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Kidder Stephen W

All holdings · as of Mar 31, 2026

76 positions

CompanyClassValueShares% of portfolio
GRAPHITE ONE INC COM$198.9K225,0000.1%
AMGEN INC$209.3K5950.1%
LOCKHEED MARTIN CORP$211.5K3500.1%
NESTLE SA ADR$215.0K2,1700.1%
GILEAD SCIENCES, INC.$215.7K1,5480.1%
VANGUARD 500 INDEX FD ADMIRAL$225.9K3750.1%
Bank of New York Mellon Corp/The$237.3K2,0000.1%
BRISTOL MYERS SQUIBB CO$248.7K4,1000.1%
AUSTRALIAN RARE EARTHS LTD$260.8K2,700,0000.1%
CISCO SYSTEMS, INC.$262.3K3,3800.1%
Meta Platforms Inc$269.5K4710.1%
Air Products & Chemicals, Inc.$319.5K1,1000.1%
STATE STREET CORPORATION$319.6K2,5250.1%
Visa Inc$329.4K1,0900.1%
CANADIAN PACIFIC KANSAS CITY L$339.0K4,3100.1%
GENERAL ELECTRIC CO$373.2K1,3150.1%
VERIZON COMMUNICATIONS INC$386.5K7,7000.1%
ISHARES S&P 500$391.9K6000.1%
INVESCO S & P 500 EQUAL WEIGHT$463.5K2,4150.1%
BROADRIDGE FINANCIAL SOLUTIONS INC$479.3K2,9500.1%
GE Vernova Inc.$481.0K5510.1%
COSTCO WHOLESALE CORP /NEW$485.3K4870.1%
DOMINION ENERGY, INC$504.3K8,1570.1%
STRYKER CORP$611.5K1,8610.2%
COCA COLA CO$654.0K8,6000.2%
CARRIER GLOBAL Corp$677.4K12,0300.2%
THE GOLDMAN SACHS GROUP, INC.$693.7K8200.2%
SPDR S&P 500 ETF$699.1K1,0750.2%
GABELLI UTILITES FUND CLASS A$739.3K138,7140.2%
3M CO$807.8K5,5620.2%
Alphabet Inc.$810.4K2,8250.2%
INTEL CORP$859.9K19,4850.3%
NEXTERA ENERGY INC$912.5K9,8250.3%
Union Pacific Corp$951.1K3,9200.3%
The Boeing Company$1.11M5,6000.3%
Merck & Co., Inc.$1.16M9,6080.3%
Walmart Inc.$1.42M11,4400.4%
PEPSICO INC$1.43M9,2380.4%
Waste Connections Inc$1.46M8,9780.4%
BANK OF AMERICA CORP /DE$1.48M30,2650.4%
Warren E. Buffett$1.76M3,6660.5%
UNITEDHEALTH GROUP INC$2.26M8,3400.7%
AbbVie Inc.$2.71M12,4810.8%
JPMORGAN CHASE & CO$2.88M9,8030.8%
Broadcom Inc.$3.24M10,4561.0%
FISERV INC$3.40M60,9801.0%
EXXON MOBIL CORP$3.50M20,6221.0%
SCHWAB CHARLES CORP$3.60M38,3101.1%
DEERE & CO$3.69M6,5501.1%
Uber Technologies, Inc$3.96M55,1001.2%
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