Universe · entity

BRADLEY FOSTER & SARGENT INC/CT

Institutional manager (13F) · CIK 1015086
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $4.6B
#IssuerValueShares
1J P Morgan Chase$283M963,155
2Alphabet Inc. Class A$283M984,334
3Microsoft$272M733,631
4Apple Inc$263M1,034,598
5Amazon.com$191M917,235
6Agnico Eagle Mines$187M919,553
7SPDR Gold Shares$174M404,058
8Exxon Mobil$133M781,581
9Thermo Fisher Scientific$126M256,560
10Berkshire Hathaway Cl B$126M263,113
11Costco$125M125,178
12Amphenol$112M886,118
13Nvidia Corp$104M593,861
14Deere$99M175,205
15SPDR S&P 500 ETF Index$98M151,127
16Analog Devices Inc$93M293,433
17GE Aerospace$84M294,930
18Marsh & McLennan$82M474,702
19Johnson & Johnson$82M334,993
20Conoco Phillips$82M617,917
21Liberty Media Corp Series C Fo$81M951,369
22Woodward Inc$77M214,392
23Caterpillar$73M103,659
24Mastercard Inc Cl A$69M137,535
25Pepsico$66M423,836
26RBC Bearings Inc$66M121,049
27Home Depot$66M199,746
28Chevron Corp$64M310,303
29Walmart$63M508,791
30Danaher$63M331,104
31Abbott Labs$63M611,016
32Northrop Grumman$63M91,815
33Sherwin-Williams$60M187,765
34IDEXX Labs$58M103,654
35Hubbell Inc$53M108,165
36Quanta Services$53M96,462
37McDonalds$52M166,105
38Alphabet Inc. Class C$50M174,783
39Abbvie Inc$49M223,125
40Alamos Gold Inc Cl A$46M1,026,135
41Union Pacific$44M179,917
42Cisco Systems$43M559,841
43American Express$41M136,315
44Boston Scientific$39M627,470
45Crane Co$38M223,238
46Broadcom Inc$37M119,067
47VanEck Vectors Gold Miners ETF$36M395,832
48RTX Corporation$34M178,758
49Merck$34M284,705
50Cadence Design Systems$34M122,148
All filings on EDGAR ↗

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