Universe · entity

Providence Wealth Advisors, LLC

Institutional manager (13F) · CIK 1744955
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $147M
#IssuerValueShares
1ELI LILLY AND CO$12M12,520
2APPLE INC$11M44,592
3CATERPILLAR INC$8M11,190
4MICROSOFT CORP$8M21,001
5BROADCOM INC$7M21,791
6JPMORGAN CHASE & CO$6M20,878
7NEXTERA ENERGY INC$6M41,733
8WALMART INC$5M42,091
9HONEYWELL INTL INC$5M20,884
10WASTE MGMT INC DEL$4M18,356
11AMAZON.COM INC$4M18,256
12ALPHABET INC CLASS CLASS C$3M10,508
13OLD NATL BANCORP IND$3M131,090
14ALLSTATE CORP$3M13,960
15ABBVIE INC$3M12,779
16EXXON MOBIL CORP$3M16,557
17CHEVRON CORP NEW$3M13,483
18JOHNSON & JOHNSON$2M10,099
19IBM CORP$2M10,095
20VALERO ENERGY CORP NEW$2M9,515
21CONSTELLATION ENERGY COR$2M8,072
22ADAMS DIVERSIFIED EQUITY$2M98,953
23LOWES COS INC$2M9,070
24GILEAD SCIENCES INC$2M15,257
25HOME DEPOT INC$2M6,320
26AMGEN INC$2M5,793
27THE COCA-COLA CO$2M26,645
28EXELON CORP$2M40,428
29BRISTOL MYERS SQUIBB CO$2M31,225
30CISCO SYS INC$2M24,211
31VERIZON COMMUNICATIONS I$2M34,821
32PEPSICO INC$2M11,072
33ALPHABET INC CLASS CLASS A$2M5,573
34CHARLES SCHWAB CORP$2M17,699
35RTX CORP$2M7,816
36TRAVELERS COS INC$2M5,178
37PROCTER & GAMBLE CO$1M10,152
38WELLS FARGO & CO$1M17,515
39MASTERCARD INC CLASS CLASS A$1M2,796
40MERCK & CO. INC.$1M11,128
41EMERSON ELEC CO$1M10,064
42UBER TECHNOLOGIES INC$1M18,437
43PFIZER INC$1M43,734
44NETFLIX INC$1M12,595
45SPROTT PHYSICAL SILVER E$1M45,048
46FASTENAL CO$1M22,906
47COSTCO WHSL CORP NEW$1M1,009
48QUALCOMM INC$916k7,197
49DISNEY WALT CO$888k9,192
50TESLA INC$760k2,005
All filings on EDGAR ↗

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