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Ipswich Investment Management Co., Inc.

All holdings · as of Dec 31, 2025

185 positions

CompanyClassValueShares% of portfolio
MCDONALD'S CORP$1.99M6,5190.5%
VANGUARD INDEX FDS$1.99M5,9410.5%
Duke Energy Corp$1.98M16,8900.5%
APPLIED MATERIALS INC /DE$1.89M7,3660.4%
INVESCO QQQ TR$1.79M2,9140.4%
AUTOMATIC DATA PROCESSING INC$1.60M6,2180.4%
ABBOTT LABORATORIES$1.56M12,4560.4%
FAIR ISAAC CORP$1.56M9210.4%
AMERICAN EXPRESS CO$1.49M4,0160.3%
Otis Worldwide Corp$1.47M16,8350.3%
LandBridge Co LLCLBCommon Stock$1.45M29,6440.3%
3M CO$1.44M9,0010.3%
SHELL PLC$1.43M19,4090.3%
Broadcom Inc.$1.42M4,1120.3%
BRITISH AMERN TOB PLC$1.42M25,0000.3%
GE Vernova Inc.$1.41M2,1500.3%
HOME DEPOT, INC.$1.40M4,0560.3%
COCA-COLA EUROPACIFIC PARTNE$1.35M14,9250.3%
SOUTHERN CO$1.35M15,4920.3%
CRISPR THERAPEUTICS AG$1.31M25,0330.3%
ROSS STORES, INC.$1.31M7,2760.3%
EQUINOR ASA$1.29M54,7960.3%
ORACLE CORP$1.28M6,5720.3%
STERIS plc$1.28M5,0390.3%
DANAHER CORP /DE$1.27M5,5320.3%
Newmont Corp$1.26M12,6690.3%
O REILLY AUTOMOTIVE INC$1.21M13,2650.3%
ALTRIA GROUP, INC.$1.20M20,8450.3%
Salesforce Inc$1.15M4,3240.3%
AT&T INC.$1.05M42,2880.2%
ISHARES TR$1.05M33,8640.2%
ISHARES TR$1.03M8,5840.2%
ISHARES TR$982.1K14,8800.2%
ADVANCED MICRO DEVICES INC$980.9K4,5800.2%
MCCORMICK & CO INC$949.9K13,9460.2%
NEXTERA ENERGY INC$935.7K11,6550.2%
VERTEX PHARMACEUTICALS INC / MA$926.2K2,0430.2%
BRISTOL MYERS SQUIBB CO$892.8K16,5510.2%
Marriott International Inc/MD$884.0K2,8490.2%
L3HARRIS TECHNOLOGIES, INC. /DE$853.7K2,9080.2%
SYSCO CORP$847.6K11,5020.2%
AFLAC INC$805.9K7,3080.2%
Simpson Manufacturing Co., Inc.$797.7K4,9400.2%
Cigna Group$788.3K2,8640.2%
Philip Morris International Inc.$784.8K4,8930.2%
ILLINOIS TOOL WORKS INC$768.0K3,1180.2%
EVEREST GROUP, LTD.$763.5K2,2500.2%
ENTERPRISE PRODUCTS PARTNERS L.P.EPDMLP$741.5K23,1270.2%
BANK MONTREAL QUE$711.9K5,4850.2%
Crown Castle Inc$680.8K7,6610.2%
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