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Dover Advisors, LLC

All holdings · as of Jun 30, 2026

153 positions

CompanyClassValueShares% of portfolio
MICROSOFT CORP$17.95M37,1157.3%
Apple Inc.$17.65M64,9307.2%
BERKSHIRE HATHAWAY INC DEL$11.32M154.6%
Alphabet Inc.$10.25M32,7404.2%
JPMORGAN CHASE & CO$7.13M22,1282.9%
Amazon.com Inc$6.65M28,8292.7%
ISHARES TR$5.01M45,4902.1%
COCA COLA CO$4.82M68,9862.0%
RTX Corp$4.62M25,1941.9%
Warren E. Buffett$4.49M8,9271.8%
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTDTSMADR$4.16M13,6631.7%
Eaton Corp plc$4.15M13,0201.7%
KLA CORP$4.11M3,3841.7%
HONEYWELL INTERNATIONAL INC$3.83M19,6281.6%
SCHWAB STRATEGIC TR$3.82M156,8601.6%
Palo Alto Networks Inc$3.45M18,7121.4%
JOHNSON & JOHNSON$3.27M15,7821.3%
Broadcom Inc.$3.23M9,3471.3%
ABBOTT LABORATORIES$3.10M24,7501.3%
AMERICAN EXPRESS CO$2.95M7,9771.2%
ISHARES TR$2.65M9,5561.1%
ISHARES TR$2.58M26,8471.1%
Parker-Hannifin Corp$2.55M2,9061.0%
THERMO FISHER SCIENTIFIC INC.$2.45M4,2251.0%
LOWES COMPANIES INC$2.44M10,1201.0%
Uber Technologies, Inc$2.44M29,8211.0%
Duke Energy Corp$2.34M20,0001.0%
HOME DEPOT, INC.$2.31M6,7260.9%
PEPSICO INC$2.29M15,7950.9%
INTERNATIONAL BUSINESS MACHINES CORP$2.29M7,7170.9%
Expedia Group Inc$2.23M7,8590.9%
CHEVRON CORP$2.16M14,2020.9%
Walt Disney Co$2.15M18,7390.9%
ASML HLDG NV$2.05M1,9130.8%
ORACLE CORP$2.02M10,3410.8%
NEXTERA ENERGY INC$1.99M24,7390.8%
UNITEDHEALTH GROUP INC$1.94M5,8720.8%
PROCTER & GAMBLE Co$1.90M13,2410.8%
UNITED BANKSHARES INC/WV$1.83M47,0270.7%
Salesforce Inc$1.78M6,7160.7%
ELI LILLY & Co$1.75M1,6250.7%
EMERSON ELECTRIC CO$1.61M12,1020.7%
Netflix Inc$1.60M17,0480.7%
AbbVie Inc.$1.59M6,9440.6%
CME Group Inc$1.56M5,7220.6%
Ingredion Inc$1.54M14,0000.6%
NIKE, Inc.$1.49M23,2600.6%
COSTCO WHOLESALE CORP /NEW$1.42M1,6500.6%
Philip Morris International Inc.$1.40M8,6760.6%
MARSH & MCLENNAN COMPANIES, INC.$1.37M7,3780.6%
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