MondegarAI
OAK ASSOCIATES LTD /OH/

Q4 2025 · 13F-HR

OAK ASSOCIATES LTD /OH/holdings as filed

Filed 2026-02-12 · accession 0001193125-26-048895

$1.66B
Reported value
131
Positions
2025-12-31
Period end
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The Brief · OAK ASSOCIATES LTD /OH/ · Q4 2025

AI · grounded in 13F

OAK ASSOCIATES LTD /OH/ closed its position in Check Point Software CHKP, reducing its exposure by $7,037. The fund also exited positions in Global Payments Inc. GPN and DaVita HealthCare Partners Inc DVA. On the buy side, the fund increased its holdings in Microsoft Corporation MSFT by 3.9954% and Broadcom Limited AVGO by 0.4799%.

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
02079K107GOOGAlphabet Inc. Class C$137.7M8.27%438,699CommonSOLE
023135106AMZNAmazon.com Inc.$121.3M7.29%525,474CommonSOLE
482480100KLACKLA Corporation$99.5M5.98%81,923CommonSOLE
11135F101AVGOBroadcom Limited$81.5M4.90%235,542CommonSOLE
594918104MSFTMicrosoft Corporation$72.1M4.33%149,068CommonSOLE
17275R102CSCOCisco Systems Inc.$71.1M4.27%923,233CommonSOLE
30303M102METAMeta Platforms, Inc.$65.4M3.93%99,116CommonSOLE
67066G104NVDANVIDIA Corp$60.5M3.64%324,605CommonSOLE
92826C839VVISA Inc.$55.8M3.35%159,131CommonSOLE
02079K305GOOGLAlphabet Inc. Class A$50.7M3.05%161,967CommonSOLE
808513105SCHWCharles Schwab Corp$44.8M2.69%447,925CommonSOLE
N6596X109NXPINXP Semiconductors NV$41.4M2.49%190,563CommonSOLE
031162100AMGNAmgen Inc.$41.0M2.46%125,261CommonSOLE
46625H100JPMJPMorgan Chase & Co$39.7M2.39%123,286CommonSOLE
68389X105ORCLOracle Corporation$32.1M1.93%164,614CommonSOLE
037833100AAPLApple Inc.$30.7M1.84%112,894CommonSOLE
747525103QCOMQualcomm Inc.$30.7M1.84%179,399CommonSOLE
871607107SNPSSynopsys Inc.$30.1M1.81%64,174CommonSOLE
00724F101ADBEAdobe Inc.$27.8M1.67%79,329CommonSOLE
548661107LOWLowes Companies Inc.$25.4M1.53%105,377CommonSOLE
032095101APHAmphenol Corp.$24.3M1.46%180,008CommonSOLE
H1467J104CBChubb Limited$22.1M1.33%70,807CommonSOLE
007903107AMDAdvanced Micro Devices$21.9M1.32%102,316CommonSOLE
66987V109NVSNovartis AG$21.6M1.30%156,995CommonSOLE
64110D104NTAPNetApp, Inc.$20.9M1.25%194,712CommonSOLE
278642103EBAYeBay Inc.$18.8M1.13%215,910CommonSOLE
57636Q104MAMastercard Inc.$18.8M1.13%32,884CommonSOLE
79466L302CRMSalesforce, Inc$18.4M1.11%69,510CommonSOLE
504922105LHLaboratory Corp of America$15.8M0.95%62,982CommonSOLE
539830109LMTLockheed Martin Corp.$15.5M0.93%32,133CommonSOLE
773903109ROKRockwell Automation Inc$13.9M0.83%35,603CommonSOLE
64110L106NFLXNetflix Inc$13.6M0.82%145,000CommonSOLE
G1151C101ACNAccenture Plc$13.4M0.81%50,123CommonSOLE
H01301128ALCAlcon Inc$13.2M0.79%167,696CommonSOLE
125523100CIThe Cigna Group$13.1M0.79%47,770CommonSOLE
00971T101AKAMAkamai Technologies Inc.$11.9M0.72%136,694CommonSOLE
064058100BKBank of New York Mellon Corp.$10.9M0.65%93,534CommonSOLE
375558103GILDGilead Sciences Inc.$10.7M0.64%86,776CommonSOLE
58155Q103MCKMcKesson Corp$10.6M0.63%12,864CommonSOLE
512807306LRCXLam Research Corporation$9.5M0.57%55,438CommonSOLE
857477103STTState Street Corp$9.2M0.55%71,117CommonSOLE
G02602103DOXAmdocs Limited$8.8M0.53%108,812CommonSOLE
75886F107REGNRegeneron Pharmaceuticals$8.2M0.49%10,560CommonSOLE
04621X108AIZAssurant, Inc.$7.9M0.48%32,938CommonSOLE
03820C105AITApplied Industrial Tech$6.3M0.38%24,444CommonSOLE
007973100AEISAdvanced Energy Industries$5.2M0.31%25,014CommonSOLE
172755100CRUSCirrus Logic Inc.$4.9M0.30%41,675CommonSOLE
46120E602ISRGIntuitive Surgical, Inc.$4.9M0.30%8,674CommonSOLE
14149Y108CAHCardinal Health Inc.$4.3M0.26%21,023CommonSOLE
704326107PAYXPaychex, Inc.$4.2M0.25%37,384CommonSOLE
98980G102ZSZscaler, Inc.$4.1M0.25%18,288CommonSOLE
G50871105JAZZJazz Pharmaceuticals plc$3.7M0.22%21,741CommonSOLE
501242101KLICKulicke & Soffa Industries$3.7M0.22%80,542CommonSOLE
22788C105CRWDCrowdStrike Holdings, Inc.$3.6M0.22%7,676CommonSOLE
30161Q104EXELExelixis Inc.$3.4M0.21%78,689CommonSOLE
315616102FFIVF5 Networks Inc.$3.4M0.20%13,211CommonSOLE
03073E105CORCencora, Inc.$3.3M0.20%9,717CommonSOLE
91307C102UTHRUnited Therapeutics Corp.$3.3M0.20%6,703CommonSOLE
922475108VEEVVeeva Systems Inc.$3.2M0.19%14,362CommonSOLE
G54950103LINLinde PLC$3.2M0.19%7,398CommonSOLE
G3643J108FLUTFlutter Entertainment PLC$3.0M0.18%14,102CommonSOLE
74834L100DGXQuest Diagnostics Inc$3.0M0.18%17,442CommonSOLE
82706C108SIMOSilicon Motion Tech ADS$3.0M0.18%32,294CommonSOLE
651639106NEMNewmont Mining Corp$2.9M0.17%28,633CommonSOLE
516544103LNTHLantheus Holdings, Inc.$2.6M0.16%39,164CommonSOLE
58506Q109MEDPMedpace Holdings, Inc.$2.5M0.15%4,383CommonSOLE
58733R102MELIMercadoLibre, Inc.$2.4M0.15%1,200CommonSOLE
883556102TMOThermo Fisher Scientific, Inc.$2.3M0.14%4,037CommonSOLE
18467V109YOUClear Secure, Inc.$2.3M0.14%65,606CommonSOLE
192576106COHUCohu, Inc.$2.2M0.13%93,819CommonSOLE
665859104NTRSNorthern Trust Corp.$2.2M0.13%15,940CommonSOLE
29605J106ESABESAB Corp$2.2M0.13%19,298CommonSOLE
478160104JNJJohnson & Johnson$2.1M0.13%10,281CommonSOLE
92532F100VRTXVertex Pharmaceuticals$2.1M0.13%4,677CommonSOLE
34959E109FTNTFortinet, Inc.$2.1M0.12%25,980CommonSOLE
03831W108APPApplovin Corp$2.0M0.12%3,000CommonSOLE
29358P101ENSGEnsign Group, Inc. (The)$1.9M0.12%11,191CommonSOLE
45337C102INCYIncyte Corp$1.8M0.11%18,643CommonSOLE
69608A108PLTRPalantir Technologies Inc.$1.8M0.11%10,310CommonSOLE
58933Y105MRKMerck & Co. Inc.$1.8M0.11%16,835CommonSOLE
127097103CTRACoterra Energy$1.7M0.10%65,000CommonSOLE
46266C105IQVIQVIA Holdings Inc.$1.7M0.10%7,448CommonSOLE
254543101DIODDiodes Inc.$1.6M0.10%33,020CommonSOLE
635906100NHCNational HealthCare Corp$1.6M0.10%11,724CommonSOLE
036752103ELVElevance Health, Inc.$1.5M0.09%4,264CommonSOLE
426281101JKHYJack Henry & Associates$1.5M0.09%8,186CommonSOLE
G5960L103MDTMedtronic PLC$1.5M0.09%15,485CommonSOLE
M87915274TSEMTower Semiconductor Ltd$1.5M0.09%12,635CommonSOLE
863667101SYKStryker Corp$1.5M0.09%4,221CommonSOLE
464288240ACWXiShares MSCI ACWI ex US ETF$1.5M0.09%21,658CommonSOLE
70438V106PCTYPaylocity Holding Corporation$1.4M0.08%8,930CommonSOLE
532457108LLYEli Lilly & Co.$1.3M0.08%1,170CommonSOLE
670100205NVONovo-Nordisk A/S$1.1M0.07%21,642CommonSOLE
902973304USBU.S. Bancorp$1.1M0.06%20,000CommonSOLE
068463108BBSIBarrett Business Services Inc$1.0M0.06%27,877CommonSOLE
92242T101VVXV2X, Inc.$886,5470.05%16,252CommonSOLE
48282T104KAIKadant Inc$873,0160.05%3,063CommonSOLE
01881G106ABAllianceBernstein Hldg$853,9870.05%22,193CommonSOLE
74112D101PBHPrestige Cons Healthcare, Inc.$844,0430.05%13,682CommonSOLE
12621E103CNOCNO Financial Group, Inc.$840,6090.05%19,793CommonSOLE
697435105PANWPalo Alto Networks, Inc.$813,9800.05%4,419CommonSOLE
043436104ABGAsbury Automotive Group$812,6920.05%3,495CommonSOLE
464287457SHYiShares Barclays 1-3 yr Tr Bnd$795,7350.05%9,608CommonSOLE
500643200KFYKorn Ferry$774,3490.05%11,729CommonSOLE
126349109CSNCSG Systems International$766,9000.05%10,000CommonSOLE
04316A108APAMArtisan Partners Asset Mangmnt$650,2920.04%15,962CommonSOLE
416515104HIGHartford Financial Services$649,5890.04%4,714CommonSOLE
760759100RSGRepublic Services Inc.$645,9630.04%3,048CommonSOLE
231561101CWCurtiss-Wright Corp.$608,6020.04%1,104CommonSOLE
816300107SIGISelective Insurance Group$585,6060.04%6,999CommonSOLE
05465C100AXAxos Financial, Inc.$585,1990.04%6,792CommonSOLE
464287226AGGiShares Core US Aggrgt Bd ETF$574,4100.03%5,751CommonSOLE
G037AX101AMBAAmbarella, Inc.$525,1370.03%7,413CommonSOLE
05605H100BWXTBWX Technologies, Inc.$518,5200.03%3,000CommonSOLE
70450Y103PYPLPayPal Holdings, Inc.$462,3700.03%7,920CommonSOLE
142339100CSLCarlisle Companies Inc.$449,4030.03%1,405CommonSOLE
655663102NDSNNordson Corporation$445,7570.03%1,854CommonSOLE
893641100TDGTransdigm Group, Inc.$421,5620.03%317CommonSOLE
45827U109INTAIntapp, Inc.$414,5790.02%9,048CommonSOLE
626755102MUSAMurphy USA, Inc.$413,2040.02%1,024CommonSOLE
125269100CFCF Industries Holdings, Inc.$398,9970.02%5,159CommonSOLE
149123101CATCaterpillar Inc$331,6920.02%579CommonSOLE
369550108GDGeneral Dynamics Corp.$299,6270.02%890CommonSOLE
92556V106VTRSViatris, Inc.$293,1600.02%23,547CommonSOLE
928254101VIRTVirtu Financial, Inc. Class A$269,8920.02%8,100CommonSOLE
464287861IEViShares S&P Europe 350$243,5300.01%3,550CommonSOLE
30231G102XOMExxon Mobil Corporation$237,6710.01%1,975CommonSOLE
73278L105POOLPool Corporation$235,6120.01%1,030CommonSOLE
931142103WMTWalmart Inc.$233,9610.01%2,100CommonSOLE
87151X101SYMSymbotic Inc.$226,5760.01%3,808CommonSOLE
29272W109ENREnergizer Holdings$213,2010.01%10,719CommonSOLE

Source: SEC EDGAR · raw 13F holdings as filed. The Class column shows the option type when reported (Put/Call) or Common when the issuer's equity is held directly. 13F discloses long positions only.