Universe · entity

Capital Wealth Planning, LLC

Institutional manager (13F) · CIK 1566728
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $17.3B
#IssuerValueShares
1MICROSOFT CORP$928M2,507,605
2GOLDMAN SACHS GROUP INC$903M1,067,492
3APPLE INC$902M3,553,595
4RTX CORPORATION$889M4,607,925
5JPMORGAN CHASE & CO$845M2,873,074
6CATERPILLAR INC$840M1,186,096
7CHEVRON CORPORATION$800M3,865,516
8AMERICAN EXPRESS CO$795M2,629,848
9TJX COS INC NEW$744M4,656,885
10HOME DEPOT INC$720M2,189,130
11VISA INC$708M2,343,562
12CME GROUP INC$676M2,288,352
13MCDONALDS CORP$665M2,141,203
14AMGEN INC$652M1,852,716
15INTERNATIONAL BUSINESS MACHS$642M2,649,879
16WALMART INC$641M5,154,836
17MERCK & CO INC$543M4,516,730
18AGNICO EAGLE MINES LTD$499M2,459,250
19MARATHON PETE CORP$401M1,641,315
20FEDEX CORP$381M1,068,523
21SPDR SERIES TRUST$365M3,982,248
22COCA COLA CO$364M4,788,705
23DUKE ENERGY CORP NEW$359M2,740,814
24AMPLIFY ETF TR$327M3,268,487
25MEDTRONIC PLC$305M3,522,435
26NORFOLK SOUTHN CORP$258M898,374
27VERIZON COMMUNICATIONS INC$190M3,791,604
28NVIDIA CORPORATION$101M581,100
29FASTENAL CO$79M1,709,717
30ALPHABET INC$71M245,570
31INVESCO QQQ TR$71M122,186
32AMAZON COM INC$50M238,800
33META PLATFORMS INC$46M79,960
34TAIWAN SEMICONDUCTOR MANUFAC$42M125,558
35STATE STR SPDR S&P 500 ETF T$40M61,867
36NUTRIEN LTD$38M502,195
37BROADCOM INC$36M116,726
38TESLA INC$34M92,652
39BANK MONTREAL MEDIUM$32M234,353
40ALIBABA GROUP HLDG LTD$30M242,356
41CAMECO CORP$29M270,531
42MITSUBISHI UFJ FINANCIAL GRO$29M1,698,895
43ELI LILLY & CO$28M30,812
44AMERICA MOVIL SAB DE CV$27M1,044,181
45ASTRAZENECA PLC$26M133,597
46SUMITOMO MITSUI FIN GRP INC$26M1,305,755
47NETFLIX INC.$24M249,760
48BRITISH AMERN TOB PLC$24M405,797
49GRUPO CIBEST SA$23M316,858
50ENBRIDGE INC$22M411,812
All filings on EDGAR ↗

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