Universe · entity
Moors & Cabot, Inc.
Institutional manager (13F) · CIK 1607239
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $1.2B
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | APPLE INC | $109M | 427,887 |
| 2 | NVIDIA CORPORATION | $97M | 553,620 |
| 3 | TEXAS PACIFIC LAND CORPORATI | $81M | 170,484 |
| 4 | MICROSOFT CORP | $75M | 201,588 |
| 5 | AMAZON COM INC | $48M | 231,666 |
| 6 | ALPHABET INC | $42M | 147,585 |
| 7 | JPMORGAN CHASE & CO | $37M | 125,682 |
| 8 | WALMART INC | $33M | 263,085 |
| 9 | EXXON MOBIL CORP | $32M | 188,561 |
| 10 | BROADCOM INC | $30M | 97,864 |
| 11 | JOHNSON & JOHNSON | $29M | 120,078 |
| 12 | VISA INC | $23M | 77,528 |
| 13 | TJX COS INC NEW | $23M | 142,942 |
| 14 | META PLATFORMS INC | $22M | 38,015 |
| 15 | ELI LILLY & CO | $21M | 23,250 |
| 16 | RTX CORPORATION | $21M | 109,449 |
| 17 | CHEVRON CORPORATION | $20M | 97,107 |
| 18 | INTERNATIONAL BUSINESS MACHS | $19M | 76,850 |
| 19 | ALPHABET INC | $18M | 63,449 |
| 20 | STATE STR SPDR S&P 500 ETF T | $18M | 27,922 |
| 21 | EATON CORP PLC | $17M | 48,400 |
| 22 | PROCTER & GAMBLE CO | $17M | 118,298 |
| 23 | NEXTERA ENERGY INC | $17M | 179,288 |
| 24 | BERKSHIRE HATHAWAY INC DEL | $16M | 34,395 |
| 25 | GRAYSCALE BITCOIN TRUST ETF | $16M | 311,393 |
| 26 | TESLA INC | $16M | 43,864 |
| 27 | PEPSICO INC | $16M | 101,796 |
| 28 | PALANTIR TECHNOLOGIES INC | $16M | 107,762 |
| 29 | LANDBRIDGE COMPANY LLC | $15M | 223,994 |
| 30 | ABBVIE INC | $15M | 70,291 |
| 31 | ENTERPRISE PRODS PARTNERS L | $15M | 403,430 |
| 32 | WILLIAMS COS INC | $15M | 202,211 |
| 33 | INVESCO QQQ TR | $14M | 24,871 |
| 34 | WASTE MGMT INC DEL | $14M | 59,477 |
| 35 | TAIWAN SEMICONDUCTOR MANUFAC | $14M | 40,126 |
| 36 | HOME DEPOT INC | $14M | 41,103 |
| 37 | EMERSON ELEC CO | $13M | 98,224 |
| 38 | RBB FD INC | $13M | 253,403 |
| 39 | PERMIAN BASIN RTY TR | $13M | 588,642 |
| 40 | PNC FINL SVCS GROUP INC | $12M | 58,810 |
| 41 | UNITED RENTALS INC | $12M | 16,490 |
| 42 | CATERPILLAR INC | $12M | 16,857 |
| 43 | MERCK & CO INC | $12M | 96,078 |
| 44 | ISHARES TR | $11M | 16,943 |
| 45 | SOFI TECHNOLOGIES INC | $11M | 684,669 |
| 46 | BLACKROCK INC | $10M | 9,975 |
| 47 | VANGUARD SPECIALIZED FUNDS | $10M | 44,379 |
| 48 | MICRON TECHNOLOGY INC | $9M | 27,683 |
| 49 | ADVANCED MICRO DEVICES INC | $9M | 44,615 |
| 50 | COSTCO WHOLESALE CORPORATION | $9M | 8,983 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.