Universe · entity

EVERETT HARRIS & CO /CA/

Institutional manager (13F) · CIK 1009254
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $7.3B
#IssuerValueShares
1Apple, Inc.$1.0B4,111,105
2Berkshire Hathaway Class A$1.0B1,415
3Costco Companies Inc.$775M777,695
4Alphabet, Class C$555M1,934,952
5Microsoft Corp.$539M1,455,311
6Berkshire Hathaway Class B$306M639,033
7Novo Nordisk ADR$236M6,424,661
8Amazon.com$213M1,022,546
9Vanguard Health Care ETF$198M726,205
10TJX Companies, Inc.$180M1,125,807
11Alphabet, Class A$160M556,124
12Abbott Laboratories$149M1,452,736
13Bank of America Corp.$135M2,759,483
14McDonalds Corp.$121M390,714
15Johnson & Johnson$115M469,924
16Chevron Corporation$112M540,496
17AbbVie Inc.$112M513,391
18Walt Disney Company$111M1,155,727
19Wal Mart Stores, Inc.$92M741,737
20Becton Dickinson & Co$87M553,962
21Starbucks Corp.$86M959,017
22Unilever Plc ADR$80M1,407,521
23Accenture Ltd. - Cl A$73M368,124
24Colgate-Palmolive Co.$66M779,877
25Pepsico Incorporated$57M368,214
26Nike Inc Class B$55M1,035,830
27Comcast Corp CL A$44M1,532,081
28American Water Works$42M307,236
29Shell PLC$40M432,646
30Home Depot$34M104,684
31FactSet Research Systems, Inc.$33M152,737
32Lockheed Martin Corp.$30M49,741
33Taiwan Semiconductor - Spons A$29M85,342
34Vanguard Growth ETF$29M65,810
35Expeditors International of Wa$29M200,645
36Verizon Communications$27M544,196
37Merck & Company Inc.$27M221,455
38Progressive Corp$26M131,246
39Exxon Mobil$23M136,796
40RTX Corporation$22M113,162
41Union Pacific Corp.$22M89,880
42Waters Corporation$21M71,970
43Charles Schwab Corp.$21M226,355
44Mastercard Inc$21M42,161
45Ecolab, Inc.$20M73,557
46Jacobs Solutions Inc$19M150,363
47Bank of America Corp.$17M14,225
48Anheuser-Busch InBev NV - Spon$17M238,473
49Labcorp Holdings Inc$15M55,940
50Henry Schein Inc$14M183,262
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.