Universe · entity

Canal Capital Management, LLC

Institutional manager (13F) · CIK 1666733
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $603M
#IssuerValueShares
1OLD DOMINION FREIGHT LINE IN$73M374,203
2APPLE INC$32M128,014
3INVESCO QQQ TR$31M54,306
4MICROSOFT CORP$22M59,006
5ISHARES TR$21M195,567
6SCHWAB STRATEGIC TR$21M815,158
7ISHARES TR$17M145,178
8BROADCOM INC$17M54,800
9PHILIP MORRIS INTL INC$17M99,992
10SSGA ACTIVE ETF TR$16M409,472
11ALPHABET INC$15M50,501
12BERKSHIRE HATHAWAY INC DEL$14M29,488
13NVIDIA CORPORATION$14M79,990
14WALMART INC$14M112,063
15JPMORGAN CHASE & CO$14M46,502
16ALTRIA GROUP INC$13M199,001
17ISHARES TR$12M18,703
18BLACKSTONE INC$12M105,645
19JOHNSON & JOHNSON$12M47,152
20EXXON MOBIL CORP$11M65,662
21AMAZON COM INC$10M47,465
22ASML HLDG NV$10M7,314
23FERGUSON ENTERPRISES INC$9M37,361
24ISHARES TR$9M82,970
25QUALCOMM INC$8M65,302
26AT&T INC$8M285,451
27AMGEN INC$8M23,257
28VANGUARD INDEX FDS$8M13,217
29REALTY INCOME CORP$8M125,144
30DUKE ENERGY CORP NEW$7M56,520
31ELI LILLY & CO$7M7,886
32CRH PLC$7M67,914
33PPG INDS INC$7M66,676
34SSGA ACTIVE ETF TR$7M175,691
35PALO ALTO NETWORKS INC$7M43,810
36UNION PAC CORP$7M28,304
37VISA INC$7M22,629
38WATSCO INC$7M17,970
39HOME DEPOT INC$6M19,694
40ISHARES TR$6M14,866
41AMERICAN TOWER CORP$6M34,471
42ISHARES TR$6M81,937
43INTUIT$6M12,745
44TAIWAN SEMICONDUCTOR MANUFAC$5M15,931
45OREILLY AUTOMOTIVE INC$5M57,882
46MARTIN MARIETTA MATLS INC$5M8,534
47ALIBABA GROUP HLDG LTD$5M38,098
48WW GRAINGER INC$5M4,226
49INTUITIVE SURGICAL INC$5M9,861
50KKR & CO INC$4M48,159
All filings on EDGAR ↗

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