Universe · entity

TWIN CAPITAL MANAGEMENT INC

Institutional manager (13F) · CIK 1059187
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $484M
#IssuerValueShares
1APPLE INC$54M211,698
2NVIDIA CORPORATION$48M276,570
3MICROSOFT CORP$39M104,124
4ALPHABET INC CAP STOCK CL A$31M108,436
5BROADCOM INC$24M78,145
6AMAZON.COM INC$24M113,653
7META PLATFORMS INC CL A$14M24,569
8ELI LILLY & CO$14M15,229
9JPMORGAN CHASE & CO$14M46,629
10TESLA INC$12M31,555
11EXXON MOBILE CORP$12M68,082
12JOHNSON & JOHNSON$10M42,493
13VISA INC CL A$8M26,682
14KLA CORP NEW$7M4,724
15CATERPILLAR INC$7M9,468
16VERIZON COMMUNICATIONS INC$7M130,596
17COSTCO WHOLESALE CORP$6M6,506
18GOLDMAN SACHS GROUP INC$6M7,481
19BERKSHIRE HATHAWAY INC CL B NE$6M12,844
20WAL-MART INC$6M48,586
21PROCTER AND GAMBLE CO$6M41,364
22MICRON TECHNOLOGY INC$6M17,113
23COCA-COLA CO$6M75,577
24AMGEN INC$6M15,910
25CHEVRON CORP$6M26,593
26QUANTA SERVICES INC$5M9,665
27ALPHABET INC CAP STOCK CL C$5M18,277
28MASTERCARD INCORPORATED CL A$5M10,075
29MERCK & CO INC$5M39,931
30BRISTOL-MYERS SQUIBB CO$5M78,220
31NETFLIX INC$5M49,215
32CISCO SYSTEMS INC$5M60,202
33ORACLE CORP$5M30,674
34GE AEROSPACE$4M15,623
35UNITEDHEALTH GROUP INC$4M16,367
36ADVANCED MICRO DEVICES INC$4M21,339
37ABBVIE INC$4M19,426
38LINDE PLC$4M8,441
39ABBOTT LABORATORIES$4M39,458
40RTX CORPORATION$4M20,996
41WELLS FARGO CO$4M49,837
423M CO$4M27,049
43PULTE GROUP INC$4M33,367
44NEXTERA ENERGY INC$4M41,724
45GILEAD SCIENCES INC$4M27,595
46CITIGROUP INC NEW$4M33,454
47CBRE GROUP INC CL A$4M27,775
48PALANTIR TECHNOLOGIES INC CL A$4M25,329
49CHARLES SCHWAB CORP$4M37,788
50LAM RESEARCH CORP NEW$4M16,606
All filings on EDGAR ↗

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