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Lynch Asset Management, Inc.

All holdings · as of Dec 31, 2025

52 positions

CompanyClassValueShares% of portfolio
SPDR SERIES TRUST$10.8K2500.0%
MCKESSON CORP$41.0K500.0%
DEERE & CO$46.6K1000.0%
VANGUARD INDEX FDS$69.0K1100.0%
Alphabet Inc.$70.6K2250.0%
VANGUARD INDEX FDS$128.2K6710.0%
JAKKS Pacific, Inc.$128.3K7,6000.0%
Walmart Inc.$144.8K1,3000.0%
VANGUARD INDEX FDS$216.1K4430.1%
NIKE, Inc.$267.6K4,2000.1%
CITIGROUP INC$291.7K2,5000.1%
GE Vernova Inc.$326.8K5000.1%
PFIZER INC$891.4K35,8000.3%
Merck & Co., Inc.$1.06M10,1000.3%
ELI LILLY & Co$1.18M1,1000.4%
STARBUCKS CORP$1.60M18,9750.5%
Chipotle Mexican Grill Inc$1.85M50,0000.6%
VANGUARD STAR FDS$1.90M25,1500.6%
SPOTIFY TECHNOLOGY S A$2.03M3,5000.6%
JOHNSON & JOHNSON$2.45M11,8500.8%
Cigna Group$2.70M9,8000.8%
QUALCOMM INC/DE$2.86M16,7000.9%
HOME DEPOT, INC.$3.18M9,2501.0%
Trane Technologies plc$3.27M8,4001.0%
Ulta Beauty, Inc.$3.30M5,4501.0%
COSTCO WHOLESALE CORP /NEW$3.32M3,8501.0%
EMERSON ELECTRIC CO$3.65M27,5001.1%
INTERNATIONAL BUSINESS MACHINES CORP$3.81M12,8501.2%
CHEVRON CORP$4.13M27,1001.3%
Eaton Corp plc$4.29M13,4601.3%
Visa Inc$4.61M13,1501.4%
VANGUARD INDEX FDS$4.67M18,1001.5%
Walt Disney Co$4.81M42,3001.5%
FedEx Corp$4.90M16,9501.5%
UNITEDHEALTH GROUP INC$4.94M14,9501.6%
Palo Alto Networks Inc$4.99M27,1001.6%
Tesla Inc$5.22M11,6001.6%
Mastercard Inc$5.47M9,5751.7%
NOVO-NORDISK A S$5.51M108,3501.7%
Broadcom Inc.$6.32M18,2502.0%
ServiceNow Inc$6.37M41,5752.0%
ADVANCED MICRO DEVICES INC$7.61M35,5252.4%
CrowdStrike Holdings, Inc.$8.95M19,1002.8%
CUMMINS INC$9.47M18,5503.0%
THE GOLDMAN SACHS GROUP, INC.$9.70M11,0403.1%
Amazon.com Inc$9.84M42,6503.1%
MICROSOFT CORP$9.88M20,4253.1%
AbbVie Inc.$10.43M45,6503.3%
Apple Inc.$10.79M39,7003.4%
Meta Platforms Inc$11.62M17,6003.7%
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