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Forefront Analytics, LLC

SEC CIK
0001696802
Latest filing
Aug 12, 2026

Holdings changes from Q1 2026 to Q2 2026

Long positions only; new, added, reduced and sold out are based on share counts. Pick any two quarters this institution filed.

Choose two quarters to compare

New
0
Added
19
Est. +$1.91M
Reduced
15
Est. −$34.0M
Sold out
2
Est. −$264.4K

Portfolio value went from $110.0M to $92.0M (−$17.9M (−16.3%)); positions from 39 to 37 (−2).

All Q2 2026 holdingsAll Q1 2026 holdings

In the shares, value and % of portfolio columns, the top figure is Q2 2026 and the gray one below is Q1 2026. For stocks that split between the two quarters, Q1 2026 shares are converted at the split ratio before comparing.

Holdings of Forefront Analytics, LLC in Q1 2026 and Q2 2026 compared
SecurityActionSharesShare changeValueEst. bought or sold% of portfolioWeight change (pp)
Vanguard Ftse Emerging Markets ETF922042858Added–180,376180,162+214+0.1%$10.8M$9.74M+$12.8K11.7%8.9%+2.84
iShares Tr46435G516Reduced–104,247254,427−150,180−59.0%$10.7M$24.3M−$15.4M11.6%22.1%−10.48
iShares Inc46434G863Reduced–192,398369,453−177,055−47.9%$10.5M$16.8M−$9.68M11.4%15.3%−3.84
iShares Core High Dividend ETF46429B663AddedConverted for a 5-for-1 split–342,756340,435+2,321+0.7%$9.39M$9.24M+$63.6K10.2%8.4%+1.80
iShares MSCI USA Momentum Factor ETF46432F396Added–24,43424,234+200+0.8%$8.38M$5.82M+$68.6K9.1%5.3%+3.81
Nushares ETF Tr67092P300Reduced–140,912195,657−54,745−28.0%$7.04M$8.90M−$2.74M7.7%8.1%−0.44
DBX ETF Tr233051200Reduced–126,734126,892−158−0.1%$6.92M$6.27M−$8.63K7.5%5.7%+1.82
Flexshares Tr33939L688Reduced–21,66944,239−22,570−51.0%$5.05M$8.84M−$5.26M5.5%8.0%−2.55
NVDANVIDIA CorpAddedHistory19,53214,241+5,291+37.2%$3.91M$2.48M+$1.06M4.2%2.3%+1.99
Vanguard Ftse Developed Markets ETF921943858Added–47,55947,307+252+0.5%$3.39M$3.03M+$18.0K3.7%2.8%+0.93
iShares Core S&P 500 ETF464287200Reduced–4,4504,474−24−0.5%$3.33M$2.92M−$18.0K3.6%2.7%+0.96
iShares Inc46434G509Reduced–58,20358,540−337−0.6%$2.60M$2.16M−$15.1K2.8%2.0%+0.86
JPMJPMorgan Chase & CoAddedHistory4,9974,984+13+0.3%$1.64M$1.47M+$4.26K1.8%1.3%+0.44
DEDeere & CoAddedHistory1,1721,136+36+3.2%$743.2K$640.2K+$22.8K0.8%0.6%+0.23
UNHUnitedHealth Group IncReducedHistory1,4091,983−574−28.9%$585.8K$536.6K−$238.6K0.6%0.5%+0.15
INCYIncyte CorpAddedHistory5,0914,233+858+20.3%$577.1K$398.4K+$97.3K0.6%0.4%+0.26
EWEdwards Lifesciences CorpReducedHistory6,1586,574−416−6.3%$557.1K$526.4K−$37.6K0.6%0.5%+0.13
ProShares Tr74347R107Added–8,1808,164+16+0.2%$551.2K$423.6K+$1.08K0.6%0.4%+0.21
ProShares Tr74347R842Added–7,9977,990+7+0.1%$537.7K$372.9K+$470.630.6%0.3%+0.25
ABTAbbott LaboratoriesAddedHistory5,6655,043+622+12.3%$514.1K$517.7K+$56.4K0.6%0.5%+0.09
WisdomTree Tr97717W562Reduced–7,0208,232−1,212−14.7%$475.9K$477.9K−$82.2K0.5%0.4%+0.08
PFEPfizer IncAddedHistory18,21013,090+5,120+39.1%$438.5K$367.6K+$123.3K0.5%0.3%+0.14
MDTMedtronic plcUnchangedHistory5,3195,31900.0%$416.1K$460.9K$00.5%0.4%+0.03
DHRDanaher CorpAddedHistory2,0401,288+752+58.4%$388.5K$244.2K+$143.2K0.4%0.2%+0.20
TMOThermo Fisher Scientific Inc.AddedHistory669579+90+15.5%$335.6K$284.6K+$45.2K0.4%0.3%+0.11
OTFBlue Owl Technology Finance Corp.UnchangedHistory29,65429,65400.0%$306.9K$367.4K$00.3%0.3%0.00
LEGNLegend Biotech CorpReducedHistory10,56815,659−5,091−32.5%$305.2K$283.3K−$147.0K0.3%0.3%+0.07
PMPhilip Morris International Inc.AddedHistory1,4631,450+13+0.9%$264.6K$239.7K+$2.35K0.3%0.2%+0.07
REGNRegeneron Pharmaceuticals, Inc.ReducedHistory415460−45−9.8%$258.8K$355.0K−$28.1K0.3%0.3%−0.04
Schwab US Dividend Equity ETF808524797Reduced–7,67615,119−7,443−49.2%$243.4K$463.9K−$236.0K0.3%0.4%−0.16
Vanguard Morningstar Value ETF922908744Reduced–1,0841,317−233−17.7%$236.3K$258.5K−$50.8K0.3%0.2%+0.02
ZURAZura Bio LtdAddedHistory26,96814,901+12,067+81.0%$159.1K$88.7K+$71.2K0.2%0.1%+0.09
GERNGeron CorpAddedHistory88,77955,125+33,654+61.1%$113.6K$82.1K+$43.1K0.1%0.1%+0.05
CTMXCytomX Therapeutics, Inc.AddedHistory25,03312,476+12,557+100.6%$93.9K$58.6K+$47.1K0.1%0.1%+0.05
BCYCBicycle Therapeutics PLCAddedHistory21,82214,394+7,428+51.6%$92.5K$66.8K+$31.5K0.1%0.1%+0.04
NKTXNkarta, Inc.ReducedHistory28,95543,835−14,880−33.9%$81.9K$92.5K−$42.1K0.1%0.1%0.00
ANNXAnnexon, Inc.UnchangedHistory14,24014,24000.0%$81.3K$78.9K$00.1%0.1%+0.02
Dimensional ETF Trust25434V815Sold out–06,341−6,341−100.0%$0$222.2K−$222.2K0.0%0.2%−0.20
MREOMereo BioPharma Group plcSold outHistory0127,778−127,778−100.0%$0$42.2K−$42.2K0.0%<0.1%−0.04

Estimated amounts multiply the change in shares by the quarter-end price implied by the filing (market value divided by shares): new positions use this quarter's value and sold-out positions last quarter's; positions reported only as principal (PRN) cannot be estimated. 13F shows only quarter-end holdings, not when trades happened or at what price.