Oak Asset Management

Latest statistics and disclosures from Oak Asset Management's latest quarterly 13F-HR filing:

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Positions held by Oak Asset Management consolidated in one spreadsheet with up to 7 years of data

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Portfolio Holdings for Oak Asset Management

Oak Asset Management holds 104 positions in its portfolio as reported in the December 2025 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Apple (AAPL) 12.0 $35M 130k 271.86
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Amgen (AMGN) 6.4 $19M 57k 327.31
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NVIDIA Corporation (NVDA) 6.1 $18M 95k 186.50
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Chevron Corporation (CVX) 4.1 $12M 79k 152.41
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Raytheon Technologies Corp (RTX) 3.7 $11M 60k 183.40
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Qualcomm (QCOM) 3.5 $10M 60k 171.05
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Abbvie (ABBV) 2.7 $8.0M -3% 35k 228.49
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Microsoft Corporation (MSFT) 2.6 $7.5M 16k 483.63
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Fastenal Company (FAST) 2.5 $7.3M 182k 40.13
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Oracle Corporation (ORCL) 2.4 $7.0M 36k 194.91
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Stryker Corporation (SYK) 2.1 $6.2M 18k 351.46
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FedEx Corporation (FDX) 2.0 $5.9M 21k 288.86
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JPMorgan Chase & Co. (JPM) 2.0 $5.8M 18k 322.21
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Johnson & Johnson (JNJ) 1.9 $5.4M 26k 206.95
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Visa Com Cl A (V) 1.8 $5.4M 15k 350.71
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McDonald's Corporation (MCD) 1.8 $5.4M 18k 305.62
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Lowe's Companies (LOW) 1.7 $5.0M 21k 241.16
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Costco Wholesale Corporation (COST) 1.7 $4.9M +39% 5.7k 862.34
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Alphabet Cap Stk Cl A (GOOGL) 1.6 $4.6M 15k 313.00
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Alphabet Cap Stk Cl C (GOOG) 1.4 $4.1M 13k 313.80
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Intercontinental Exchange (ICE) 1.3 $3.9M 24k 161.96
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CVS Caremark Corporation (CVS) 1.3 $3.9M -2% 49k 79.36
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Medtronic SHS (MDT) 1.3 $3.8M 40k 96.06
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Home Depot (HD) 1.1 $3.3M 9.7k 344.10
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Norfolk Southern (NSC) 1.1 $3.2M 11k 288.72
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Intuitive Surgical Com New (ISRG) 1.1 $3.2M 5.7k 566.36
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Procter & Gamble Company (PG) 1.1 $3.2M +13% 22k 143.31
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Cisco Systems (CSCO) 1.1 $3.2M -4% 41k 77.03
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Ishares Tr Core Div Grwth (DGRO) 1.1 $3.2M 46k 69.42
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Morgan Stanley Com New (MS) 1.0 $3.0M 17k 177.53
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Amazon (AMZN) 1.0 $2.9M 13k 230.82
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Caterpillar (CAT) 0.9 $2.6M 4.6k 572.87
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Pepsi (PEP) 0.8 $2.3M -17% 16k 143.52
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Expeditors International of Washington (EXPD) 0.8 $2.3M -8% 15k 149.01
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Target Corporation (TGT) 0.8 $2.3M -11% 23k 97.75
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Waste Management (WM) 0.8 $2.2M 10k 219.71
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American Tower Reit (AMT) 0.7 $2.1M -17% 12k 175.58
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Exxon Mobil Corporation (XOM) 0.6 $1.9M 16k 120.34
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Microchip Technology (MCHP) 0.6 $1.9M +6% 30k 63.72
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Intel Corporation (INTC) 0.6 $1.8M -4% 48k 36.90
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Cintas Corporation (CTAS) 0.6 $1.8M 9.4k 188.07
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Meta Platforms Cl A (META) 0.6 $1.7M +4% 2.6k 660.09
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Verizon Communications (VZ) 0.6 $1.7M 41k 40.73
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T. Rowe Price (TROW) 0.6 $1.6M -10% 16k 102.38
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Church & Dwight (CHD) 0.6 $1.6M 19k 83.85
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Genuine Parts Company (GPC) 0.5 $1.5M -9% 12k 122.96
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Automatic Data Processing (ADP) 0.5 $1.5M +19% 5.8k 257.23
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Comcast Corp Cl A (CMCSA) 0.5 $1.4M -35% 48k 29.89
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AFLAC Incorporated (AFL) 0.5 $1.4M -3% 13k 110.27
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Goldman Sachs (GS) 0.5 $1.4M 1.6k 879.00
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Illinois Tool Works (ITW) 0.5 $1.4M -4% 5.7k 246.30
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Booking Holdings (BKNG) 0.4 $1.3M 245.00 5355.33
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Nike CL B (NKE) 0.4 $1.3M -9% 20k 63.71
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American Express Company (AXP) 0.4 $1.3M -3% 3.4k 369.95
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UnitedHealth (UNH) 0.4 $1.3M 3.8k 330.11
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Wal-Mart Stores (WMT) 0.4 $1.3M 11k 111.41
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Barrick Mng Corp Com Shs (B) 0.4 $1.2M 29k 43.55
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Lockheed Martin Corporation (LMT) 0.4 $1.2M 2.5k 483.67
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International Business Machines (IBM) 0.4 $1.2M 4.1k 296.24
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Abbott Laboratories (ABT) 0.4 $1.2M 9.3k 125.29
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Nextera Energy (NEE) 0.3 $936k 12k 80.28
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Constellation Brands Cl A (STZ) 0.3 $917k -61% 6.6k 137.97
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AmerisourceBergen (COR) 0.3 $909k 2.7k 337.75
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Tesla Motors (TSLA) 0.3 $885k 2.0k 449.72
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Walt Disney Company (DIS) 0.3 $861k 7.6k 113.77
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PNC Financial Services (PNC) 0.3 $857k 4.1k 208.73
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Regeneron Pharmaceuticals (REGN) 0.3 $849k 1.1k 771.87
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Berkshire Hathaway Inc Del Cl B New (BRK.B) 0.3 $812k -3% 1.6k 502.65
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Netflix (NFLX) 0.3 $765k +900% 8.2k 93.76
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Starbucks Corporation (SBUX) 0.3 $759k 9.0k 84.21
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Ishares Tr Core S&p Mcp Etf (IJH) 0.2 $690k 10k 66.00
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Bank of America Corporation (BAC) 0.2 $623k 11k 55.00
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Toll Brothers (TOL) 0.2 $622k 4.6k 135.22
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Domino's Pizza (DPZ) 0.2 $599k 1.4k 416.82
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Science App Int'l (SAIC) 0.2 $589k 5.9k 100.66
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Vanguard Specialized Funds Div App Etf (VIG) 0.2 $544k 2.5k 219.75
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Spdr S&p 500 Etf Tr Tr Unit (SPY) 0.2 $532k 780.00 681.92
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Vanguard Index Fds Large Cap Etf (VV) 0.1 $428k 1.4k 314.80
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Digital Realty Trust (DLR) 0.1 $426k -20% 2.8k 154.71
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Atmos Energy Corporation (ATO) 0.1 $422k +15% 2.5k 167.63
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Merck & Co (MRK) 0.1 $413k 3.9k 105.26
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Coca-Cola Company (KO) 0.1 $393k 5.6k 69.91
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Cummins (CMI) 0.1 $381k 746.00 510.45
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Parker-Hannifin Corporation (PH) 0.1 $372k 423.00 878.96
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Constellation Energy (CEG) 0.1 $344k 975.00 353.27
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Spdr Series Trust State Street Spd (SDY) 0.1 $338k 2.4k 139.16
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At&t (T) 0.1 $326k 13k 24.84
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Ishares Tr Core S&p Us Gwt (IUSG) 0.1 $326k 1.9k 167.94
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United Rentals (URI) 0.1 $301k 372.00 809.32
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Sempra Energy (SRE) 0.1 $300k 3.4k 88.29
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Equity Residential Sh Ben Int (EQR) 0.1 $275k 4.4k 63.04
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Edwards Lifesciences (EW) 0.1 $270k 3.2k 85.25
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Valero Energy Corporation (VLO) 0.1 $269k 1.7k 162.79
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Vanguard Index Fds Growth Etf (VUG) 0.1 $269k 551.00 487.86
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Union Pacific Corporation (UNP) 0.1 $264k -2% 1.1k 231.32
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Ishares Tr Core S&p Us Vlu (IUSV) 0.1 $259k 2.5k 102.54
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Vistra Energy (VST) 0.1 $259k 1.6k 161.33
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Taiwan Semiconductor Mfg Sponsored Ads (TSM) 0.1 $258k 850.00 303.89
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Fortune Brands (FBIN) 0.1 $225k 4.5k 50.02
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Vanguard Index Fds Value Etf (VTV) 0.1 $223k +7% 1.2k 190.99
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Ishares Tr U.s. Tech Etf (IYW) 0.1 $219k +4% 1.1k 199.68
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Markel Corporation (MKL) 0.1 $215k NEW 100.00 2149.65
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Vanguard World Inf Tech Etf (VGT) 0.1 $211k 280.00 753.78
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Vanguard Index Fds Real Estate Etf (VNQ) 0.1 $207k -5% 2.3k 88.49
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Past Filings by Oak Asset Management

SEC 13F filings are viewable for Oak Asset Management going back to 2017

View all past filings