Universe · entity

Vestcor Inc

Institutional manager (13F) · CIK 1536925
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $2M
#IssuerValueShares
1NVIDIA CORPORATION$114k654,675
2APPLE INC$91k358,718
3ISHARES INC$89k1,281,826
4MICROSOFT CORP$86k231,420
5AMAZON COM INC$60k286,613
6ALPHABET INC$47k162,260
7ALPHABET INC$43k150,984
8JOHNSON & JOHNSON$43k174,826
9AT&T INC$42k1,433,400
10BROADCOM INC$41k133,279
11VERIZON COMMUNICATIONS INC$37k739,460
12DUKE ENERGY CORP NEW$37k279,762
13META PLATFORMS INC$36k62,342
14CISCO SYS INC$31k401,691
15WELLTOWER INC$29k149,116
16WALMART INC$28k222,998
17CONSOLIDATED EDISON INC$27k242,322
18PROLOGIS INC.$27k201,468
19ISHARES TR$27k107,222
20FEDERATED HERMES INC$26k452,046
21COLGATE PALMOLIVE CO$26k300,303
22GILEAD SCIENCES INC$26k183,483
23ALTRIA GROUP INC$25k376,968
24PROCTER & GAMBLE CO$23k161,306
25PEPSICO INC$23k148,024
26MERCK & CO INC$23k187,073
27MASTERCARD INCORPORATED$22k44,634
28ISHARES TR$22k239,551
29NETFLIX INC.$22k230,133
30SOUTHERN CO$22k225,064
31TESLA INC$21k57,033
32KROGER CO$21k292,686
33PROGRESSIVE CORP$21k106,097
34EQUINIX INC$21k21,327
35AMERICAN TOWER CORP$21k121,118
36VERISIGN INC$21k83,810
37ELI LILLY & CO$20k22,217
38REALTY INCOME CORP$20k332,255
39ELECTRONIC ARTS INC$20k99,149
40EXXON MOBIL CORP$20k117,467
41T-MOBILE US INC$19k89,786
42VISA INC$19k61,279
43MCKESSON CORP$18k20,927
44PHILIP MORRIS INTL INC$18k107,834
45VICI PPTYS INC$18k644,158
46INTERNATIONAL BUSINESS MACHS$17k71,793
47ALLSTATE CORP$17k82,969
48LAM RESEARCH CORP$17k77,779
49MONSTER BEVERAGE CORP NEW$16k226,030
50GFL ENVIRONMENTAL INC$16k391,815
All filings on EDGAR ↗

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