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 100 positions in its portfolio as reported in the September 2024 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Apple (AAPL) 7.7 $211M -10% 904k 233.00
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Microsoft Corporation (MSFT) 7.4 $202M -10% 470k 430.30
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NVIDIA Corporation (NVDA) 6.4 $173M -11% 1.4M 121.44
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Amazon (AMZN) 4.1 $113M -11% 605k 186.33
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Alphabet Inc Class A cs (GOOGL) 3.5 $96M -18% 579k 165.85
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Facebook Inc cl a (META) 2.8 $77M -9% 134k 572.44
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JPMorgan Chase & Co. (JPM) 2.0 $55M -13% 263k 210.86
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Petroleum & Res Corp Com cef (PEO) 1.9 $52M +2% 2.2M 23.22
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Broadcom (AVGO) 1.9 $51M +2264% 293k 172.50
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Eli Lilly & Co. (LLY) 1.8 $50M -11% 57k 885.94
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Abbvie (ABBV) 1.4 $39M -10% 199k 197.48
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Visa (V) 1.4 $38M -28% 140k 274.95
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Berkshire Hathaway (BRK.B) 1.4 $38M 83k 460.26
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Wal-Mart Stores (WMT) 1.2 $33M -18% 413k 80.75
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Tesla Motors (TSLA) 1.2 $32M -9% 122k 261.63
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Bank of America Corporation (BAC) 1.1 $30M -32% 751k 39.68
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Thermo Fisher Scientific (TMO) 1.1 $30M -8% 48k 618.57
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Cigna Corp (CI) 1.0 $27M -9% 79k 346.44
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Netflix (NFLX) 1.0 $27M -15% 38k 709.27
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Intuit (INTU) 1.0 $27M -9% 43k 621.00
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Nextera Energy (NEE) 1.0 $27M -10% 315k 84.53
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Lam Research Corporation (LRCX) 1.0 $26M -14% 32k 816.08
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Linde (LIN) 1.0 $26M -10% 55k 476.86
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Booking Holdings (BKNG) 1.0 $26M -11% 6.2k 4212.12
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Philip Morris International (PM) 1.0 $26M -23% 213k 121.40
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McDonald's Corporation (MCD) 0.9 $25M -12% 82k 304.51
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Raytheon Technologies Corp (RTX) 0.9 $25M +17% 204k 121.16
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Technology SPDR (XLK) 0.9 $25M +46% 109k 225.76
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TransDigm Group Incorporated (TDG) 0.9 $24M -12% 17k 1427.13
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Morgan Stanley (MS) 0.9 $24M -10% 231k 104.24
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Leidos Holdings (LDOS) 0.9 $24M -12% 146k 163.00
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Trane Technologies (TT) 0.9 $24M -36% 61k 388.73
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Arista Networks (ANET) 0.9 $24M -12% 62k 383.82
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PNC Financial Services (PNC) 0.9 $24M -19% 128k 184.85
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General Dynamics Corporation (GD) 0.9 $23M -11% 77k 302.20
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Uber Technologies (UBER) 0.9 $23M -13% 309k 75.16
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Regeneron Pharmaceuticals (REGN) 0.8 $23M -32% 22k 1051.24
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Analog Devices (ADI) 0.8 $23M -12% 98k 230.17
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Parker-Hannifin Corporation (PH) 0.8 $22M +26% 35k 631.82
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O'reilly Automotive (ORLY) 0.8 $21M -18% 19k 1151.60
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Hubbell (HUBB) 0.7 $20M -14% 47k 428.35
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Danaher Corporation (DHR) 0.7 $20M 73k 278.02
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Colgate-Palmolive Company (CL) 0.7 $20M -28% 195k 103.81
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Marsh & McLennan Companies (MMC) 0.7 $20M -7% 89k 223.09
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Republic Services (RSG) 0.7 $20M -25% 99k 200.84
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Allstate Corporation (ALL) 0.7 $20M 105k 189.65
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American International (AIG) 0.7 $19M -27% 265k 73.23
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UnitedHealth (UNH) 0.7 $19M -7% 32k 584.68
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Verizon Communications (VZ) 0.7 $19M -20% 411k 44.91
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Union Pacific Corporation (UNP) 0.7 $18M -14% 75k 246.48
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Micron Technology (MU) 0.7 $18M -6% 177k 103.71
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S&p Global (SPGI) 0.7 $18M NEW 35k 516.62
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Boston Scientific Corporation (BSX) 0.7 $18M NEW 214k 83.80
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Public Storage (PSA) 0.6 $18M -17% 48k 363.87
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Metropcs Communications (TMUS) 0.6 $17M +17% 85k 206.36
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SYSCO Corporation (SYY) 0.6 $17M -7% 222k 78.06
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Target Corporation (TGT) 0.6 $17M -8% 111k 155.86
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Freeport-McMoRan Copper & Gold (FCX) 0.6 $17M -16% 339k 49.92
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Skechers USA (SKX) 0.6 $17M NEW 251k 66.92
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American Tower Reit (AMT) 0.6 $17M NEW 71k 232.56
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3M Company (MMM) 0.6 $17M 121k 136.70
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Prologis (PLD) 0.6 $16M -8% 130k 126.28
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Vertex Pharmaceuticals Incorporated (VRTX) 0.6 $16M NEW 35k 465.08
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DTE Energy Company (DTE) 0.6 $16M -9% 125k 128.41
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Paypal Holdings (PYPL) 0.6 $16M 204k 78.03
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salesforce (CRM) 0.6 $16M -8% 57k 273.71
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Diamondback Energy (FANG) 0.6 $16M 91k 172.40
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AmerisourceBergen (COR) 0.6 $16M -50% 69k 225.08
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Zoetis Inc Cl A (ZTS) 0.6 $16M -33% 79k 195.38
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Home Depot (HD) 0.6 $15M -8% 38k 405.20
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MasterCard Incorporated (MA) 0.6 $15M 31k 493.80
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Johnson & Johnson (JNJ) 0.5 $15M -8% 92k 162.06
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Post Holdings Inc Common (POST) 0.5 $15M NEW 125k 115.75
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M&T Bank Corporation (MTB) 0.5 $14M NEW 79k 178.12
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Carrier Global Corporation (CARR) 0.5 $14M NEW 175k 80.49
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Adobe Systems Incorporated (ADBE) 0.5 $14M -8% 27k 517.78
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Entergy Corporation (ETR) 0.5 $13M 101k 131.61
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Cbre Group Inc Cl A (CBRE) 0.5 $13M -11% 105k 124.48
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Hca Holdings (HCA) 0.5 $12M NEW 31k 406.43
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Cisco Systems (CSCO) 0.5 $12M -11% 233k 53.22
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Procter & Gamble Company (PG) 0.4 $12M 70k 173.20
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Chevron Corporation (CVX) 0.4 $12M -10% 80k 147.27
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Omni (OMC) 0.4 $11M NEW 107k 103.39
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Msci (MSCI) 0.4 $11M NEW 19k 582.93
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Ulta Salon, Cosmetics & Fragrance (ULTA) 0.4 $11M -14% 27k 389.12
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Texas Instruments Incorporated (TXN) 0.4 $11M NEW 52k 206.57
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Coca-Cola Company (KO) 0.4 $10M 144k 71.86
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Merck & Co (MRK) 0.4 $9.8M 86k 113.56
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Accenture (ACN) 0.3 $9.5M 27k 353.48
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Costco Wholesale Corporation (COST) 0.3 $8.7M NEW 9.8k 886.52
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Oracle Corporation (ORCL) 0.3 $8.3M 49k 170.40
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Baker Hughes A Ge Company (BKR) 0.3 $8.3M NEW 230k 36.15
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Pepsi (PEP) 0.3 $8.1M 48k 170.05
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International Flavors & Fragrances (IFF) 0.3 $7.1M NEW 68k 104.93
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PPG Industries (PPG) 0.3 $7.1M 54k 132.46
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Health Care SPDR (XLV) 0.3 $7.1M -31% 46k 154.02
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Constellation Energy (CEG) 0.2 $6.0M +74% 23k 260.02
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Energy Select Sector SPDR (XLE) 0.2 $5.2M NEW 59k 87.80
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Hess (HES) 0.2 $4.2M -66% 31k 135.80
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Vistra Energy (VST) 0.1 $3.2M +78% 27k 118.54
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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