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Nicholson Wealth Management Group, LLC
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Back to Nicholson Wealth Management Group, LLC
NW
Nicholson Wealth Management Group, LLC
All holdings · as of Dec 31, 2025
108 positions
All types
Company
▲
▼
Class
Value
▲
▼
Shares
▲
▼
% of portfolio
▲
▼
S&P Global Inc.
—
$1.82M
3,483
1.1%
ECOLAB INC.
—
$1.80M
6,864
1.1%
BROWN & BROWN, INC.
—
$1.80M
22,570
1.1%
COMMERCE BANCSHARES INC /MO
—
$1.79M
34,252
1.1%
Becton Dickinson & Co
—
$1.79M
9,215
1.0%
COLGATE PALMOLIVE CO
—
$1.78M
22,563
1.0%
STRYKER CORP
—
$1.78M
5,056
1.0%
PAYCHEX INC
—
$1.77M
15,806
1.0%
Air Products & Chemicals, Inc.
—
$1.77M
7,162
1.0%
CHURCH & DWIGHT CO INC /DE
—
$1.76M
21,029
1.0%
Intercontinental Exchange, Inc.
—
$1.76M
10,847
1.0%
CMS ENERGY CORP
—
$1.75M
24,971
1.0%
REALTY INCOME CORP
—
$1.73M
30,777
1.0%
Mondelez International, Inc.
—
$1.73M
32,088
1.0%
W. R. Berkley Corporation
—
$1.72M
24,509
1.0%
ILLINOIS TOOL WORKS INC
—
$1.72M
6,964
1.0%
NEW JERSEY RESOURCES CORP
—
$1.71M
37,182
1.0%
Phillips 66
—
$1.71M
13,267
1.0%
BROADRIDGE FINANCIAL SOLUTIONS INC
—
$1.68M
7,535
1.0%
American Water Works Company, Inc.
—
$1.65M
12,680
1.0%
BROWN FORMAN CORP
—
$1.63M
62,611
1.0%
ROPER TECHNOLOGIES INC
—
$1.63M
3,663
1.0%
CINTAS CORP
—
$1.62M
8,629
1.0%
TRACTOR SUPPLY CO /DE
—
$1.61M
32,200
0.9%
INTUIT INC.
—
$1.61M
2,429
0.9%
SPDR GOLD TR
—
$1.58M
3,976
0.9%
CITY HOLDING CO
—
$1.47M
12,345
0.9%
EXXON MOBIL CORP
—
$899.5K
7,475
0.5%
JPMORGAN CHASE & CO
—
$812.6K
2,522
0.5%
Tesla Inc
—
$768.1K
1,708
0.5%
SouthState Bank Corp
SSB
Common Stock
$669.2K
7,111
0.4%
COCA COLA CO
—
$653.4K
9,346
0.4%
NVIDIA Corp
—
$631.9K
3,388
0.4%
INVESCO EXCHANGE TRADED FD T
—
$622.4K
3,249
0.4%
INVESCO QQQ TR
—
$582.4K
948
0.3%
FIRST TR EXCHNG TRADED FD VI
—
$580.4K
16,942
0.3%
FIRST TR EXCHNG TRADED FD VI
—
$543.0K
10,609
0.3%
INTERNATIONAL BUSINESS MACHINES CORP
—
$485.2K
1,638
0.3%
ISHARES SILVER TR
—
$478.4K
7,426
0.3%
Netflix Inc
—
$446.3K
4,760
0.3%
CHEVRON CORP
—
$441.4K
2,896
0.3%
Amazon.com Inc
—
$395.9K
1,715
0.2%
Warren E. Buffett
—
$381.0K
758
0.2%
Union Pacific Corp
—
$350.9K
1,517
0.2%
CLOROX CO /DE
—
$348.4K
3,455
0.2%
NUCOR CORP
—
$315.0K
1,931
0.2%
VANGUARD SPECIALIZED FUNDS
—
$299.1K
1,361
0.2%
Alphabet Inc.
—
$291.5K
929
0.2%
BANK OF AMERICA CORP /DE
—
$265.8K
4,832
0.2%
SONOCO PRODUCTS CO
—
$255.4K
5,853
0.1%
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