Back to Vestcor Inc

Vestcor Inc

All holdings · as of Dec 31, 2025

1,157 positions

CompanyClassValueShares% of portfolio
NVIDIA Corp$116.8K626,1963.3%
MICROSOFT CORP$109.5K226,4593.1%
Apple Inc.$96.9K356,5282.8%
Amazon.com Inc$64.8K280,9401.8%
Alphabet Inc.$43.5K139,0051.2%
Alphabet Inc.$42.7K136,1741.2%
Broadcom Inc.$42.7K123,2651.2%
Meta Platforms Inc$41.3K62,5851.2%
iShares MSCI UAE ETF$39.6K420,7481.1%
JOHNSON & JOHNSON$38.3K185,1881.1%
ISHARES INC$37.2K553,8381.1%
AT&T INC.$33.8K1,360,4391.0%
CISCO SYSTEMS, INC.$30.0K389,0460.9%
VERIZON COMMUNICATIONS INC$28.2K692,8510.8%
Walmart Inc.$28.1K251,8230.8%
GILEAD SCIENCES, INC.$27.4K223,2150.8%
ELECTRONIC ARTS INC.$27.2K133,2810.8%
Merck & Co., Inc.$27.2K258,3770.8%
PROCTER & GAMBLE Co$25.4K177,3520.7%
Tesla Inc$25.3K56,3300.7%
ELI LILLY & Co$25.2K23,4460.7%
Mastercard Inc$25.1K44,0460.7%
PROGRESSIVE CORP/OH$24.7K108,6720.7%
ALTRIA GROUP, INC.$24.7K428,3640.7%
INTERNATIONAL BUSINESS MACHINES CORP$23.9K80,5310.7%
COLGATE PALMOLIVE CO$23.4K295,8360.7%
T-Mobile US, Inc.TMUSCommon Stock$22.9K112,9950.7%
Federated Hermes Inc$22.5K432,9000.6%
Consolidated Edison Inc$22.1K222,7450.6%
KROGER CO$22.0K351,4280.6%
BRISTOL MYERS SQUIBB CO$21.9K405,3300.6%
Visa Inc$21.8K62,0740.6%
Duke Energy Corp$21.6K184,4180.6%
PEPSICO INC$21.2K147,4130.6%
Welltower, Inc.$21.1K113,6090.6%
ISHARES TR$21.1K85,5370.6%
VeriSign Inc$20.9K85,8440.6%
AbbVie Inc.$20.3K88,6700.6%
ISHARES TR$19.9K230,1750.6%
Philip Morris International Inc.$19.8K123,4360.6%
JPMORGAN CHASE & CO$19.4K60,2380.6%
Prologis Inc$18.6K145,3790.5%
MCKESSON CORP$18.0K21,9640.5%
SOUTHERN CO$18.0K206,1800.5%
GFL ENVIRONMENTAL INC$16.8K391,8150.5%
VERTEX PHARMACEUTICALS INC / MA$16.6K36,6900.5%
Elevance Health Inc$15.8K45,0600.5%
Palantir Technologies Inc$15.6K87,8960.4%
Netflix Inc$15.1K160,5960.4%
COCA COLA CO$14.9K212,6180.4%
← PrevPage 1 of 24Next →