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13F-HR filed by Armstrong, Fleming & Moore, Inc

Armstrong, Fleming & Moore, Inc filed this 13F-HR for the quarter ended 2026-03-31, filed 2026-04-13, with 108 holding rows worth $235,586,253.

Accession
0001990099-26-000002
Filed
2026-04-13
Accepted by EDGAR
acceptance time not in the bulk data set
Ingested
Source
SEC quarterly data set

Original filing

13F report for Q1 2026

A holdings report, 108 entries on the cover page, a total value of $235,586,253 stated on the cover page (in dollars after the unit check, H1), rows summing to $235,586,253 with VALUE read as dollars as filed, 13F file number 028-23371. The quarter's positions are built on this report. The resolved quarter.

The information table after summing rows of one CUSIP and put or call (H4), with the CUSIP and issuer name as filed. Values in dollars after the unit check (method).

Issuer as filedCUSIPClassAmountValueValue read asType
CAVAGROUPINC148929102STOK363,865$29,436,679dollars as filed
CAPITAL GROUP INTL FOCUS EQT14019W109SHS CREAT UNIT867,419$25,580,185dollars as filed
T ROWE PRICE EXCHANGE-TRADED87283Q107PRICE BLUE CHIP558,950$24,694,407dollars as filed
Apple Inc037833100COM91,505$23,222,931dollars as filed
Avantis Emerging Markets Equity ETF025072604SHS263,143$21,204,023dollars as filed
CAPITAL GROUP DIVIDEND VALUE14020W106SHS CREAT UNIT281,815$11,988,412dollars as filed
NVIDIA Corp67066G104COM24,270$4,232,707dollars as filed
MARRIOTT INTL INC NEW CL A571903202Stock12,730$4,163,645dollars as filed
EXXON MOBIL CORP30231G102COM21,458$3,640,566dollars as filed
Johnson & Johnson478160104COM13,950$3,409,944dollars as filed
Costco Wholesale Corporation22160K105COM3,128$3,117,035dollars as filed
Palantir Technologies Inc. Class A69608A108COM21,125$3,090,165dollars as filed
Berkshire Hathaway Inc084670702COM5,911$2,832,418dollars as filed
CAPITAL GROUP NEW GEOGRAPHY14021N105SHS87,519$2,762,964dollars as filed
Chevron Corporation166764100COM12,164$2,516,761dollars as filed
JPMorgan Chase & Co46625H100COM8,404$2,472,121dollars as filed
RBB FUND TRUST75526L878FIRST EAGLE OVER45,369$2,289,320dollars as filed
SCIENCE APPLICATIONS INTL CORP COM808625107Stock23,425$2,223,546dollars as filed
GEOPARK LTD USD SHSG38327105Stock230,968$2,194,194dollars as filed
Alphabet Inc. Reg. Shares A02079K305COM7,401$2,128,355dollars as filed
Tesla Motors, Inc88160R101COM5,620$2,089,211dollars as filed
Amazon.com, Inc023135106COM9,657$2,011,268dollars as filed
CAPITAL GROUP GROWTH ETF14020G101SHS CREAT UNIT50,028$2,010,644dollars as filed
Procter & Gamble Co742718109COM13,515$1,952,140dollars as filed
CAPITAL GROUP CORE EQUITY ET14020V108SHS CREAT UNIT49,688$1,908,995dollars as filed
Microsoft Corp594918104COM4,481$1,658,842dollars as filed
Alphabet Inc. Reg. Shares C02079K107COM5,062$1,452,085dollars as filed
CAPITAL GROUP GBL GROWTH EQT14020X104SHS CREAT UNIT42,815$1,428,746dollars as filed
General Electric Company369604301COM4,840$1,373,509dollars as filed
ISHARES TR464287648RUS 2000 GRW ETF4,308$1,352,025dollars as filed
CAPITAL GRP FIXED INCM ETF T14020Y201MUN INM ETF49,055$1,331,846dollars as filed
Union Pacific Corporation907818108COM5,349$1,297,657dollars as filed
International Business Machines Corporation459200101COM5,279$1,279,561dollars as filed
ISHARESRUSSELL1000GROWTHETF464287614STOK2,874$1,225,486dollars as filed
GE Vernova Inc.36828A101COM1,285$1,121,519dollars as filed
EMERSON ELEC CO COM291011104Stock7,982$1,045,775dollars as filed
FIRST MID BANCSHARES INC320866106COMMON STOCK24,930$1,026,867dollars as filed
Verizon Communications Inc92343V104COM20,288$1,018,471dollars as filed
Netflix, Inc64110L106COM10,530$1,012,460dollars as filed
Merck & Co.,Inc.58933Y105COM8,188$984,965dollars as filed
Honeywell Technologies438516106COM4,284$968,238dollars as filed
MasterCard, Inc57636Q104COM1,896$947,469dollars as filed
AT&T Inc00206R102COM31,139$902,727dollars as filed
REALTY INCOME CORP COM756109104REIT14,524$888,587dollars as filed
Eli Lilly and Company532457108COM929$854,900dollars as filed
Caterpillar Inc.149123101COM1,124$796,142dollars as filed
PepsiCo,Inc.713448108COM5,097$791,444dollars as filed
BERKSHIRE HATHAWAY INC DEL084670108CL A1$718,140dollars as filed
iShares Core MSCI EAFE ETF46432F842SHS7,785$704,750dollars as filed
AbbVie,Inc.00287Y109COM3,207$697,490dollars as filed
CAPITAL GROUP INTERNATIONAL14021T102SHS20,803$688,787dollars as filed
Cisco Systems,Inc.17275R102COM8,847$686,411dollars as filed
CAPITAL GROUP CORE BALANCED14021D107SHS19,184$660,105dollars as filed
Coca-Cola Company191216100COM8,464$643,682dollars as filed
iShares Gold Trust464285204COM6,839$602,926dollars as filed
PNC FINL SVCS GROUP INC COM693475105Stock2,886$600,579dollars as filed
Lockheed Martin Corporation539830109COM986$595,929dollars as filed
NextEra Energy,Inc.65339F101COM6,290$584,217dollars as filed
ISHARES TR464289875CORE 40 MODE ETF12,042$570,428dollars as filed
Raytheon Technologies Corporation75513E101COM2,950$569,055dollars as filed
Bristol-Myers Squibb Company110122108COM9,015$546,760dollars as filed
Walt Disney Co254687106COM5,643$543,857dollars as filed
ASMLHLDGNVFSPONSOREDADR1ADRREPS1ORDSHSN07059210STOK387$511,222dollars as filed
CHARTER COMMUNICATIONS INC N16119P108COM2,324$501,705dollars as filed
WP CAREY INC COM92936U109REIT7,327$497,950dollars as filed
Walmart Inc.931142103COM3,863$480,103dollars as filed
AMERIPRISE FINL INC COM03076C106Stock1,000$444,400dollars as filed
iShares S&P 500 Growth ETF464287309SHS3,905$441,695dollars as filed
iShares S&P 500 Value ETF464287408SHS2,047$432,224dollars as filed
Micron Technology,Inc.595112103COM1,232$416,258dollars as filed
CSX Corporation126408103COM9,630$395,312dollars as filed
3M CO COM88579Y101Stock2,641$383,497dollars as filed
ISHARES TR464287465MSCI EAFE ETF3,858$374,687dollars as filed
Southern Company842587107COM3,879$374,401dollars as filed
ISHARES MSCI EAFE SMALL-CAP ETF464288273ETF4,762$373,415dollars as filed
IQVIA HLDGS INC COM46266C105Stock2,180$371,777dollars as filed
iShares Russell 2000 ETF464287655SHS1,401$347,448dollars as filed
FIRST TR EXCHNG TRADED FD VI33740F755FT VEST LADDERED10,137$342,326dollars as filed
WORLD GOLD TR98149E303SPDR GLD MINIS3,560$329,976dollars as filed
CORNING INC219350105COM2,327$316,363dollars as filed
Home Depot, Inc437076102COM938$308,560dollars as filed
FEDERAL RLTY INVT TR NEW313745101SH BEN INT NEW2,890$306,958dollars as filed
WARNER BROS DISCOVERY INC COM SER A934423104Stock11,168$306,673dollars as filed
M & T BK CORP COM55261F104Stock1,481$306,161dollars as filed
ISHARES TR464287887S&P SML 600 GWT2,033$294,195dollars as filed
Salesforce.com, Inc79466L302COM1,545$288,475dollars as filed
Pfizer Inc.717081103COM9,868$277,092dollars as filed
ASTRAZENECA PLC ORDG0593M107ADR1,383$272,744dollars as filed
Visa Inc92826C839COM886$267,764dollars as filed
ISHARES INC46434G863COM5,781$262,868dollars as filed
McDonalds Corporation580135101COM830$257,956dollars as filed
COLGATE PALMOLIVE CO COM194162103Stock2,984$254,356dollars as filed
USBANCORPDEL902973304COM NEW4,812$250,276dollars as filed
Duke Energy Corporation26441C204COM1,896$248,302dollars as filed
META PLATFORMS INC CL A30303M102COM429$245,444dollars as filed
FIRST TR EXCHNG TRADED FD VI33740F441FT VEST U.S EQT5,840$239,792dollars as filed
DOMINION ENERGY INC COM25746U109Stock3,850$237,987dollars as filed
GENERAL MILLS INC COM370334104Stock6,381$237,503dollars as filed
CONSOLIDATED EDISON INC209115104COM2,089$236,417dollars as filed
ISHARES RUSSELL 1000 VALUE ETF464287598ETF1,066$227,674dollars as filed
CORTEVA INC COM22052L104Stock2,698$225,890dollars as filed
OREILLY AUTOMOTIVE INC COM67103H107Stock2,393$220,898dollars as filed
CAPITAL GROUP DIVIDEND GROWE14021L109SHS ETF6,084$218,416dollars as filed
CAPITAL GROUP GLOBAL EQUITY14020R107SHS7,090$216,242dollars as filed
CBRE GROUP INC CL A12504L109Stock1,554$210,505dollars as filed
ISHARES TR46435G516COM2,165$207,063dollars as filed
SEMPRA COM816851109Stock2,086$202,738dollars as filed
LUMEN TECHNOLOGIES INC550241103COM11,147$77,472dollars as filed

Amendment chain

FilingRoleFiledAcceptedIngested
13F-HR 0001990099-26-000002this filing2026-04-13acceptance time not in the bulk data set