Form: 11-K

Annual report of employee stock purchase, savings and similar plans

June 24, 2026

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 UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
________________________________________________
FORM 11-K
 ________________________________________________

FOR ANNUAL REPORTS OF EMPLOYEE STOCK PURCHASE, SAVINGS AND SIMILAR
PLANS PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
(Mark One) 
ýANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934.
For the fiscal year ended December 31, 2025
Or
oTRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the transition period from            to            
Commission file number 1-37654
 
A. Full title of the plan and the address of the plan, if different from that of the issuer named below:
Fortive Retirement Savings Plan
B. Name of issuer of the securities held pursuant to the plan and the address of its principal executive office:
Fortive Corporation
6920 Seaway Blvd
Everett, WA 98203
(425) 446-5000

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FORTIVE RETIREMENT SAVINGS PLAN

FINANCIAL STATEMENTS AS OF DECEMBER 31, 2025 AND 2024
AND FOR THE YEAR ENDED DECEMBER 31, 2025,
SUPPLEMENTAL SCHEDULE AS OF DECEMBER 31, 2025 AND
REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

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FORTIVE RETIREMENT SAVINGS PLAN
TABLE OF CONTENTS
 
Page
FINANCIAL STATEMENTS
SUPPLEMENTAL SCHEDULE

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Report of Independent Registered Public Accounting Firm
To the Plan Participants, the Plan Administrator, and the Investment Committee of the Fortive Retirement Savings Plan
Opinion on the Financial Statements
We have audited the accompanying statements of net assets available for benefits of Fortive Retirement Savings Plan (the Plan) as of December 31, 2025 and 2024, and the related statement of changes in net assets available for benefits for the year ended December 31, 2025, and the related notes (collectively referred to as the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the net assets available for benefits of the Plan at December 31, 2025 and 2024, and the changes in its net assets available for benefits for the year ended December 31, 2025, in conformity with U.S. generally accepted accounting principles.
Basis for Opinion
These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on the Plan’s financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (PCAOB) and are required to be independent with respect to the Plan in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.
We conducted our audits in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud. The Plan is not required to have, nor were we engaged to perform, an audit of its internal control over financial reporting. As part of our audits we are required to obtain an understanding of internal control over financial reporting but not for the purpose of expressing an opinion on the effectiveness of the Plan’s internal control over financial reporting. Accordingly, we express no such opinion.
Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. We believe that our audits provide a reasonable basis for our opinion.
Supplemental Schedule Required by ERISA
The accompanying supplemental schedule of assets (held at end of year) as of December 31, 2025 (referred to as the “supplemental schedule”), has been subjected to audit procedures performed in conjunction with the audit of the Plan’s financial statements. The information in the supplemental schedule is the responsibility of the Plan’s management. Our audit procedures included determining whether the information reconciles to the financial statements or the underlying accounting and other records, as applicable, and performing procedures to test the completeness and accuracy of the information presented in the supplemental schedule. In forming our opinion on the information, we evaluated whether such information, including its form and content, is presented in conformity with the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. In our opinion, the information is fairly stated, in all material respects, in relation to the financial statements as a whole.
/s/ Ernst & Young, LLP
We have served as the Plan’s auditor since 2016.
Seattle, Washington
June 23, 2026
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FORTIVE RETIREMENT SAVINGS PLAN
STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS
AS OF DECEMBER 31, 2025 AND 2024
($ in millions)
 
20252024
ASSETS
Investments at fair value$1,621.7 $2,116.7 
Receivables:
Notes receivable from participants
10.7 19.2 
Employer contributions
1.6 2.4 
Other0.4 0.7 
Total receivables
12.7 22.3 
Total assets
1,634.4 2,139.0 
LIABILITIES
Other payables
0.3 0.8 
Total liabilities
0.3 0.8 
NET ASSETS AVAILABLE FOR BENEFITS
$1,634.1 $2,138.2 

See the accompanying notes to the financial statements.
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FORTIVE RETIREMENT SAVINGS PLAN
STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
FOR THE YEAR ENDED DECEMBER 31, 2025
($ in millions)
 
ADDITIONS TO (DEDUCTIONS FROM) NET ASSETS ATTRIBUTED TO:
Investment income:
Interest income on notes receivable from participants
$1.2 
Dividend and interest income from investments18.3 
Net appreciation in fair value of investments
253.8 
Total investment income
273.3 
Contributions:
Participant
81.5 
Rollovers
13.9 
Employer
51.0 
Total contributions
146.4 
Benefit payments
(234.4)
Administrative expenses
(1.0)
Total benefit payments and administrative expenses
(235.4)
NET INCREASE PRIOR TO PLAN TRANSFERS184.3 
NET TRANSFERS OUT OF THE PLAN (a)
(688.4)
NET DECREASE(504.1)
NET ASSETS AVAILABLE FOR BENEFITS:
Beginning of year
2,138.2 
End of year
$1,634.1 
(a) Amounts related to the balances and related assets transferred to the Ralliant retirement savings plan, subsequent to the Separation. Refer to Note 1 for further detail.
See the accompanying notes to the financial statements.

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Table of Contents
FORTIVE RETIREMENT SAVINGS PLAN
NOTES TO FINANCIAL STATEMENTS
YEAR ENDED DECEMBER 31, 2025
NOTE 1. DESCRIPTION OF THE PLAN
The following description of the Fortive Retirement Savings Plan (the “Plan”) provides only general information. Participants should refer to the plan document and summary plan description for a more complete description of the Plan’s provisions.
General
Fortive Corporation (“Fortive,” “the Company”, or “the Plan Sponsor”) innovates essential technologies to keep our world safe and productive. Fortive established the Plan effective May 31, 2016. The Plan is a defined contribution plan established for eligible full-time and part-time non-union employees of the Company and its subsidiaries. The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974, as amended (“ERISA”), and the Plan is administered through affiliates of the trustee, Fidelity (the “Plan Administrator”). Plan participants should refer to the formal legal documents of the Plan and the summary plan description for a more complete description of the Plan’s provisions and a full explanation of all limitations, adjustments and special cases in the Plan. Significant provisions related to contributions, benefit payments, and investments are provided below.

On June 28, 2025, the Company completed the separation of its former Precision Technologies (“PT”) segment by distributing to Fortive shareholders on a pro rata basis all of the issued and outstanding common stock of Ralliant Corporation (“Ralliant”), the entity incorporated to hold the PT businesses (the “Separation”). In anticipation of the Separation, Ralliant created a new savings plan, the Ralliant Retirement Savings Plan (the "Ralliant Plan"). On June 28, 2025, $688.4 million, which was the total amount of the balances and the related assets of the Plan participants who are now employees of Ralliant after the Separation, was transferred to the Ralliant Plan. The $688.4 million transferred includes $8.8 million of outstanding loan balances.
Contributions
At the time of eligibility, the Company automatically enrolls eligible employees at a contribution rate of 5% of pre-tax eligible earnings if the participant does not otherwise make an affirmative election to contribute or opt-out of pre-tax contributions. Employees who opt out of the automatic enrollment or reduce their contributions below 5% will be automatically re-enrolled at 5% annually on April 1st. A notice period of at least 45 days is provided for employees to opt out of the automatic enrollment or increase. Eligible participants may contribute up to 75% of their compensation (subject to annual maximums). Employee contributions and the earnings or losses thereon are fully vested at all times.
The Company’s retirement contributions are determined at the discretion of the Plan Sponsor. Employees are eligible for Company retirement contributions upon completion of one year of service and become fully vested upon completion of three years of service. The discretionary retirement contribution can range from 0% to 2% of eligible compensation. For the year ended December 31, 2025, the discretionary retirement contribution was 2% of eligible compensation.
For eligible participants who have completed one year of service and are active employees on the last day of the plan year, an additional discretionary retirement contribution of up to 2% of eligible compensation above the Social Security wage base in effect at the beginning of the Plan year is calculated and deposited into participant accounts subsequent to the Plan year end. These contributions become fully vested after three years of service. For the year ended December 31, 2025, this additional retirement contribution was 2% of eligible compensation.
In addition, the Company makes matching contributions into the Plan. These matching contributions are considered “safe harbor” and the percentage for the safe harbor matching contributions has been established in the plan document. The Company matching contribution is 100% of the first 3% of eligible compensation contributed by the participant plus 50% of the next 2% of eligible compensation contributed. Employees are immediately 100% vested in all safe harbor matching contributions.
Benefit Payments
A participant who attains normal retirement age (age 65) shall be entitled to payment of the balance in their account. A participant who remains employed after attainment of normal retirement age shall continue to participate under the same terms and conditions as applied prior to reaching normal retirement age. A participant must begin receiving distributions no later than April 1 following the later of the year in which they retire from the Company or the calendar year in which they reach the age of 73.
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Table of Contents
The beneficiary or beneficiaries of a deceased participant shall be entitled to payment of the participant’s account balance within a reasonable period of time after the participant’s death.
Upon total and permanent disability, a participant shall be entitled to payment of the balance in their account within a reasonable period of time after termination of employment.
Upon a participant’s termination of employment for reasons other than as specified above, a participant is entitled to payment of their vested account balance. If the vested value of the participant’s account is $1,000 (applied separately to Roth and non-Roth balances) or less, payment will automatically be made in a single lump sum. If the vested value of the participant’s Roth or non-Roth balances is greater than $1,000 and does not exceed $5,000, the Plan Administrator will automatically rollover the Roth or non-Roth balances to a separate Fidelity Individual Retirement Account. If the vested value of the participant’s account is greater than $5,000, the participant must contact the Plan Administrator to request a distribution.
Eligible participants may request a hardship or age 59 1/2 in-service withdrawal of all or a portion of their vested account while still working for the Company in accordance with procedures established by the Plan Administrator, subject to certain limitations and tax penalties.
Notes Receivable from Participants
A participant may receive a loan from the Plan in accordance with the policy established by the Plan Sponsor. Any such loan or loans shall not exceed the lesser of 50% of the participant’s vested account balance or $50,000 reduced by the participant’s highest outstanding loan balance in the Plan during the one-year period ending on the day before the loan is made. The Plan Administrator establishes the maximum maturity period that is permitted to prevent the loan from being treated as a distribution. Plan provisions require that all loans must be paid back within 60 months. The Plan Administrator may require loan payments to be made through payroll deductions.
Participant Accounts
Each participant account is credited with the participant’s contributions, employer safe harbor matching contributions, employer retirement contributions, and an allocation of Plan earnings or losses, and is charged quarterly with administrative expenses and recordkeeping fees. The benefit to which a participant is entitled is the benefit that can be provided from the participant’s vested account.
Administrative Expenses
The Plan’s administrative expenses are paid by either the Plan or the Plan Sponsor, as provided by the Plan’s provisions. Administrative expenses paid by the Plan include recordkeeping and trustee fees.
The Plan participates in a revenue credit program (Credits). Credits are earned in connection with the Plan’s revenue sharing arrangements with certain investment funds. The Credits are deposited in an unallocated account and can be used to pay ERISA-qualified expenses or can be allocated to eligible participant accounts. The calculated Credits are funded quarterly in arrears by the Plan Administrator.
Unallocated Accounts
During the year ended December 31, 2025, forfeitures used to reduce Company related contributions totaled $1.8 million.
As of December 31, 2025 and 2024, unallocated and non-vested accounts, including forfeited amounts, were immaterial and $0.8 million, respectively. These amounts are used to reduce future employer contributions and to pay administrative expenses.
Termination of the Plan
Although the Company, as the Plan Sponsor, has not expressed an intention to do so, the Plan may be terminated at any time. In the event of termination of the Plan, the account balances of participants as of the date of termination shall immediately become vested.
NOTE 2. SIGNIFICANT ACCOUNTING POLICIES
Basis of Accounting
The accompanying financial statements have been prepared in accordance with accounting principles generally accepted in the United States of America (“GAAP”).
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Table of Contents
Use of Estimates
The preparation of financial statements in conformity with GAAP requires management to make estimates and judgments that affect the reported amounts of assets, liabilities and changes therein, and the related disclosure of contingent assets and liabilities. Actual results could differ from those estimates.
Risks and Uncertainties
Investment securities are exposed to various risks such as interest rate, market and credit risks. Due to the level of risk associated with certain investment securities, it is at least reasonably possible that changes in the values of investment securities will occur in the near term and that such changes could materially affect participants’ account balances and the amounts reported in the Statements of Net Assets Available for Benefits.
Notes Receivable from Participants
Notes receivable from participants represent participant loans and are recorded at their unpaid principal balance plus any accrued but unpaid interest. Interest income on notes receivable from participants is recorded when it is earned. Related fees are recorded as administrative expenses and are expensed when they are incurred. No allowance for credit losses has been recorded as of December 31, 2025 and 2024. If a participant ceases to make loan repayments and has reached a distributable event, the loan balance is reduced and a benefit payment is recorded.
Investments
Investments are reported at fair value. Fair value is the price that would be received upon the sale of an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date. Refer to Note 3 for discussion of fair value measurements.
Purchases and sales of securities are recorded on a trade date basis. Interest income is recorded on an accrual basis. Dividends are recorded on the ex-dividend date. The income of each fund is reinvested in that fund.
Payment of Benefits
Benefits are recorded when paid.
NOTE 3. FAIR VALUE MEASUREMENT
Accounting standards define fair value based on an exit price model, establish a framework for measuring fair value where the Plan’s assets and liabilities are required to be carried at fair value and provide for certain disclosures related to the valuation methods used within a valuation hierarchy. This hierarchy prioritizes the inputs into three broad levels as follows. Level 1 inputs are quoted prices (unadjusted) in active markets for identical assets or liabilities. Level 2 inputs are quoted prices for similar assets and liabilities in active markets, quoted prices for identical or similar assets in markets that are not active, or other observable characteristics for the asset or liability, including interest rates, yield curves and credit risks, or inputs that are derived principally from, or corroborated by, observable market data through correlation. Level 3 inputs are unobservable inputs based on management’s assumptions. A financial asset or liability’s classification within the hierarchy is determined based on the lowest level input that is significant to the fair value measurement in its entirety.
The Plan provides for some investments that are valued using the Net Asset Value (“NAV”) practical expedient. None of these investments have limits on their redemption. Investments valued using NAV consist of common collective trusts which allow the Plan to allocate investments across a broad array of types of funds and diversify the portfolio.
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Table of Contents
The fair values of the Plan’s investments as of December 31, 2025, by asset category, were as follows ($ in millions):
Quoted Prices in Active Market
(Level 1)
Significant Other Observable Inputs
(Level 2)
Significant Unobservable Inputs
(Level 3)
Total
Money market funds
$0.2 $ $ $0.2 
Fortive Corporation Stock Fund:
Fortive common stock
16.1   16.1 
Money market fund
0.2   0.2 
Mutual funds
467.5   467.5 
Separately managed funds:
Cash and cash equivalents1.7   1.7 
Common stock231.2   231.2 
Corporate bonds 0.3  0.3 
Mutual funds42.0   42.0 
Self-directed brokerage accounts
64.0   64.0 
$822.9 $0.3 $ $823.2 
Investments measured at NAV
Common/collective trusts
798.5 
Total investments, at fair value
$1,621.7 
The fair values of the Plan’s investments as of December 31, 2024, by asset category, were as follows ($ in millions):
Quoted Prices in Active Market
(Level 1)
Significant Other Observable Inputs
(Level 2)
Significant Unobservable Inputs
(Level 3)
Total
Money market funds
$0.2 $ $ $0.2 
Fortive Corporation Stock Fund:
Fortive common stock
36.1   36.1 
Money market fund
0.4   0.4 
Mutual funds
588.2   588.2 
Separately managed funds:
Cash and cash equivalents3.6   3.6 
Common stock327.0   327.0 
Corporate bonds 0.4  0.4 
Mutual funds59.1   59.1 
Self-directed brokerage accounts
117.0   117.0 
$1,131.6 $0.4 $ $1,132.0 
Investments measured at NAV
Common/collective trusts
984.7 
Total investments, at fair value
$2,116.7 
Following is a description of the valuation techniques and inputs used for each major class of assets measured at fair value:
Money market funds and mutual funds are valued at the quoted closing price reported on the active market on which the individual securities are traded.
The Fortive Corporation Stock Fund consists of shares of the Company’s stock and short-term money market investments and is valued based on the quoted market price of the investments.
-10-

Table of Contents
The separately managed funds consist of common stock, money market funds, and mutual funds, which are valued at the last reported sales price of the security on the last business day of the year, uninvested interest bearing cash and cash equivalents, which is recorded at carrying value as maturities are less than three months.
The self-directed brokerage accounts consist of common stock, mutual funds, and exchange traded funds, which are valued at the last reported sales price on the last business day of the year, and uninvested interest bearing cash, which is recorded at carrying value as maturities are less than three months.
Participation units in the common/collective trust funds are valued using the NAV of units held. The NAV is used as a practical expedient to estimate fair value and is based on the fair value of the underlying investments held by the fund less its liabilities.
The methods described above may produce a fair value estimate that may not be indicative of net realizable value or reflective of future fair values. Furthermore, while the Plan believes the valuation methods are appropriate and consistent with the methods used by other market participants, the use of different methodologies or assumptions to determine the fair value of certain financial instruments could result in a different fair value measurement at the reporting date.
NOTE 4. TAX STATUS OF THE PLAN
The Plan received a determination letter from the Internal Revenue Service (“IRS”) dated November 8, 2022 stating that the Plan is qualified under Section 401(a) of the Internal Revenue Code (the “Code”) and, therefore, its related trust is exempt from taxation. Subsequent to receiving the determination letter, the Plan was amended. The Plan Sponsor believes that the Plan is being operated in compliance with the applicable requirements of the Code and, therefore, believes that the Plan, as amended, is qualified and the related trust is tax-exempt.
GAAP requires plan management to evaluate uncertain tax positions taken by the Plan. The financial statement effects of a tax position are recognized when the position is more likely than not, based on the technical merits, to be sustained upon examination by the IRS. The Plan Sponsor has analyzed the tax positions taken by the Plan, and has concluded that as of December 31, 2025 and 2024, there are no uncertain positions taken or expected to be taken. The Plan has recognized no interest or penalties related to uncertain tax positions. The Plan is subject to routine audits by taxing jurisdictions; however, there are currently no audits for any tax periods in progress.
NOTE 5. RELATED PARTY AND PARTIES IN INTEREST TRANSACTIONS
Certain investments are held in shares of mutual funds and units of common collective trust funds issued by affiliates of Fidelity. Fidelity is the trustee as defined by the Plan, therefore, these are party in interest transactions.
Additionally, as of December 31, 2025 and 2024, respectively, the Plan held 0.3 million and 0.5 million shares of Fortive common stock within the Fortive Corporation Stock Fund. During the year ended December 31, 2025, the Fortive Corporation Stock Fund purchased $17.2 million and sold $34.5 million in Company stock and received $0.1 million of dividends related to shares of Fortive common stock.

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SUPPLEMENTAL SCHEDULE
FORTIVE RETIREMENT SAVINGS PLAN
EIN: 47-5654583, PLAN NO. 001
FORM 5500, SCHEDULE H, LINE 4i
SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2025

(a)
(b) Identity of issue, borrower, lessor or similar party
(c) Description of investment including maturity date,
rate of interest, collateral, par, or maturity value
(d) Cost
(e) Current value
Interest Bearing Cash (including Money Market Funds)
Interest Bearing CashUS dollars**$1,682,942 
*Fidelity Investments Money Market Government Portfolio Class I.48,602shares**48,602 
Vanguard Federal Money Market Fund173,557shares**173,557 
$1,905,101 
Corporate debt instruments
CARVANA CO PIK VAR 06/01/2030 144A
101,042par**105,906 
CARVANA CO PIK VAR 06/01/2031 144A
137,511par**155,171 
$261,077 
Common/Collective Trust Funds
American Beacon Small Cap Value949,232units**$21,445,152 
*Fidelity Managed Income Portfolio II Class 358,267,267units**58,267,267 
Harding Loevner International Equity Portfolio132,605units**2,760,833 
BlackRock LifePath® Index 2030 Non-Lendable Fund M
4,354,273units**87,306,659 
BlackRock LifePath® Index 2035 Non-Lendable Fund M
4,265,294units**94,181,524 
BlackRock LifePath® Index 2040 Non-Lendable Fund M
4,282,934units**103,180,175 
BlackRock LifePath® Index 2045 Non-Lendable Fund M
4,032,992units**104,484,341 
BlackRock LifePath® Index 2050 Non-Lendable Fund M
3,765,279units**102,313,933 
BlackRock LifePath® Index 2055 Non-Lendable Fund M
3,036,315units**83,851,169 
BlackRock LifePath® Index 2060 Non-Lendable Fund M
1,454,662units**40,215,013 
BlackRock LifePath® Index 2065 Non-Lendable Fund M
477,976units**9,666,111 
BlackRock LifePath® Index 2070 Non-Lendable Fund M15,467units**170,412 
BlackRock LifePath® Index Retirement Non-Lendable Fund M
5,409,814units**90,707,976 
$798,550,565 
Employer Securities
Fortive Corporation Stock Fund
*Fortive Corporation Common Stockshares**$16,089,740 
*Fidelity Investments Money Market Government Portfolio - Institutional ClassUS Dollars**162,624 
$16,252,364 
-12-


Registered Investment Companies
Dodge & Cox International Stock Fund Class X
3,344,323shares**$55,047,559 
Dodge & Cox Income Fund Class X1,633,010shares**21,000,518 
PIMCO Inflation Response Multi-Asset Institutional501,427shares**4,643,218 
PIMCO Total Return Fund Institutional
2,370,373shares**21,001,506 
*
Fidelity® Extended Market Index Fund
629,554shares**63,377,155 
*
Fidelity® 500 Index Fund
1,015,883shares**241,495,614 
*
Fidelity® Large Cap Growth Index Fund
892,298
shares
**41,286,643 
T. Rowe Price Treasury Reserve Fund222shares**222 
Vanguard Total Bond Market Index Fund Institutional Shares2,716,302shares**26,538,271 
Vanguard Total International Stock Index Fund Institutional Shares216,751shares**35,133,242 
$509,523,948 
Common Stock
AAON INC8,385shares**$639,356 
ADYEN BV195shares**315,101 
AGILYSYS INC3,743shares**444,818 
AIR PRODUCTS & CHEMICALS INC5,357shares**1,323,286 
ALARM.COM HOLDINGS INC5,893shares**300,661 
ALPHABET INC CL A8,256shares**2,584,128 
ALPHABET INC CL C30,706shares**9,635,543 
ALTRIA GROUP INC14,540shares**838,376 
AMAZON.COM INC47,550shares**10,975,491 
APPLE INC64,599shares**17,561,884 
ASML HOLDING NV1,323shares**1,415,425 
AXOS FINANCIAL INC3,335shares**287,344 
AZENTA INC2,336shares**77,695 
BALCHEM CORP4,067shares**623,715 
BERKSHIRE HATHAWAY INC CL B2,852shares**1,433,558 
BIO TECHNE CORP4,652shares**273,584 
BIOLIFE SOLUTIONS INC4,030shares**97,445 
BLACKBAUD INC5,552shares**351,553 
BLACKLINE INC3,897shares**215,465 
BLACKROCK INC1,577shares**1,687,926 
BRIGHT HORIZONS FAMILY SOLUTIONS INC4,462shares**452,447 
BROADCOM INC24,568shares**8,502,985 
CARVANA CO CL A16,323shares**6,888,632 
CASELLA WASTE SYS INC CL A6,399shares**626,718 
CBIZ INC2,046shares**103,221 
CERTARA INC25,533shares**224,946 
CHEVRON CORP8,430shares**1,284,816 
-13-


CHIPOTLE MEXICAN GRILL INC19,866shares**735,042 
CHUBB LTD7,297shares**2,277,540 
CINCINNATI FINANCIAL CORP5,599shares**914,429 
CINTAS CORP1,976shares**371,626 
CISCO SYSTEMS INC16,404shares**1,263,600 
COLGATE-PALMOLIVE CO5,905shares**466,613 
CONSTELLATION ENERGY CORP2,566shares**906,491 
CONSTRUCTION PARTNERS INC CL A8,741shares**948,836 
CORNING INC25,435shares**2,227,089 
CROWDSTRIKE HOLDINGS INC1,417shares**664,233 
CROWN CASTLE INC6,485shares**576,322 
CUMMINS INC2,750shares**1,403,738 
DANAHER CORP4,083shares**934,680 
DATABRICKS INC SER G1,227shares**233,130 
DATADOG INC CL A1,876shares**255,117 
DESCARTES SYS GROUP INC6,602shares**578,731 
DIGI INTERNATIONAL INC7,809shares**338,052 
DOMINION ENERGY INC23,879shares**1,399,071 
DONALDSON CO INC3,315shares**293,908 
DOORDASH INC3,543shares**802,419 
DORMAN PRODUCTS INC2,054shares**253,032 
ELI LILLY & CO4,985shares**5,357,280 
EPLUS INC4,166shares**365,358 
ESCO TECHNOLOGIES INC3,993shares**780,192 
EXLSERVICE HOLDINGS INC20,620shares**875,113 
EXPONENT INC7,688shares**534,008 
FASTENAL CO24,681shares**990,449 
FIRSTSERVICE CORP2,117shares**329,257 
GE AEROSPACE10,016shares**3,085,228 
GE VERNOVA INC1,770shares**1,156,819 
GLOBUS MEDICAL INC8,849shares**772,606 
GOLDMAN SACHS GROUP INC789shares**693,531 
HAMILTON LANE INC - A1,576shares**211,673 
HEALTHEQUITY INC4,450shares**407,665 
I3 VERTICALS INC CL A8,517shares**214,543 
INTUITIVE SURGICAL INC4,324shares**2,448,941 
J&J SNACKS FOOD CORP2,347shares**212,098 
JOHNSON & JOHNSON7,023shares**1,453,410 
KINSALE CAPITAL GROUP INC1,408shares**550,697 
LEMAITRE VASCULAR INC4,123shares**334,375 
-14-


LINDE PLC1,163shares**495,892 
LOAR HOLDINGS INC1,852shares**125,936 
LOWES COS INC5,236shares**1,262,714 
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC1,888shares**323,377 
MARSH & MCLENNAN COS INC2,665shares**494,411 
MARTEN TRANSPORT LTD9,454shares**107,587 
MASTERCARD INC CL A6,750shares**3,853,440 
MEDLINE INC3,566shares**149,772 
MESA LABORATORIES INC898shares**70,493 
META PLATFORMS INC CL A12,772shares**8,430,669 
MICROSOFT CORP44,725shares**21,629,905 
MONDELEZ INTL INC4,613shares**248,318 
MONOLITHIC POWER SYS INC904shares**819,349 
MOODYS CORP1,024shares**523,110 
MORGAN STANLEY4,239shares**752,550 
NETFLIX INC36,332shares**3,406,488 
NINTENDO LTD ADR76,326shares**1,286,856 
NORFOLK SOUTHERN CORP6,659shares**1,922,586 
NORTHROP GRUMMAN CORP1,902shares**1,084,539 
NOVANTA INC4,207shares**500,591 
NVIDIA CORP129,750shares**24,198,375 
OLD DOMINION FREIGHT LINES INC2,018shares**316,422 
OLLIES BARGAIN OUTLET HOLDINGS INC4,645shares**509,138 
ONTO INNOVATION INC3,942shares**622,284 
OPTION CARE HEALTH INC6,270shares**199,762 
ORACLE CORP9,295shares**1,811,688 
PALANTIR TECHNOLOGIES INC2,991shares**531,650 
PALOMAR HLDGS INC1,170shares**157,669 
PAYCHEX INC7,252shares**813,529 
PHILIP MORRIS INTL INC10,355shares**1,660,942 
PROCTER & GAMBLE CO2,557shares**366,444 
PROGRESSIVE CORP OHIO5,937shares**1,351,974 
RALLIANT CORP93,925shares**4,781,722 
RBC BEARINGS INC2,337shares**1,047,981 
REPLIGEN1,911shares**313,136 
ROPER TECHNOLOGIES INC1,352shares**601,816 
ROSS STORES INC4,063shares**731,909 
SCHWAB CHARLES CORP20,736shares**2,071,734 
SEA LTD ADR6,082shares**775,881 
SERVICENOW INC16,184shares**2,479,227 
-15-


SHERWIN WILLIAMS CO1,721shares**557,656 
SHOPIFY INC CL A10,055shares**1,618,576 
SITEONE LANDSCAPE SUPPLY INC3,454shares**430,230 
SPS COMMERCE INC1,490shares**132,804 
SPX TECHNOLOGIES INC2,135shares**427,128 
STARBUCKS CORP10,443shares**879,405 
STRYKER CORP2,083shares**732,112 
SYNOPSYS INC1,838shares**863,345 
TAIWAN SEMICONDUCTOR MFG CO ADR3,324shares**1,010,130 
TE CONNECTIVITY PLC9,810shares**2,231,873 
TESLA INC11,165shares**5,021,124 
TEXAS INSTRUMENTS INC9,751shares**1,691,701 
TEXAS ROADHOUSE INC4,377shares**726,582 
THE BOOKING HOLDINGS INC294shares**1,574,467 
THERMO FISHER SCIENTIFIC INC1,724shares**998,972 
TJX COMPANIES INC5,386shares**827,343 
T-MOBILE US INC7,215shares**1,464,934 
TRANSDIGM GROUP INC313shares**416,243 
TREX CO INC4,103shares**143,933 
TYLER TECHNOLOGIES INC643shares**291,890 
UFP TECHNOLOGIES INC720shares**159,862 
UNITEDHEALTH GROUP INC6,662shares**2,199,193 
VALVOLINE INC8,806shares**255,902 
VERALTO CORP867shares**86,509 
VERICEL CORP9,236shares**332,588 
VERTEX INC - CLASS A12,324shares**246,110 
VISA INC CL A14,236shares**4,992,708 
WD 40 CO1,193shares**234,902 
WILLSCOT HOLDINGS CORP3,373shares**64,380 
$231,227,529 
Brokeragelink
BrokeragelinkCombination of common stock, mutual funds, and ETF's$63,933,492 
Total$1,621,654,076 
Loans
*
Participant Loans
Interest rates range from 4.25% to 9.5% with maturity at various dates
**$10,742,226 
-16-


* Party in interest.
** Historical cost not required to be presented as all investments are participant-directed.

-17-


SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934, the trustees (or other persons who administer the employee benefit plan) have duly caused this annual report to be signed on its behalf by the undersigned hereunto duly authorized.
 
FORTIVE RETIREMENT SAVINGS PLAN
June 23, 2026
By:
/s/ Simon Grace
Simon Grace
Vice President, Total Rewards

-18-


EXHIBIT INDEX
Exhibit
Number
Description
23.1

-19-