Universe · entity

A. D. Beadell Investment Counsel, Inc.

Institutional manager (13F) · CIK 1569102
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $134k
#IssuerValueShares
1Primoris Services Co$7k52,325
2Taiwan Semiconductor$7k22,053
3VanEck Gold Miners ETF$7k79,202
4Enterprise Prd Prtnrs Lp$6k154,910
5Kinder Morgan Inc$5k145,240
6Plains Group Hldgs LP$4k162,075
7Raytheon Technologies Co$4k20,395
8Pembina Pipeline Corp$4k86,255
9Alphabet Inc Cl A$4k12,825
10Brookfield Renewable Corp$4k91,160
11Merck & Co Inc$4k30,013
12Air Products and Chemicals$3k11,947
13Barrick Mining Corp$3k83,430
14Sprott Physical Gold ETV$3k87,283
15Essential Utilities$3k76,790
16Amazon.com Inc$3k14,700
17Aberdeen Phys Swiss Gold$3k67,275
18Sempra Energy$3k29,170
19Abbott Laboratories$3k27,097
20Lockheed Martin Corp$3k4,540
21Quanta Services Inc$3k4,811
22Medtronic Inc$3k29,735
23Proshares Short S&P$3k67,825
24Apple Inc$3k10,062
25Chubb Ltd$2k7,420
26Morgan Stanley$2k14,631
27Enbridge Inc$2k42,701
28Microsoft Corp$2k5,835
29Jacobs Solutions Inc$2k15,790
30Becton Dickinson & Co$2k12,761
31Royal Gold Inc.$2k7,277
32Vanguard Short-Term Corp$2k23,001
33Portland General Elec$2k33,035
34Pepsico Inc$2k10,739
35iShares 1-5 Yr Invst Grd Bond$2k30,100
36Sprott Physical Gold & Silver$1k30,575
37Chevron Corp$1k6,919
38Johnson & Johnson$1k5,805
39Pfizer Incorporated$1k50,296
40Vanguard Intrmd-Term Tax-Exempt Bond$1k13,825
41Astrazeneca PLC$1k6,975
42Communications Services ETF$1k11,780
43Stryker Corp$1k3,820
44Novo-Nordisk A-S$1k33,838
45Northrop Grumman Co$1k1,747
46SPDR Gold Shares ETF$1k2,730
47Lab Corp. of America$1k4,344
48Emera Inc$1k22,105
49Int'l Flavors & Fragrances$1k14,920
50AES Corp$99870,850
All filings on EDGAR ↗

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