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Canal Insurance CO

All holdings · as of Mar 31, 2026

76 positions

CompanyClassValueShares% of portfolio
CHEVRON CORP$24.7K119,2405.3%
LOCKHEED MARTIN CORP$22.1K36,6004.8%
MICROSOFT CORP$21.3K57,5004.6%
Northrop Grumman Corp$20.5K30,0934.4%
AbbVie Inc.$20.1K92,5004.3%
Duke Energy Corp$19.7K150,1664.2%
EXXON MOBIL CORP$19.5K115,0004.2%
JOHNSON & JOHNSON$18.3K75,0003.9%
RTX Corp$18.1K93,6623.9%
PFIZER INC$15.7K560,0003.4%
INTERNATIONAL BUSINESS MACHINES CORP$15.3K63,0003.3%
AeroVironment Inc$12.8K70,0002.8%
Dell Technologies Inc.$11.7K71,1002.5%
BRISTOL MYERS SQUIBB CO$10.3K170,0002.2%
BP PLC$9.4K200,0002.0%
ABBOTT LABORATORIES$9.2K90,0002.0%
FREEPORT-MCMORAN INC$8.8K150,0001.9%
AAR CORP$8.8K80,0001.9%
VERIZON COMMUNICATIONS INC$8.4K168,0001.8%
L3HARRIS TECHNOLOGIES, INC. /DE$8.3K24,0001.8%
Kratos Defense & Security Solutions Inc$7.8K110,0001.7%
Phillips 66$7.7K42,5001.7%
RIO TINTO PLC$7.5K80,0001.6%
ConocoPhillips$7.3K55,0001.6%
CVS HEALTH Corp$7.2K100,0001.5%
GENERAL DYNAMICS CORP$6.9K20,0001.5%
Walmart Inc.$6.8K55,0001.5%
DOMINION ENERGY, INC$6.8K110,0001.5%
KINDER MORGAN, INC.$6.7K200,0001.4%
AT&T INC.$6.4K220,0001.4%
ENTERPRISE PRODUCTS PARTNERS L.P.EPDMLP$5.7K150,0001.2%
Fluor Corp$5.1K110,0001.1%
Fluence Energy, Inc.FLNCCommon Stock$4.5K330,0001.0%
BHP Group LtdBHPADR$4.4K60,0000.9%
Axon Enterprise Inc$4.2K10,0000.9%
ENBRIDGE INC$4.2K76,7200.9%
Markel Group Inc$3.8K2,0000.8%
BIOGEN INC.$3.7K20,0000.8%
Williams Cos Inc/The$3.6K50,0000.8%
ARK ETF TR$3.2K120,0000.7%
CANADIAN PACIFIC KANSAS CITY$3.2K40,3000.7%
Amazon.com Inc$3.1K15,0000.7%
Intellia Therapeutics, Inc.$2.9K230,0000.6%
Redwire Corp$2.5K300,0000.5%
NUSCALE POWER Corp$2.5K232,8900.5%
Valero Energy Corp$2.5K10,0000.5%
BlackRock Resources & CommdtyBCXClosed-End Fund$2.5K204,1740.5%
THERMO FISHER SCIENTIFIC INC.$2.5K5,0000.5%
Kraft Heinz Co$2.2K100,0000.5%
GLOBAL X FDS$2.2K30,0000.5%
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