Universe · entity

Bull Street Advisors, LLC

Institutional manager (13F) · CIK 1790837
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $177k
#IssuerValueShares
1Johnson & Johnson$11k46,166
2Apple Inc.$9k36,813
3Coca-Cola Company$8k103,001
4Vanguard Sh Term Govt ETF$8k132,917
5Costco Wholesale Corp$8k7,733
6Vanguard Sh Term Bond ETF$7k93,951
7Exxon Mobil Corporation$6k37,486
8Microsoft Corporation$6k16,939
9Home Depot Inc.$6k16,837
10JPMorgan Chase & Co$5k16,491
11Berkshire Hathaway Class B$5k9,740
12Amgen Inc.$5k12,946
13IShares ST Corp Bond ETF$4k83,115
14Vanguard Sh Term Corp ETF$4k51,707
15Danaher Corporation$4k20,547
16Vanguard Interm Corp ETF$4k46,876
17Alphabet Inc. Class A$4k13,090
18Chevron Corp$4k17,964
19PepsiCo, Inc.$3k22,245
20Raytheon Technologies Corp$3k17,476
21Procter & Gamble Co.$3k23,250
22American Express Co.$3k10,673
23Sysco Corporation$3k44,935
24Vanguard Interm Govt ETF$3k53,125
25Honeywell Intl Inc$3k13,794
26Alphabet Inc. Class C$3k10,415
27Cisco Systems Inc.$3k37,169
28SPDR S&P 500 ETF Trust$3k4,392
29Automatic Data Processing Inc.$3k12,718
30Mondelez International Inc$3k43,875
31Republic Services Inc.$2k11,068
32Walt Disney Company$2k24,264
33Emerson Electric Co.$2k17,555
34IShares Barclays TIPS ETF$2k18,713
35Nucor Corporation$2k11,720
36Duke Energy Corp$2k14,598
37Merck & Co. Inc.$2k14,123
38Dominion Energy, Inc.$2k26,263
39Elevance Health, Inc.$2k5,498
40Fiserv Inc.$1k26,860
41Union Pacific Corp.$1k6,105
42Pfizer Inc.$1k51,776
43ConocoPhillips$1k10,660
44U.S. Bancorp$1k26,599
45Vanguard Ext Mkt ETF$1k6,701
46Phillips 66$1k7,522
47Abbott Laboratories$1k13,118
48Comcast cl A$1k43,620
49Stryker Corp$1k3,808
50Camden Property Trust$1k12,680
All filings on EDGAR ↗

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