Universe · entity
Minot DeBlois Advisors LLC
Institutional manager (13F) · CIK 1475933
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $94M
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | VANGUARD SCOTTSDALE FDS VANGUARD SHORT-TERM CORPORATE BD INDEX FD ETF SHS | $10M | 125,354 |
| 2 | VANGUARD INDEX FUNDS S&P 500 ETF USD | $5M | 8,748 |
| 3 | VANGUARD SCOTTSDALE FDS INTER TERM TREAS | $5M | 85,587 |
| 4 | ISHARES CORE MSCI EMERGING MARKETS ETF | $4M | 63,933 |
| 5 | ISHARES TIPS BOND ETF | $4M | 39,231 |
| 6 | ALPHABET INC CAP STK CL C | $4M | 14,801 |
| 7 | APPLE INC | $4M | 15,111 |
| 8 | VANGUARD SMALL-CAP INDEX FUND | $3M | 13,198 |
| 9 | NVIDIA CORPORATION COM | $3M | 16,774 |
| 10 | MICROSOFT CORP | $3M | 7,862 |
| 11 | AMAZON.COM INC | $3M | 13,877 |
| 12 | VANGUARD INTL EQUITY INDEX FDS ALLWRLD EX US | $2M | 32,412 |
| 13 | VANGUARD DEVELOPED MARKETS INDEX FUND ETF | $2M | 26,771 |
| 14 | CHUBB LIMITED COM NPV ISIN #CH0044328745 | $2M | 4,619 |
| 15 | UNION PAC CORP COM | $1M | 6,040 |
| 16 | AMERICAN EXPRESS CO COM USD0.20 | $1M | 4,754 |
| 17 | ANALOG DEVICES INC COM | $1M | 4,518 |
| 18 | DANAHER CORPORATION COM | $1M | 7,495 |
| 19 | ASML HOLDING NV EUR0.09 NY REGISTRY SHS 2012 | $1M | 1,043 |
| 20 | JOHNSON &JOHNSON COM | $1M | 5,450 |
| 21 | PEPSICO INC | $1M | 8,466 |
| 22 | VANGUARD INTL EQUITY INDEX FDS FTSE SMCAP ETF | $1M | 8,982 |
| 23 | ECOLAB INC | $1M | 4,905 |
| 24 | TJX COMPANIES INC | $1M | 8,042 |
| 25 | ABBOTT LABORATORIES | $1M | 12,227 |
| 26 | NORTHERN TRUST CORP COM USD1.666 | $1M | 8,940 |
| 27 | AUTOMATIC DATA PROCESSING INC COM | $1M | 6,038 |
| 28 | CISCO SYSTEMS INC | $1M | 15,537 |
| 29 | EXXON MOBIL CORP COM | $1M | 6,966 |
| 30 | ACCENTURE PLC | $1M | 5,953 |
| 31 | NOVARTIS AG SPONSORED ADR | $1M | 7,556 |
| 32 | DISNEY WALT CO COM | $1M | 11,924 |
| 33 | META PLATFORMS INC CLASS A COMMON STOCK | $1M | 1,974 |
| 34 | WALMART INC COM | $1M | 8,094 |
| 35 | PROCTER AND GAMBLE CO COM | $1M | 6,933 |
| 36 | RTX CORPORATION COM USD1.00 | $1M | 5,190 |
| 37 | NEXTERA ENERGY INC COM USD0.01 | $999k | 10,752 |
| 38 | TRAVELERS COMPANIES INC COM STK NPV | $988k | 3,386 |
| 39 | ROCHE HOLDINGS ADR | $966k | 19,436 |
| 40 | VERIZON COMMUNICATIONS INC | $892k | 17,762 |
| 41 | NESTLE ADR | $888k | 8,957 |
| 42 | SALESFORCE INC COM | $818k | 4,381 |
| 43 | VANGUARD SPECIALIZED FUNDS DIV APP ETF | $800k | 3,720 |
| 44 | SLB LIMITED TRADING | $796k | 15,499 |
| 45 | HONEYWELL INTERNATIONAL INC COM USD1 | $794k | 3,515 |
| 46 | PFIZER INC | $773k | 27,514 |
| 47 | ISHARES TR GL CLEAN ENE ETF | $751k | 41,035 |
| 48 | XYLEM INC COM USD0.01 | $743k | 6,220 |
| 49 | ROGERS COMMUNICATIONS INC ISIN #CA7751092007 SEDOL #2169051 | $705k | 18,333 |
| 50 | NUTRIEN LTD COM NPV ISIN #CA67077M1086 SEDOL #BDRJLN0 | $682k | 9,037 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.