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NORTHSTAR ASSET MANAGEMENT Co

All holdings · as of Mar 31, 2026

138 positions

CompanyClassValueShares% of portfolio
VERIZON COMMUNICATIONS$500.6K9,9720.1%
VANGUARD CONSUMER STAPLES FUND$512.1K2,2800.1%
MFS SER TR IV MID CAP GROWTH I$518.9K19,8440.1%
VANGUARD ESG U.S. STOCK ETF$524.9K4,6750.1%
CISCO SYSTEMS INC$539.3K6,9500.1%
The Boeing Company$560.7K2,8170.1%
CORTEVA INC.$564.2K6,7400.1%
ELI LILLY & Co$567.5K6170.1%
iSHARES S&P MID CAP 400 INDEX$575.7K8,5250.1%
GENERAL ELECTRIC CO$628.6K2,2150.1%
GROWTH FUND AMERICA CL F 3$629.3K8,5000.1%
SPDR S&P BIOTECH ETF$651.4K5,1000.1%
SYSCO CORP$652.7K9,1500.1%
ISHARES RUSSELL MID-CAP VALUE$721.9K4,9530.2%
COCA COLA CO$724.4K9,5250.2%
WILLIAMS SONOMA INC$729.3K4,0000.2%
MERCK & CO.$737.4K6,1300.2%
CROWN HOLDINGS, INC.$738.8K7,3700.2%
iSHARES EXPANDED TECH SECTOR E$746.6K6,3000.2%
HERSHEY CO$748.4K3,6000.2%
VANGUARD PRIMECAP FUND ADMIRAL$787.2K4,3780.2%
STARBUCKS CORP$835.4K9,3250.2%
VANGUARD INDUSTRIALS ETF$838.3K2,6850.2%
VERALTO CORP$853.9K9,6570.2%
VANGUARD CONSUMER DISCRETIONAR$876.0K2,4400.2%
CHUBB CORP$990.8K3,0400.2%
FORTIVE CORP.$1.03M18,6190.2%
Walt Disney Co$1.21M12,5700.3%
NEXTERA ENERGY INC.$1.21M13,0760.3%
ALPHABET INC. CLASS A$1.36M4,7350.3%
FEDEX CORPORATION$1.39M3,8900.3%
ADOBE SYSTEMS$1.54M6,3550.3%
MCDONALD'S CORP$1.57M5,0560.4%
QUALCOMM INC/DE$1.58M12,3000.4%
WASTE CONNECTIONS INC$1.59M9,7700.4%
BROADCOM LTD$1.66M5,3500.4%
STRYKER CORP$1.66M5,0550.4%
ADVANCED MICRO DEVICES INC$1.73M8,4820.4%
Mondelez International, Inc.$1.78M30,8600.4%
L3HARRIS TECHNOLOGIES, INC. /DE$1.83M5,3000.4%
PROCTER & GAMBLE Co$1.86M12,8870.4%
HONEYWELL INTERNATIONAL INC$1.95M8,6100.4%
NOVARTIS AG-ADR$2.12M13,8750.5%
VISA, INC.$2.15M7,1070.5%
VANGUARD HEALTHCARE ETF$2.28M8,3900.5%
Amazon.com Inc$2.48M11,8960.6%
NESTLE S A SPONS ADR$2.54M25,6400.6%
ISHARES DJ US MEDICAL DEVICE I$2.59M48,4600.6%
PEPSICO INC$2.60M16,7450.6%
Union Pacific Corp$2.66M10,9840.6%
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