Universe · entity

Baldwin Investment Management, LLC

Institutional manager (13F) · CIK 1346378
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $721M
#IssuerValueShares
1Berkshire Hathaway Inc A$399M555
2Broadcom Limited$22M71,361
3Nvidia Corp$20M114,277
4Lam Research Corp$19M88,594
5Apple Inc$18M70,571
6J.P. Morgan Chase & Co$14M48,174
7Microsoft Corp$12M32,974
8Costco Wholesale Corp$12M11,581
9Eli Lilly & Company$10M10,940
10Alphabet Inc Class A$10M33,454
11Exxon Mobil Corporation$9M55,219
12Berkshire Hathaway Inc B$9M19,428
13Amazon.com Inc$9M41,916
14RTX Corp$9M44,529
15Enterprise Products Partners$7M191,838
16Vertex Pharmaceuticals$7M15,662
17Visa Inc.$6M21,372
18Abbvie Inc$6M28,449
19Vertiv Holdings Co$6M24,092
20Caterpillar Inc$6M8,040
21Taiwan Semiconductor Manufacturing ADR$6M16,672
22Linde PLC$6M11,242
23Vanguard S&P 500 Etf$5M9,177
24Goldman Sachs Group Inc$5M6,256
25Intuitive Surgical$5M10,825
26S&P Global Inc$5M11,137
27Eaton Corp$5M12,950
28Blackrock Inc$4M4,617
29Baker Hughes Co$4M72,062
30Johnson & Johnson$4M17,653
31Alphabet Inc Class C$4M14,951
32Palo Alto Networks$4M26,583
33Abbott Laboratories$4M39,819
34Thermo Fisher Scientific$4M8,102
35Home Depot Inc$4M11,628
36Rockwell Automation$4M10,377
37Nextera Energy$3M37,608
38Morgan Stanley & Co$3M19,501
39Union Pacific Corp$3M12,778
40TJX Inc$3M18,271
41Capital One Financial$3M15,882
42Vanguard Total Stock Market ETF$3M8,480
43Zoetis Inc$3M21,952
44Autodesk Inc$3M10,657
45Waste Management Inc$2M10,746
46Lowes Companies Inc$2M10,232
47Darden Restaurants Inc$2M11,971
48McDonald's Corp$2M7,283
49Danaher Corp$2M11,900
50Deere & Co$2M3,785
All filings on EDGAR ↗

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