Universe · entity

First Long Island Investors, LLC

Institutional manager (13F) · CIK 1490429
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $1.2B
#IssuerValueShares
1NVIDIA CORPORATION COM$60M346,104
2MICROSOFT CORP COM$59M160,039
3AMAZON COM INC COM$57M274,786
4PARKER HANNIFIN CORP COM$54M60,040
5ALPHABET INC CAP STK CL A$50M174,196
6AMPHENOL CORP NEW CL A$46M360,767
7VISA INC COM CL A$43M143,050
8LILLY ELI & CO COM$41M44,075
9TAIWAN SEMICONDUCTOR MFG LTD S$40M117,078
10ABBOTT LABS COM$39M381,973
11BROADCOM LTD SGD$37M119,312
12LOWES COS INC COM$37M156,029
13JPMORGAN CHASE & CO COM$34M116,308
14MASTERCARD INCORPORATED CL A$33M65,357
15APPLE INC COM$29M114,242
16META PLATFORMS INC CL A$28M48,628
17JOHNSON & JOHNSON COM$27M112,213
18PHILIP MORRIS INTL INC COM$26M159,206
19ABBVIE INC COM$26M118,369
20AMGEN INC COM$25M69,987
21WILLIAMS SONOMA INC COM$24M130,608
22FASTENAL CO COM$23M500,240
23AUTOMATIC DATA PROCESSING INC$22M109,717
24BLACKROCK INC COM$21M21,467
25UBER TECHNOLOGIES INC$20M281,940
26EATON CORP PLC SHS$20M55,013
27BLACKSTONE INC$19M164,312
28NEXTERA ENERGY INC$17M187,315
29QUALCOMM INC COM$17M132,756
30FAIR ISAAC CORP$17M15,626
31US BANCORP DEL COM NEW$17M318,588
32ALPHABET INC CAP STK CL C$17M57,695
33PEPSICO INC COM$16M104,734
34MCDONALDS CORP COM$16M50,998
35CDN NATL RAILWAY CO CAD$15M150,434
36LONDON STOCK EXCHANGE GROUP SP$14M484,756
37ILLINOIS TOOL WKS INC COM$14M55,023
38UNITEDHEALTH GROUP INC COM$14M52,640
39INTUIT COM$14M31,873
40HOME DEPOT INC COM$14M41,361
41ZOETIS INC CL A$13M108,517
42SPOTIFY TECHNOLOGY$12M25,616
43PAYCHEX INC$12M127,152
44CAPITAL ONE FINL CORP COM$11M58,666
45NETFLIX INC COM$9M96,160
46GE VERNOVA LLC COM$9M10,287
47SYNOPSYS INC$9M21,475
48INTUITIVE SURGICAL INC$5M11,600
49CADENCE DESIGN SYS INC$5M16,329
50SCHWAB CHARLES CORP NEW COM$559k5,953
All filings on EDGAR ↗

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