Universe · entity

Kidder Stephen W

Institutional manager (13F) · CIK 1314377
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $331M
#IssuerValueShares
1APPLE$35M137,468
2ALPHABET INC CL A$22M77,489
3JOHNSON AND JOHNSON$16M66,561
4NVIDIA CORP$15M85,862
5ANALOG DEVICES$14M45,214
6AMAZON.COM$13M63,816
7MICROSOFT$13M35,005
8RTX CORPORATION$13M65,461
9MASTERCARD$13M25,152
10TJX COS$11M70,310
11ADVANCED MICRO DEVICES$11M54,241
12AUTOMATIC DATA PROCESSING$10M50,151
13ABBOTT LABS$9M89,712
14HOME DEPOT$9M27,898
15PROCTER & GAMBLE$9M61,142
16ROCKWELL AUTOMATION$8M23,481
17SCHNEIDER ELEC SA ADR$8M141,761
18APTARGROUP$8M61,023
19APPLIED MATERIAL$8M22,265
20CHEVRON$7M33,935
21DANAHER CORP$7M35,809
22ELI LILLY & CO$6M6,661
23XYLEM INC$6M48,900
24VERTEX PHARMACEUTICALS$6M12,716
25CANADIAN NATL RAILWAY$4M41,440
26AMERICAN EXPRESS$4M13,730
27UBER TECHNOLOGIES INC$4M55,100
28DEERE & CO$4M6,550
29CHARLES SCHWAB$4M38,310
30EXXON MOBIL$3M20,622
31FISERV$3M60,980
32BROADCOM INC$3M10,456
33JPMORGAN CHASE$3M9,803
34ABBVIE$3M12,481
35UNITEDHEALTH GROUP$2M8,340
36BERKSHIRE HATHAWAY CL B$2M3,666
37BANK OF AMERICA$1M30,265
38WASTE CONNECTIONS INC NEW$1M8,978
39PEPSICO$1M9,238
40WAL-MART STORES$1M11,440
41MERCK$1M9,608
42BOEING$1M5,600
43UNION PACIFIC$951k3,920
44NEXTERA ENERGY$913k9,825
45INTEL$860k19,485
46ALPHABET INC CL C$810k2,825
473M$808k5,562
48GABELLI UTILITES FUND CLASS A$739k138,714
49SPDR S&P 500 ETF$699k1,075
50GOLDMAN SACHS GROUP$694k820
All filings on EDGAR ↗

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