Universe · entity
Douglas Lane & Associates, LLC
Institutional manager (13F) · CIK 1672594
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $4.6B
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | NVIDIA CORP | $269M | 1,542,500 |
| 2 | ALPHABET INC CAP STK CL C | $227M | 790,685 |
| 3 | JPMORGAN CHASE & CO | $175M | 596,561 |
| 4 | JOHNSON & JOHNSON | $164M | 672,703 |
| 5 | MORGAN STANLEY NEW | $129M | 781,579 |
| 6 | MICROSOFT CORP | $128M | 344,925 |
| 7 | QUALCOMM INC | $126M | 976,819 |
| 8 | REINSURANCE GROUP AMERICA INC | $111M | 545,633 |
| 9 | GE AEROSPACE NEW | $110M | 388,703 |
| 10 | EQUINIX INC | $109M | 111,075 |
| 11 | AMAZON.COM INC | $108M | 519,867 |
| 12 | DELTA AIR LINES INC NEW | $108M | 1,624,083 |
| 13 | THERMO FISHER SCIENTIFIC INC | $107M | 218,297 |
| 14 | VISA INC CL A | $105M | 347,585 |
| 15 | AIR PRODUCTS & CHEMICALS INC | $100M | 345,853 |
| 16 | CHEVRON CORP NEW | $100M | 484,737 |
| 17 | NESTLE S A SPON ADR | $98M | 1,004,362 |
| 18 | BRISTOL-MYERS SQUIBB CO | $95M | 1,574,502 |
| 19 | TRANSDIGM GROUP INC | $95M | 82,143 |
| 20 | FREEPORT-MCMORAN INC CL B | $90M | 1,525,253 |
| 21 | MASTERCARD INC CL A | $87M | 175,115 |
| 22 | AMERICAN EXPRESS CO | $87M | 287,640 |
| 23 | DANAHER CORP | $83M | 439,080 |
| 24 | HERSHEY CO | $82M | 396,307 |
| 25 | BOEING CO | $82M | 409,857 |
| 26 | PEPSICO INC | $78M | 504,616 |
| 27 | EXXON MOBIL CORP | $78M | 461,527 |
| 28 | AMERICAN TOWER CORP NEW | $76M | 437,647 |
| 29 | US BANCORP DEL NEW | $75M | 1,438,749 |
| 30 | RBC BEARINGS INC | $74M | 135,909 |
| 31 | COCA COLA CO | $74M | 968,835 |
| 32 | BLACKSTONE INC | $70M | 605,632 |
| 33 | ELANCO ANIMAL HEALTH INC | $68M | 2,847,152 |
| 34 | MERCK & CO INC | $68M | 561,892 |
| 35 | INGERSOLL-RAND PLC SHS | $67M | 837,518 |
| 36 | HALEON PLC ADR | $67M | 6,693,783 |
| 37 | APTIV PLC | $67M | 964,285 |
| 38 | MODERNA INC | $67M | 1,311,480 |
| 39 | EOG RESOURCES INC | $66M | 457,393 |
| 40 | BANK OF AMERICA CORP | $64M | 1,307,175 |
| 41 | SLB LIMITED | $63M | 1,230,656 |
| 42 | ALCOA CORP | $62M | 939,453 |
| 43 | LAMB WESTON HOLDINGS INC | $60M | 1,430,629 |
| 44 | COMCAST CORP NEW CL A | $60M | 2,098,111 |
| 45 | TECK RESOURCES LTD CL B | $60M | 1,155,685 |
| 46 | META PLATFORMS INC CL A | $60M | 104,253 |
| 47 | SALESFORCE INC | $57M | 305,552 |
| 48 | ROPER TECHNOLOGIES INC | $57M | 160,103 |
| 49 | GODADDY INC CL A | $56M | 681,211 |
| 50 | GSK PLC SPONSORED ADR | $56M | 1,009,401 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.