Adams Express Company

Latest statistics and disclosures from Adams Diversified Equity Fund's latest quarterly 13F-HR filing:

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Positions held by Adams Express Company consolidated in one spreadsheet with up to 7 years of data

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Portfolio Holdings for Adams Diversified Equity Fund

Adams Diversified Equity Fund holds 93 positions in its portfolio as reported in the September 2025 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
NVIDIA Corporation (NVDA) 8.3 $245M 1.3M 186.58
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Microsoft Corporation (MSFT) 7.4 $220M -2% 424k 517.95
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Apple (AAPL) 7.1 $210M 823k 254.63
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Alphabet Inc Class A cs (GOOGL) 4.4 $130M 533k 243.10
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Amazon (AMZN) 3.9 $115M 523k 219.57
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Facebook Inc cl a (META) 3.1 $91M 124k 734.38
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Broadcom (AVGO) 2.9 $88M 265k 329.91
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JPMorgan Chase & Co. (JPM) 2.2 $64M -14% 204k 315.43
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Tesla Motors (TSLA) 1.8 $54M 122k 444.72
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Petroleum & Res Corp Com cef (PEO) 1.8 $54M +2% 2.5M 21.52
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Bank of America Corporation (BAC) 1.6 $47M 919k 51.59
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Berkshire Hathaway (BRK.B) 1.6 $47M -2% 93k 502.74
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General Electric (GE) 1.5 $45M -6% 150k 300.82
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Abbvie (ABBV) 1.5 $44M 188k 231.54
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Netflix (NFLX) 1.4 $42M 35k 1198.92
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Visa (V) 1.3 $40M 117k 341.38
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Lam Research (LRCX) 1.3 $37M -2% 278k 133.90
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Wal-Mart Stores (WMT) 1.2 $36M 353k 103.06
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Philip Morris International (PM) 1.2 $35M +14% 215k 162.20
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Uber Technologies (UBER) 1.2 $34M +13% 350k 97.97
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Capital One Financial (COF) 1.1 $34M 158k 212.58
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Goldman Sachs (GS) 1.1 $33M -15% 42k 796.35
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MasterCard Incorporated (MA) 1.1 $33M +4% 58k 568.81
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Home Depot (HD) 1.1 $33M +112% 81k 405.19
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Eli Lilly & Co. (LLY) 1.1 $32M 42k 763.00
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Arista Networks (ANET) 1.0 $30M -2% 209k 145.71
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Booking Holdings (BKNG) 1.0 $30M 5.6k 5399.27
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Boeing Company (BA) 1.0 $29M +12% 135k 215.83
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Chevron Corporation (CVX) 0.9 $28M +33% 178k 155.29
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Merck & Co (MRK) 0.9 $26M NEW 309k 83.93
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Cisco Systems (CSCO) 0.9 $26M 375k 68.42
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Ge Vernova (GEV) 0.8 $25M -9% 41k 614.90
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International Business Machines (IBM) 0.8 $25M -32% 88k 282.16
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Oracle Corporation (ORCL) 0.8 $24M +75% 86k 281.24
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AmerisourceBergen (COR) 0.8 $24M 77k 312.53
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O'reilly Automotive (ORLY) 0.8 $23M -12% 218k 107.81
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Metropcs Communications (TMUS) 0.8 $23M 97k 239.38
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McDonald's Corporation (MCD) 0.8 $23M +13% 74k 303.89
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Palo Alto Networks (PANW) 0.7 $22M 108k 203.62
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Parker-Hannifin Corporation (PH) 0.7 $22M +25% 29k 758.15
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Progressive Corporation (PGR) 0.7 $21M +13% 86k 246.95
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Boston Scientific Corporation (BSX) 0.7 $21M 214k 97.63
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Advanced Micro Devices (AMD) 0.7 $21M 128k 161.79
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Health Care SPDR (XLV) 0.7 $20M +7% 144k 139.17
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Entergy Corporation (ETR) 0.7 $20M -3% 213k 93.19
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Moody's Corporation (MCO) 0.7 $20M NEW 42k 476.48
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Ecolab (ECL) 0.7 $20M +25% 72k 273.86
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American International (AIG) 0.7 $20M +18% 248k 78.54
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Analog Devices (ADI) 0.7 $19M 79k 245.70
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Lincoln Electric Holdings (LECO) 0.6 $19M NEW 81k 235.83
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Johnson & Johnson (JNJ) 0.6 $19M 103k 185.42
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Johnson Controls International Plc equity (JCI) 0.6 $19M NEW 171k 109.95
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Duke Energy (DUK) 0.6 $19M 150k 123.75
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M&T Bank Corporation (MTB) 0.6 $19M NEW 94k 197.62
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Medtronic (MDT) 0.6 $18M 193k 95.24
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Prologis (PLD) 0.6 $18M NEW 159k 114.52
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UnitedHealth (UNH) 0.6 $18M 51k 345.30
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Raytheon Technologies Corp (RTX) 0.6 $17M 104k 167.33
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Carrier Global Corporation (CARR) 0.6 $17M 277k 59.70
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T. Rowe Price (TROW) 0.5 $16M NEW 155k 102.64
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Republic Services (RSG) 0.5 $16M 69k 229.48
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SYSCO Corporation (SYY) 0.5 $16M -3% 190k 82.34
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Cbre Group Inc Cl A (CBRE) 0.5 $16M 98k 157.56
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Snowflake Inc Cl A (SNOW) 0.5 $15M NEW 68k 225.55
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Eversource Energy (ES) 0.5 $15M 215k 71.14
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Baker Hughes A Ge Company (BKR) 0.5 $15M 309k 48.72
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Crown Holdings (CCK) 0.5 $15M +43% 150k 96.59
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Vici Pptys (VICI) 0.5 $14M 422k 32.61
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Vertex Pharmaceuticals Incorporated (VRTX) 0.5 $14M 35k 391.64
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salesforce (CRM) 0.4 $13M -41% 55k 237.00
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Autodesk (ADSK) 0.4 $13M 41k 317.67
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L3harris Technologies (LHX) 0.4 $13M NEW 42k 305.41
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Costco Wholesale Corporation (COST) 0.4 $13M 14k 925.63
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Insulet Corporation (PODD) 0.4 $13M 41k 308.73
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Atlassian Corporation Cl A (TEAM) 0.4 $12M +22% 76k 159.70
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Post Holdings Inc Common (POST) 0.4 $12M -4% 111k 107.48
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Cigna Corp (CI) 0.4 $12M 40k 288.25
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AvalonBay Communities (AVB) 0.4 $11M 58k 193.17
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TKO Group Holdings (TKO) 0.4 $11M 54k 201.96
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Procter & Gamble Company (PG) 0.4 $11M 70k 153.65
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Axon Enterprise (AXON) 0.4 $11M NEW 15k 717.64
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Palantir Technologies (PLTR) 0.3 $10M +44% 57k 182.42
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Constellation Energy (CEG) 0.3 $9.6M 29k 329.07
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CVS Caremark Corporation (CVS) 0.3 $9.6M NEW 128k 75.39
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Coca-Cola Company (KO) 0.3 $9.6M 144k 66.32
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Freeport-McMoRan Copper & Gold (FCX) 0.3 $7.8M +6% 199k 39.22
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Vistra Energy (VST) 0.2 $7.3M 37k 195.92
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Pulte (PHM) 0.2 $7.1M NEW 54k 132.13
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Pepsi (PEP) 0.2 $6.7M 48k 140.44
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Spotify Technology Sa (SPOT) 0.2 $6.4M 9.1k 698.00
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Colgate-Palmolive Company (CL) 0.2 $5.8M -18% 72k 79.94
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Lamb Weston Hldgs (LW) 0.2 $5.4M NEW 93k 58.08
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Materials SPDR (XLB) 0.2 $4.6M NEW 51k 89.62
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Past Filings by Adams Diversified Equity Fund

SEC 13F filings are viewable for Adams Diversified Equity Fund going back to 2010

View all past filings