Universe · entity
DIAMANT ASSET MANAGEMENT, INC.
Institutional manager (13F) · CIK 1731124
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $129M
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | APPLE INC COM | $27M | 26,614,323 |
| 2 | ALPHABET INC CAP STK CL A | $9M | 9,291,926 |
| 3 | VISA INC COM CL A | $7M | 7,332,947 |
| 4 | MICROSOFT CORP COM | $7M | 6,810,388 |
| 5 | COSTCO WHOLESALE CORPORATION COM | $7M | 6,726,899 |
| 6 | JOHNSON & JOHNSON COM | $4M | 4,473,008 |
| 7 | LEIDOS HOLDINGS INC COM | $4M | 4,156,784 |
| 8 | PROGRESSIVE CORP COM | $4M | 4,068,876 |
| 9 | LINCOLN ELEC HLDGS INC COM | $4M | 3,839,568 |
| 10 | TJX COS INC NEW COM | $4M | 3,779,983 |
| 11 | ABBVIE INC COM | $4M | 3,671,231 |
| 12 | PEPSICO INC COM | $4M | 3,586,423 |
| 13 | CATERPILLAR INC COM | $3M | 3,140,603 |
| 14 | MCDONALDS CORP COM | $3M | 2,596,340 |
| 15 | COLGATE PALMOLIVE CO COM | $2M | 2,359,166 |
| 16 | HOME DEPOT INC COM | $2M | 2,342,026 |
| 17 | WALMART INC COM | $2M | 2,259,410 |
| 18 | HONEYWELL INTL INC COM | $2M | 2,197,464 |
| 19 | EXXON MOBIL CORP COM | $2M | 2,183,864 |
| 20 | MERCK & CO INC COM | $2M | 2,068,387 |
| 21 | NIKE INC CL B | $2M | 1,879,124 |
| 22 | ULTA BEAUTY INC COM | $1M | 1,474,042 |
| 23 | PROCTER & GAMBLE CO COM | $1M | 1,241,173 |
| 24 | CHEVRON CORPORATION COM | $1M | 1,095,949 |
| 25 | VERIZON COMMUNICATIONS INC COM | $1M | 1,089,842 |
| 26 | GE AEROSPACE COM NEW | $1M | 1,083,434 |
| 27 | ELI LILLY & CO COM | $1M | 1,070,612 |
| 28 | MCCORMICK & CO INC COM NON VTG | $1M | 1,046,630 |
| 29 | JPMORGAN CHASE & CO COM | $993k | 993,084 |
| 30 | UNION PAC CORP COM | $933k | 932,874 |
| 31 | PACKAGING CORP AMER COM | $893k | 893,446 |
| 32 | PENSKE AUTOMOTIVE GRP INC COM | $884k | 884,411 |
| 33 | LOCKHEED MARTIN CORP COM | $879k | 879,387 |
| 34 | BOEING CO COM | $872k | 872,348 |
| 35 | GE HEALTHCARE TECHNOLOGIES INC COMMON COM | $797k | 797,216 |
| 36 | WASTE MGMT INC DEL COM | $771k | 770,945 |
| 37 | HEICO CORP NEW COM | $764k | 763,647 |
| 38 | PHILIP MORRIS INTL INC COM | $711k | 710,962 |
| 39 | SPDR GOLD SHARES | $697k | 697,070 |
| 40 | GENERAC HLDGS INC COM | $666k | 666,075 |
| 41 | DISNEY WALT CO COM | $618k | 617,989 |
| 42 | DEERE & CO COM | $611k | 610,617 |
| 43 | UNITEDHEALTH GROUP INC COM | $570k | 569,592 |
| 44 | CONSOLIDATED EDISON INC COM | $563k | 563,071 |
| 45 | BRIDGEBIO PHARMA INC COM | $527k | 527,246 |
| 46 | FEDEX CORP COM | $519k | 519,310 |
| 47 | NVIDIA CORPORATION COM | $497k | 497,040 |
| 48 | MARRIOTT INTL INC NEW CL A | $491k | 490,605 |
| 49 | JOHNSON CTLS INTL PLC SHS | $480k | 480,456 |
| 50 | TRUIST FINL CORP COM | $472k | 472,388 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.