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Rice Partnership, LLC

All holdings · as of Dec 31, 2025

175 positions

CompanyClassValueShares% of portfolio
Fortive Corp$579.7K10,5000.1%
SPROTT ASSET MANAGEMENT LP$612.5K18,5480.1%
INVESCO QQQ TR$724.9K1,1800.1%
INTEL CORP$736.1K19,9470.1%
Prologis Inc$745.1K5,8370.1%
BANK OF AMERICA CORP /DE$759.4K13,8070.1%
Mastercard Inc$795.2K1,3930.1%
Visa Inc$805.9K2,2980.1%
ISHARES TR$847.3K4,0280.1%
EXXON MOBIL CORP$870.3K7,2320.1%
ISHARES INC$901.4K20,0350.1%
VANGUARD TAX-MANAGED FDS$961.7K15,3940.1%
OMNICOM GROUP INC.$969.0K12,0000.1%
LOCKHEED MARTIN CORP$1.02M2,1090.1%
United Parcel Service Inc$1.04M10,4390.1%
ISHARES TR$1.26M2,6620.2%
CISCO SYSTEMS, INC.$1.34M17,4070.2%
Motorola Solutions, Inc.$1.46M3,8090.2%
REVVITY, INC.$1.46M15,1030.2%
Matson, Inc.$1.50M12,1500.2%
AFLAC INC$1.56M14,1570.2%
FREEPORT-MCMORAN INC$1.64M32,2590.2%
JOHNSON & JOHNSON$1.68M8,1300.2%
NEXTERA ENERGY INC$1.72M21,4830.2%
CHEVRON CORP$1.73M11,3410.2%
VANGUARD INDEX FDS$1.84M5,4950.2%
PROCTER & GAMBLE Co$1.98M13,7880.3%
Walmart Inc.$2.02M18,1020.3%
ABBOTT LABORATORIES$2.10M16,7430.3%
CATERPILLAR INC$2.23M3,8900.3%
TJX Cos Inc/The$2.55M16,5890.3%
Constellation Energy Corp$2.64M7,4790.4%
Tesla Inc$2.70M6,0130.4%
MCDONALD'S CORP$2.83M9,2660.4%
INTERNATIONAL BUSINESS MACHINES CORP$3.32M11,1970.4%
HOME DEPOT, INC.$3.62M10,5230.5%
SPDR S&P 500 ETF TR$3.75M5,4940.5%
Quest Diagnostics Inc$4.26M24,5240.6%
AppLovin Corp$4.61M6,8450.6%
Duke Energy Corp$4.86M41,4730.7%
US BANCORP \DE$5.21M97,5510.7%
BROOKFIELD INFRASTRUCTURE CORP$5.27M116,1840.7%
Netflix Inc$5.95M63,4310.8%
COCA COLA CO$6.03M86,2940.8%
Alphabet Inc.$6.08M19,3690.8%
Arista Networks, Inc.ANETCommon Stock$6.19M47,2540.8%
Meta Platforms Inc$6.21M9,4030.8%
Hilton Worldwide Holdings Inc.$6.63M23,0880.9%
SPDR SERIES TRUST$6.75M199,5240.9%
J P MORGAN EXCHANGE TRADED F$6.88M73,9270.9%
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