Universe · entity

Bollard Group LLC

Institutional manager (13F) · CIK 1556218
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $3M
#IssuerValueShares
1BOSTON SCIENTIFIC CORP$1M18,532,173
2ELI LILLY & CO$175k190,672
3CATERPILLAR INC$162k229,052
4AMAZON COM INC$157k754,187
5SOUTHERN COPPER CORP$148k861,950
6ALPHABET INC$123k427,725
7MICROSOFT CORP$105k284,246
8ONEOK INC NEW$65k721,832
9ENTERPRISE PRODS PARTNERS L$61k1,620,055
10GARTNER INC$58k364,462
11AMERICAN ELEC PWR CO INC$55k421,308
12JPMORGAN CHASE & CO$43k146,569
13MORGAN STANLEY$41k247,477
14WALMART INC$41k327,537
15MADISON SQUARE GRDN SPRT COR$39k121,000
16SOUTHERN CO$33k340,141
17THERMO FISHER SCIENTIFIC INC$31k62,107
18DEERE & CO$28k50,034
19CHEVRON CORPORATION$28k135,446
20PLAINS ALL AMERN PIPELINE L$27k1,215,856
21KKR & CO INC$26k281,313
22PUBLIC SVC ENTERPRISE GROUP$25k311,366
23NVIDIA CORPORATION$25k144,261
24EMERSON ELEC CO$24k181,815
25KINDER MORGAN INC DEL$24k705,676
26DUKE ENERGY CORP NEW$23k177,644
27MPLX LP$23k405,728
28PHILLIPS 66$20k109,270
29CONOCOPHILLIPS$20k148,455
30ENERGY TRANSFER L P$18k956,441
31VALERO ENERGY CORP$18k73,212
32BP PLC$17k360,216
33COCA COLA CO$17k221,331
34MERCK & CO INC$17k138,765
35APPLE INC$16k64,182
36JOHNSON & JOHNSON$14k55,723
37TESLA INC$13k35,264
38FIRSTENERGY CORP$13k247,847
39META PLATFORMS INC$12k20,514
40ENBRIDGE INC$12k214,621
41ALPHABET INC$11k37,402
42PHILIP MORRIS INTL INC$10k61,234
43GOLDMAN SACHS GROUP INC$10k11,768
44FORTIS INC$10k175,488
45VISA INC$10k31,929
46BANK AMERICA CORP$9k192,945
47TECTONIC THERAPEUTIC INC$9k302,953
48LOWES COS INC$9k37,563
49NISOURCE INC$8k177,189
50ABBOTT LABORATORIES$8k79,773
All filings on EDGAR ↗

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