Universe · entity

Ipswich Investment Management Co., Inc.

Institutional manager (13F) · CIK 1463753
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $329M
#IssuerValueShares
1MICROSOFT CORP$23M61,565
2APPLE INC$21M84,074
3ALPHABET INC$16M55,554
4EXXON MOBIL CORP$15M85,509
5COSTCO WHOLESALE CORPORATION$14M14,090
6ISHARES TR$14M36,841
7JPMORGAN CHASE & CO$13M44,866
8NVIDIA CORPORATION$12M71,345
9CATERPILLAR INC$11M15,769
10AMAZON COM INC$10M48,331
11JOHNSON & JOHNSON$9M36,911
12VISA INC$8M26,690
13CHEVRON CORPORATION$8M36,629
14ASML HLDG NV$8M5,713
15TJX COS INC NEW$7M46,699
16TEXAS INSTRS INC$7M36,779
17PROGRESSIVE CORP$6M32,164
18LINDE PLC$6M12,537
19MARSH & MCLENNAN COS INC$6M35,727
20TEXAS PACIFIC LAND CORPORATI$6M12,575
21WATSCO INC$6M16,292
22ELI LILLY & CO$6M6,297
23MERCK & CO INC$6M46,912
24AMGEN INC$6M15,820
25PALO ALTO NETWORKS INC$6M34,456
26ONEOK INC NEW$5M59,426
27CHUBB LTD SWITZ$5M16,426
28PROCTER & GAMBLE CO$5M36,252
29CAMECO CORP$5M41,748
30ALPHABET INC$4M15,332
31AMRIZE LTD$4M77,806
32ACCENTURE PLC IRELAND$4M19,006
33ISHARES TR$4M5,731
34NETFLIX INC.$3M34,404
35BROOKFIELD INFRASTRUCTURE CO$3M79,815
36PEPSICO INC$3M19,477
37COCA COLA CO$3M38,158
38RTX CORPORATION$3M13,512
39INTERNATIONAL BUSINESS MACHS$3M10,733
40STERIS PLC$3M11,681
41ABBVIE INC$3M11,696
42APPLIED MATLS INC$3M7,366
43CUMMINS INC$2M4,622
44GE AEROSPACE$2M8,583
45EMERSON ELEC CO$2M17,349
46HONEYWELL INTL INC$2M10,007
47DUKE ENERGY CORP NEW$2M16,750
48UNION PAC CORP$2M9,025
49NOVARTIS AG$2M13,835
50LANDBRIDGE COMPANY LLC$2M30,379
All filings on EDGAR ↗

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