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Blue Chip Partners, LLC

All holdings · as of Dec 31, 2025

169 positions

CompanyClassValueShares% of portfolio
EATON VANCE TAX-MANAGED GLOB$109.5K11,4860.0%
ONEOK Inc$202.1K2,7490.0%
Trane Technologies plc$203.6K5230.0%
American Tower Corp$205.9K1,1730.0%
HONEYWELL INTERNATIONAL INC$210.3K1,0780.0%
ISHARES TR$212.2K2,8480.0%
TECNOGLASS INC$213.9K4,2500.0%
INTUIT INC.$219.0K3310.0%
ISHARES TR$227.9K2,2100.0%
VANGUARD STAR FDS$229.0K3,0350.0%
EATON VANCE TAX-MANAGED DIVE$237.0K15,4470.0%
United Parcel Service Inc$238.6K2,4060.0%
CHEVRON CORP$250.8K1,6460.0%
General Motors Co$252.4K3,1030.0%
ISHARES TR$252.8K2,6320.0%
ISHARES TR$255.9K3740.0%
Digital Realty Trust Inc$257.6K1,6650.0%
HEICO CORP$258.0K1,0220.0%
WEC ENERGY GROUP, INC.$258.9K2,4550.0%
ORACLE CORP$259.0K1,3290.0%
VANGUARD INDEX FDS$271.2K8090.0%
Blackstone Inc$274.8K1,7820.0%
ISHARES TR$279.4K5,8290.0%
Comfort Systems USA Inc$280.4K3000.0%
SHELL PLC$282.8K3,8480.0%
ISHARES TR$288.7K2,0400.0%
ALPS ETF TR$293.5K6,7090.0%
INVESCO EXCHANGE TRADED FD T$294.8K5,1700.0%
Marriott International Inc/MD$308.7K9950.0%
ISHARES TR$310.5K2,9370.0%
VANGUARD BD INDEX FDS$310.6K3,9410.0%
AT&T INC.$322.0K12,9630.0%
ISHARES TR$323.3K4,6570.0%
ISHARES TR$341.6K1,6110.0%
Mastercard Inc$349.0K6110.0%
VERIZON COMMUNICATIONS INC$355.3K8,7230.0%
VANECK ETF TRUST$358.8K3,4780.0%
SELECT SECTOR SPDR TR$360.5K7,9500.0%
ILLINOIS TOOL WORKS INC$360.6K1,4640.0%
JANUS DETROIT STR TR$366.4K7,2450.0%
REPUBLIC SERVICES, INC.$370.0K1,7460.0%
SPDR GOLD TR$376.1K9490.0%
Netflix Inc$382.5K4,0800.0%
ISHARES TR$388.8K3,1550.0%
SELECT SECTOR SPDR TR$391.2K9,1630.0%
CAVA GROUP, INC.$394.1K6,7150.0%
Johnson Controls International plc$405.3K3,3840.0%
MICRON TECHNOLOGY INC$409.2K1,4340.0%
ANALOG DEVICES INC$410.0K1,5120.0%
FIRST TR EXCHANGE TRADED FD$411.0K2,6860.0%
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