Universe · entity
FORT WASHINGTON INVESTMENT ADVISORS INC /OH/
Institutional manager (13F) · CIK 1009016
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $11.4B
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | MICROSOFT CORP | $804M | 2,172,672 |
| 2 | ALPHABET INC-CL C | $737M | 2,569,074 |
| 3 | CINTAS CORP | $719M | 4,252,541 |
| 4 | APPLE INC | $670M | 2,641,243 |
| 5 | META PLATFORMS INC-CLASS A | $526M | 919,047 |
| 6 | NVIDIA CORP | $478M | 2,740,047 |
| 7 | AMAZON.COM INC | $445M | 2,135,259 |
| 8 | EXXON MOBIL CORP | $362M | 2,136,316 |
| 9 | ISHARES CORE S&P 500 ETF | $358M | 547,923 |
| 10 | BANK OF AMERICA CORP | $282M | 5,790,164 |
| 11 | FIFTH THIRD BANCORP | $261M | 5,612,136 |
| 12 | JOHNSON & JOHNSON | $260M | 1,064,304 |
| 13 | PHILIP MORRIS INTERNATIONAL | $256M | 1,546,551 |
| 14 | VISA INC-CLASS A SHARES | $253M | 837,287 |
| 15 | SCHWAB (CHARLES) CORP | $239M | 2,541,412 |
| 16 | CINCINNATI FINANCIAL CORP | $236M | 1,498,676 |
| 17 | MEDTRONIC PLC | $225M | 2,602,184 |
| 18 | TAIWAN SEMICONDUCTOR-SP ADR | $221M | 653,469 |
| 19 | TEXAS INSTRUMENTS INC | $201M | 1,036,439 |
| 20 | ORACLE CORP | $185M | 1,258,247 |
| 21 | BROADCOM INC | $180M | 580,017 |
| 22 | DEERE & CO | $163M | 290,035 |
| 23 | GOLDMAN SACHS GROUP INC | $162M | 191,990 |
| 24 | SALESFORCE INC | $160M | 855,312 |
| 25 | BRISTOL-MYERS SQUIBB CO | $158M | 2,605,927 |
| 26 | BECTON DICKINSON AND CO | $154M | 981,876 |
| 27 | MARKEL GROUP INC | $153M | 79,800 |
| 28 | APPLIED MATERIALS INC | $152M | 445,323 |
| 29 | BOEING CO/THE | $150M | 755,092 |
| 30 | TOUCHSTONE STRTG IN ETF-IUSD | $146M | 5,712,970 |
| 31 | UNITEDHEALTH GROUP INC | $128M | 474,885 |
| 32 | BERKSHIRE HATHAWAY INC-CL B | $128M | 267,701 |
| 33 | JONES LANG LASALLE INC | $123M | 404,872 |
| 34 | AIRBNB INC-CLASS A | $122M | 962,886 |
| 35 | COMCAST CORP-CLASS A | $118M | 4,111,230 |
| 36 | ISHARES RUSSELL 2500 ETF | $115M | 1,504,650 |
| 37 | PROCTER & GAMBLE CO/THE | $110M | 760,982 |
| 38 | CHEVRON CORP | $106M | 512,189 |
| 39 | LPL FINANCIAL HOLDINGS INC | $105M | 348,101 |
| 40 | WALT DISNEY CO/THE | $104M | 1,075,860 |
| 41 | INTL FLAVORS & FRAGRANCES | $104M | 1,427,599 |
| 42 | SS&C TECHNOLOGIES HOLDINGS | $102M | 1,512,934 |
| 43 | STANLEY BLACK & DECKER INC | $102M | 1,432,504 |
| 44 | TOUCHSTONE SECURITIZED INC | $101M | 3,900,413 |
| 45 | JPMORGAN CHASE & CO | $93M | 315,309 |
| 46 | CISCO SYSTEMS INC | $88M | 1,133,743 |
| 47 | LAS VEGAS SANDS CORP | $85M | 1,574,544 |
| 48 | HCA HEALTHCARE INC | $82M | 173,193 |
| 49 | HOME DEPOT INC | $81M | 246,600 |
| 50 | MONSTER BEVERAGE CORP | $80M | 1,108,817 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.