Martin Capital Partners, LLC has filed a Form 13F-HR with the Securities and Exchange Commission, disclosing its equity holdings as of September 30, 2026. The report lists 73 separate positions held by the firm.

The filing details a portfolio that includes a mix of large-cap technology stocks, energy companies, and exchange-traded funds. Among the largest individual holdings listed in the report are Microsoft Corporation, with 10,122,711 shares; ExxonMobil Holdings Corp., with 8,936,898 shares; and Johnson & Johnson, with 11,056,925 shares.

Other notable positions include Apple Inc., with 9,503,862 shares; AbbVie Inc., with 8,953,444 shares; and Costco Wholesale Corporation, with 357,764 shares. The portfolio also contains significant exposure to exchange-traded funds, including the Invesco S&P 500 Equal Weight ETF and the Invesco RAFI US 1500 ETF.

The report was signed by Ryan S. Adair, the Operations Manager for Martin Capital Partners, LLC, located in Eugene, Oregon.