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WELCH & FORBES LLC
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Back to WELCH & FORBES LLC
WF
Welch & Forbes LLC
All holdings · as of Mar 31, 2026
368 positions
All types
Company
▲
▼
Class
Value
▲
▼
Shares
▲
▼
% of portfolio
▲
▼
NVIDIA Corp
—
$540.01M
3,096,403
7.0%
Apple Inc.
—
$426.34M
1,679,909
5.5%
Alphabet Inc.
—
$336.30M
1,172,363
4.3%
MICROSOFT CORP
—
$326.34M
881,583
4.2%
O REILLY AUTOMOTIVE INC
—
$261.44M
2,832,170
3.4%
Visa Inc
—
$217.48M
719,551
2.8%
RTX Corp
—
$211.15M
1,094,594
2.7%
JPMORGAN CHASE & CO
—
$192.06M
652,907
2.5%
STRYKER CORP
—
$167.27M
509,055
2.2%
COSTCO WHOLESALE CORP /NEW
—
$160.79M
161,366
2.1%
JOHNSON & JOHNSON
—
$160.73M
657,528
2.1%
ELI LILLY & Co
—
$154.74M
168,235
2.0%
HOME DEPOT, INC.
—
$140.99M
428,694
1.8%
Chubb Ltd
—
$126.06M
386,756
1.6%
ECOLAB INC.
—
$125.15M
470,443
1.6%
TJX Cos Inc/The
—
$123.28M
771,975
1.6%
Amazon.com Inc
—
$118.29M
567,966
1.5%
Alphabet Inc.
—
$117.74M
409,445
1.5%
DANAHER CORP /DE
—
$116.16M
612,657
1.5%
PROCTER & GAMBLE Co
—
$110.33M
763,852
1.4%
STATE STR SPDR S&P MIDCAP 40
—
$99.64M
161,554
1.3%
VERTEX PHARMACEUTICALS INC / MA
—
$98.09M
219,669
1.3%
IDEXX LABORATORIES INC /DE
—
$94.50M
168,181
1.2%
MCDONALD'S CORP
—
$94.48M
303,989
1.2%
CHEVRON CORP
—
$82.87M
400,536
1.1%
AMERIPRISE FINANCIAL INC
—
$77.09M
173,461
1.0%
Meta Platforms Inc
—
$76.65M
133,969
1.0%
Watsco, Inc.
—
$76.33M
209,805
1.0%
AbbVie Inc.
—
$74.73M
343,615
1.0%
Broadcom Inc.
—
$74.73M
241,441
1.0%
Mettler-Toledo International Inc
—
$74.17M
58,807
1.0%
RESMED INC
—
$73.27M
326,407
0.9%
Iron Mountain Inc
—
$66.60M
652,068
0.9%
Walmart Inc.
—
$65.01M
523,098
0.8%
ABBOTT LABORATORIES
—
$64.67M
629,836
0.8%
PEPSICO INC
—
$64.60M
415,977
0.8%
ROPER TECHNOLOGIES INC
—
$63.74M
180,120
0.8%
Arthur J. Gallagher & Co.
—
$63.52M
293,288
0.8%
NEXTERA ENERGY INC
—
$62.73M
675,388
0.8%
VANGUARD TAX-MANAGED FDS
—
$62.18M
970,411
0.8%
Warren E. Buffett
—
$56.32M
117,536
0.7%
LINCOLN ELECTRIC HOLDINGS INC
—
$52.28M
209,888
0.7%
LINDE PLC
—
$52.19M
105,270
0.7%
Xylem Inc.
—
$49.46M
413,855
0.6%
CISCO SYSTEMS, INC.
—
$49.16M
633,547
0.6%
EXXON MOBIL CORP
—
$48.35M
284,982
0.6%
Palo Alto Networks Inc
—
$48.19M
300,564
0.6%
L3HARRIS TECHNOLOGIES, INC. /DE
—
$47.66M
138,096
0.6%
BANK OF AMERICA CORP /DE
—
$47.61M
976,595
0.6%
CARLISLE COMPANIES INC
—
$46.86M
140,466
0.6%
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