Universe · entity

EADS & HEALD WEALTH MANAGEMENT

Institutional manager (13F) · CIK 1035912
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $130M
#IssuerValueShares
1Nvidia$6M37,088
2Walmart$4M33,304
3Lam Research$4M18,937
4Costco$4M3,569
5Apple$3M13,650
6J.P. Morgan Chase$3M11,447
7Amphenol$3M26,511
8Analog Devices$3M9,895
9Amazon.com$3M14,680
10W.W. Grainger$3M2,655
11Chevron Corp.$3M13,876
12Caterpillar$3M4,039
13Alphabet Class A$3M9,821
14ExxonMobil$3M16,520
15Cencora$3M8,912
16Broadcom$3M8,823
17American Express$3M8,944
18AFLAC$3M24,329
19Amgen$3M7,574
20O'Reilly Auto$3M27,826
21Stryker$3M7,793
22Emerson Electric$3M19,523
23Expeditors Int'l$3M17,597
24Visa$2M8,213
25Illinois Tool Works$2M9,481
26Johnson & Johnson$2M9,754
27Hubbell$2M4,832
28Netflix$2M24,120
29PepsiCo$2M14,710
30Cisco Systems$2M28,756
31Fastenal Co.$2M47,246
32McDonalds$2M7,053
33Microsoft$2M5,873
34Church & Dwight$2M23,081
35Thermo Fisher Scientific$2M4,331
36Oracle Corp.$2M14,360
37Procter & Gamble$2M14,624
38Northrop Grumman$2M3,057
39Snap-on$2M5,653
40AbbVie$2M9,268
41Sherwin-Williams$2M6,240
42Air Products & Chem.$2M6,862
43Ecolab$2M7,476
44Advanced Micro$2M9,757
45Carlisle$2M5,855
46RTX Corp.$2M10,096
47Booking Holdings$2M461
48NextEra Energy$2M20,532
49Colgate Palmolive$2M21,303
50Automatic Data Processing$2M8,210
All filings on EDGAR ↗

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