Universe · entity

Atwater Malick LLC

Institutional manager (13F) · CIK 1769288
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $353M
#IssuerValueShares
1ISHARES TR$36M54,723
2CATERPILLAR INC$27M38,021
3APPLE INC$25M99,860
4ALPHABET INC$22M76,023
5GOLDMAN SACHS GROUP INC$19M22,703
6ISHARES TR$19M141,303
7WALMART INC$19M152,412
8ISHARES TR$18M264,329
9ISHARES TR$18M250,666
10WASTE MGMT INC DEL$16M70,283
11ISHARES TR$14M55,975
12MCDONALDS CORP$14M44,235
13CUMMINS INC$11M20,601
14MICROSOFT CORP$9M24,107
15JOHNSON & JOHNSON$7M27,594
16COCA COLA CO$6M80,636
17QUEST DIAGNOSTICS INC$6M30,316
18ISHARES TR$6M40,228
19PROCTER & GAMBLE CO$5M35,725
20ISHARES TR$5M49,820
21LOWES COS INC$4M16,441
22ISHARES TR$4M68,225
23ACCENTURE PLC IRELAND$3M16,767
24SMITH A O CORP$3M49,255
25DIMENSIONAL ETF TRUST$3M73,256
26ISHARES TR$3M99,848
27ISHARES TR$3M33,203
28ISHARES TR$2M98,046
29ISHARES TR$2M90,163
30NOVO-NORDISK A S$2M62,369
31DISNEY WALT CO$2M20,377
32NVIDIA CORPORATION$2M8,905
33ISHARES TR$1M13,987
34INVESCO EXCHANGE TRADED FD T$1M7,727
35BERKSHIRE HATHAWAY INC DEL$1M3,054
36AMAZON COM INC$1M6,611
37SPDR GOLD TR$1M2,764
38ISHARES U S ETF TR$1M23,230
39CENCORA INC$1M3,691
40INTUITIVE SURGICAL INC$1M2,475
41PACKAGING CORP AMER$1M4,869
42MASTERCARD INCORPORATED$1M2,056
43EXXON MOBIL CORP$951k5,608
44CANADIAN NATL RY CO$937k9,121
45VANGUARD INDEX FDS$926k3,098
46ISHARES TR$860k20,201
47ISHARES TR$849k35,040
48ELI LILLY & CO$844k918
49VANGUARD INDEX FDS$727k2,775
50TAIWAN SEMICONDUCTOR MANUFAC$692k2,047
All filings on EDGAR ↗

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