Universe · entity

Callahan Advisors, LLC

Institutional manager (13F) · CIK 1395055
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $979M
#IssuerValueShares
1Alphabet Inc Class C$71M247,326
2Meta Platforms Inc Class A$58M101,838
3Amazon Com Inc$49M233,763
4Microsoft Corp$47M126,164
5Apple Computer Inc$36M140,543
6Chubb Ltd F$32M99,365
7Caterpillar Inc$31M44,440
8NVIDIA Corp$30M171,285
9Berkshire Hathaway Cl B$29M59,689
10Brookfield Corp$29M705,673
11NextEra Energy, Inc$28M302,960
12JPMorgan Chase & Co.$28M95,408
13Johnson & Johnson$27M109,484
14EQT Corp$24M373,778
15Applied Materials Inc$23M67,115
16Booking Holdings Inc$22M5,196
17Exxon Mobil Corp$22M128,892
18FedEx Corporation$22M61,286
19Pepsico Incorporated$21M132,726
20McDonalds Corp$20M64,215
21Mastercard Inc$19M37,878
22Eli Lilly & Company$19M20,163
23A S M L Holding Nv New$18M13,511
24Walmart Inc$17M135,358
25Chevron Corp$16M78,436
26Stryker Corp$16M49,373
27Pfizer Incorporated$16M562,533
28Procter & Gamble Co$14M99,526
29Taiwan Semiconductr Adrf$14M41,377
30Lowes Companies Inc$14M57,282
31Corteva Inc$11M136,550
32Fortinet Inc$11M135,586
33United Healthcare Cor$10M38,432
34Kinder Morgan Inc$10M310,013
35Netflix Inc$10M107,432
36Steris Corp$10M45,914
37Dycom Industries Inc$10M28,129
38Eaton Corporation$9M25,811
39Welltower Inc$8M42,367
40Paychex Inc$8M89,091
41United Rentals Inc$8M10,975
42MSCI Inc$8M14,530
43Alphabet Inc Class A$8M27,028
44Abbott Laboratories$8M74,902
45Iqvia Holdings Inc$8M44,491
46CVS Health Corporation$7M103,082
47Primerica Inc$6M25,340
48Eagle Materials Inc$6M32,547
49Enbridge Inc$6M112,545
50Stellar Bancorp Inc$6M162,161
All filings on EDGAR ↗

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