Universe · entity

Ramsay, Stattman, Vela & Price, Inc.

Institutional manager (13F) · CIK 1541399
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $486M
#IssuerValueShares
1Apple Inc.$38M151,086
2Microsoft Corp.$37M99,945
3Nvidia Corp.$31M177,333
4Alphabet Inc. Cl. C$25M86,756
5Berkshire Hathaway Cl. B$21M44,587
6Amazon.com$18M84,884
7Visa Inc.$16M53,738
8Johnson & Johnson$16M66,263
9Stryker Corp.$14M43,548
10Costco Wholesale$13M12,596
11PepsiCo, Inc.$12M80,053
12Procter & Gamble$12M81,619
13Illinois Tool Works$12M44,994
14Alphabet Inc. Cl. A$11M39,872
15Danaher Corp.$11M59,817
16Home Depot Inc.$11M34,400
17Automatic Data Proc.$11M52,367
18Abbott Laboratories$11M102,369
19Coca-Cola Co.$10M137,057
20Emerson Electric$10M75,651
21S&P Core Mid-Cap iShares$9M139,030
22Linde plc$8M16,954
23Applied Materials$8M24,570
24Russell 2000 iShares$8M33,503
25Chevron Corp.$8M39,435
26Thermo Fisher Scientific$8M16,016
27Cisco Systems$7M87,536
28Nestle S.A. ADR$6M60,046
29MSCI EAFE iShares$6M58,983
30Starbucks Corp.$5M61,219
31ASML Holding N.V.$5M4,009
32Walt Disney Co.$5M51,484
33Palo Alto Networks$5M28,970
34Air Products$5M15,953
35SPDR S&P 500$5M7,092
36Tesla Inc.$4M12,035
37FedEx Corp.$4M12,504
38Becton Dickinson$4M26,774
39Exxon Mobil Corp.$4M23,733
40Colgate-Palmolive$4M43,286
41Nike, Inc.$4M68,352
42Vanguard Shrt-Trm Corp. Bond ETF$3M38,437
43JPMorgan Chase$3M9,795
44Adobe Inc.$3M11,255
45McCormick & Co.$3M52,628
46McDonald's Corp.$2M7,490
47IDEXX Laboratories$2M4,011
48PNC Financial Services$2M10,000
49S&P Core Small-Cap iShares$2M16,605
50Merck & Co.$2M16,225
All filings on EDGAR ↗

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