Universe · entity

M. Kraus & Co

Institutional manager (13F) · CIK 1593688
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $333M
#IssuerValueShares
1Alphabet Inc. Class C$29M100,238
2Microsoft Corp.$28M74,971
3Berkshire Hathaway - B$21M43,304
4L3 Harris Technologies$16M46,783
5RTX Corporation$15M77,572
6Thermo Fisher Scientific$15M29,856
7NextEra Energy, Inc.$12M132,057
8Norfolk Southern$12M41,872
9Johnson & Johnson$12M48,971
10Cisco Systems Inc.$12M153,464
11Rockwell Automation$11M31,595
12Ecolab Inc.$10M36,735
13Illinois Tool Works$10M37,412
14Church & Dwight Co.$9M100,016
15AbbVie Inc.$9M39,151
16Procter & Gamble$8M58,168
17PepsiCo Inc.$8M52,384
18Carrier Global Corp$8M140,843
19Abbott Laboratories$8M76,934
20Enbridge Inc.$8M142,413
21Linde Plc$8M15,413
22Broadcom Inc$7M23,539
23Apple Inc.$7M27,169
24Mondelez International$6M112,016
25MicrochipTechnology$6M89,330
26Republic Services, Inc.$4M16,557
27Verizon Communications$3M64,542
28ConocoPhillips$3M19,473
29J.P. Morgan Chase$3M8,727
30IBM$2M9,705
31Chevron Corp$2M9,629
32Amazon.com, Inc.$2M9,453
33Becton, Dickinson$2M12,425
34Disney, Walt$2M19,487
35Alphabet Inc. Class A$2M6,408
36Otis Worldwide Corp$2M23,115
37Eaton Corporation$1M3,857
38Merck & Co Inc.$1M10,698
39SPDR Gold Trust$1M2,865
40NVIDIA Corp.$1M6,648
41Amgen$857k2,436
42Lilly, Eli$852k926
43Midcap SPDR Trust Series 1$848k1,375
44Costco Companies, Inc.$820k823
45Exxon Mobil$813k4,789
46Home Depot$809k2,459
47MasterCard Inc.$756k1,513
48Walmart Inc$737k5,929
49iShares Russell 2000 ETF$701k2,825
50McDonald's Corp.$691k2,222
All filings on EDGAR ↗

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