$3.0M12,509Held
MDTMedtronic PLCStock0.2%$2.9M37,569Added +11%
HEIHeico CorpStock0.2%$2.9M8,218Held
SNPSSynopsys IncStock0.2%$2.9M6,452Held
CAHCardinal Health IncStock0.2%$2.9M12,030Held
ORLYO'Reilly Automotive IncStock0.1%$2.8M30,491Added +12%
ADPAutomatic Data ProcessingStock0.1%$2.8M12,403Cut −6%
EMREmerson Electric CoStock0.1%$2.8M19,394Held
HWMHowmet Aerospace IncStock0.1%$2.8M10,270Held
PNCPnc Financial Services GroupStock0.1%$2.7M11,121Held
PLDPrologis IncREIT0.1%$2.7M19,841Held
DDOGDatadog Inc - Class AStock0.1%$2.6M10,068Held
IRMIron Mountain IncREIT0.1%$2.6M20,717Held
VRTXVertex Pharmaceuticals IncStock0.1%$2.6M5,269Added +23%
AZOAutozone IncStock0.1%$2.6M815Held
TELTe Connectivity PLCStock0.1%$2.6M12,870Held
NOWServicenow IncStock0.1%$2.6M25,963Cut −26%
AFLAflac IncStock0.1%$2.5M21,650Held
CRMSalesforce IncStock0.1%$2.5M15,728Cut −29%
HLTHilton Worldwide Holdings inStock0.1%$2.4M7,350Held
BMYBristol-Myers Squibb CoStock0.1%$2.4M41,770Held
ROPRoper Technologies IncStock0.1%$2.4M7,093Added +90%
EBAYEbay IncStock0.1%$2.4M21,450Held
TFCTruist Financial CorpStock0.1%$2.4M47,920Held
MPWRMonolithic Power Systems IncStock0.1%$2.3M1,690Held
CORCencora IncStock0.1%$2.3M8,164Added +8%
NETCloudflare Inc - Class AStock0.1%$2.3M9,380Held
PWRQuanta Services IncStock0.1%$2.3M3,128Held
CIThe Cigna GroupStock0.1%$2.2M8,089Added +15%
SNOWSnowflake IncStock0.1%$2.2M8,695Added +2%
IBKRInteractive Brokers Gro-Cl AStock0.1%$2.2M25,416Held
SBUXStarbucks CorpStock0.1%$2.1M20,909Held
DALDelta Air Lines IncStock0.1%$2.1M22,800Held
MRSHMarsh & Mclennan CosStock0.1%$2.1M12,791Cut −5%
DVNDevon Energy CorpStock0.1%$2.1M51,338Added +16%
SRESempraStock0.1%$2.1M22,746Held
RCLRoyal Caribbean Cruises LtdStock0.1%$2.1M6,560Held
USBUS BancorpStock0.1%$2.1M34,100Held

Sold out

Held at Mar 31, 2026, gone at Jun 30, 2026
Stock% of fund in Q1 2026Value in Q1 2026
ORCLOracle CorpStock0.5%$7.6M
VLOValero Energy CorpStock0.3%$4.3M
TYLTyler Technologies IncStock0.1%$1.7M
FIXComfort Systems USA IncStock0.1%$1.2M
Cap Impact 45 06/15/26EQTYMerged away or delisted0.1%$1.2M
HUBSHubspot IncStock0.1%$1.1M
KKRKkr & Co IncCOM0.1%$926K
QQnity Electronics IncStock0.0%$782K
ELEstee Lauder Companies-Cl AStock0.0%$779K
Hologic IncStockMerged away or delisted0.0%$720K
RDDTReddit Inc-Cl AStock0.0%$660K
BCPCBalchem CorpCOM0.0%$613K
TEAMAtlassian Corp-Cl AStock0.0%$539K
ULTAUlta Beauty IncStock0.0%$513K
VRSKVerisk Analytics IncStock0.0%$493K
Carnival CorpStockMerged away or delisted0.0%$485K
SUISun Communities IncREIT0.0%$483K
PNRPentair PLCStock0.0%$476K
RMDResmed IncStock0.0%$469K
COOCooper Cos Inc/TheCOM0.0%$461K
ALABAstera Labs IncStock0.0%$458K
ITGartner IncStock0.0%$453K
Tri Pointe Homes IncCOMMerged away or delisted0.0%$448K
ECHOEchostar Corp-ACL A0.0%$442K
CLXClorox CompanyStock0.0%$439K
VSTVistra CorpStock0.0%$436K
SGISomnigroup International IncStock0.0%$435K
PTCPtc IncStock0.0%$402K
TRUTransunionStock0.0%$400K
JKHYJack Henry & Associates IncCOM0.0%$393K
SOLSSolstice Adv Materials IncStock0.0%$371K
GGGGraco IncStock0.0%$362K
DTDynatrace IncStock0.0%$359K
URBNUrban Outfitters IncCOM0.0%$343K
BXPBxp IncREIT0.0%$340K
CRCLCircle Internet Group IncCOM CL A0.0%$340K
FNFFidelity National FinancialCOM SHS0.0%$329K
KNTKKinetik Holdings IncStock0.0%$327K
MURMurphy Oil CorpStock0.0%$323K
MORNMorningstar IncStock0.0%$322K
AFGAmerican Financial Group IncStock0.0%$318K
Masimo CorpStockMerged away or delisted0.0%$315K
GMEDGlobus Medical Inc - AStock0.0%$314K
CRCCalifornia Resources CorpCOM STOCK0.0%$311K
Sealed Air Corp NewCOMMerged away or delisted0.0%$311K
ELSEquity Lifestyle PropertiesREIT0.0%$306K
IRTCIrhythm Holdings IncStock0.0%$306K
PCORProcore Technologies IncStock0.0%$303K
MSGSMadison Square Garden SportsStock0.0%$301K
ACMAecomStock0.0%$296K

This filing reported values in thousands of dollars; they are shown here in dollars.

Showing the 150 largest of 853 positions. The full list is in the SEC filing.