Universe · entity

Point Windward Advisors Inc.

Institutional manager (13F) · CIK 1356202
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $164M
#IssuerValueShares
1BLACKSTONE INC$7M61,385
2APPLE INC$6M23,735
3AMAZON COM INC$6M28,586
4ALPHABET INC$6M19,990
5ABBVIE INC$5M22,975
6META PLATFORMS INC$5M8,349
7BROADCOM INC$5M14,869
8SELECT SECTOR SPDR TR$4M33,527
9APPLIED MATLS INC$4M12,548
10MICROSOFT CORP$4M11,360
11MERCK & CO INC$4M33,989
12UBER TECHNOLOGIES INC$4M54,503
13NEXTERA ENERGY INC$4M42,160
14DIGITAL RLTY TR INC$4M20,348
15NETFLIX INC.$4M37,721
16EATON CORP PLC$4M10,090
17EXPEDIA GROUP INC$4M15,505
18TJX COS INC NEW$4M22,349
19UNITEDHEALTH GROUP INC$3M12,620
20FREEPORT MCMORAN INC$3M56,525
21NVIDIA CORPORATION$3M18,602
22FIRST SOLAR INC$3M16,136
23JPMORGAN CHASE & CO$3M10,638
24DISNEY WALT CO$3M30,490
25JOHNSON & JOHNSON$3M11,985
26MEDTRONIC PLC$3M33,594
27VISA INC$3M9,590
28HOME DEPOT INC$3M8,730
29MICRON TECHNOLOGY INC$3M8,472
30COCA COLA CO$3M37,044
31INTERNATIONAL BUSINESS MACHS$3M11,616
32ORACLE CORP$3M18,984
33BOEING CO$3M13,680
34WALMART INC$3M21,735
35BOEING CO$3M39,429
36SALESFORCE INC$3M13,665
37ADVANCED MICRO DEVICES INC$3M12,325
38DOMINION ENERGY INC$2M40,121
39GE HEALTHCARE TECHNOLOGIES I$2M33,118
40SELECT SECTOR SPDR TR$2M20,926
41PROCTER & GAMBLE CO$2M14,809
42SELECT SECTOR SPDR TR$2M19,216
43CATERPILLAR INC$2M3,000
44VICI PPTYS INC$2M76,303
45PFIZER INC$2M69,196
46THERMO FISHER SCIENTIFIC INC$2M3,951
47MCDONALDS CORP$2M6,177
48ALBEMARLE CORP$2M10,605
49FEDEX CORP$2M5,327
50WILLIAMS COS INC$2M23,853
All filings on EDGAR ↗

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