Bridge Creek Capital Management

Bridge Creek Capital Management as of Sept. 30, 2025

Portfolio Holdings for Bridge Creek Capital Management

Bridge Creek Capital Management holds 116 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
Apple (AAPL) 4.0 $14M 57k 254.63
Microsoft Corporation (MSFT) 3.7 $14M 26k 517.95
JPMorgan Chase & Co. (JPM) 3.4 $12M 39k 315.43
Alphabet Cap Stk Cl C (GOOG) 3.1 $11M 46k 243.55
Blackstone Group Inc Com Cl A (BX) 2.6 $9.5M 56k 170.85
Corning Incorporated (GLW) 2.5 $8.9M 108k 82.03
Bank of America Corporation (BAC) 2.5 $8.9M 172k 51.59
Caterpillar (CAT) 2.3 $8.2M 17k 477.15
Ge Aerospace Com New (GE) 2.2 $7.7M 26k 300.82
Amazon (AMZN) 2.1 $7.7M 35k 219.57
Fastenal Company (FAST) 2.1 $7.6M 154k 49.04
Nextera Energy (NEE) 2.0 $7.2M 96k 75.49
Johnson & Johnson (JNJ) 1.9 $6.7M 36k 185.42
NVIDIA Corporation (NVDA) 1.8 $6.5M 35k 186.58
Wal-Mart Stores (WMT) 1.8 $6.3M 61k 103.06
PNC Financial Services (PNC) 1.6 $5.7M 29k 200.93
Coca-Cola Company (KO) 1.6 $5.7M 86k 66.32
Citigroup Com New (C) 1.6 $5.6M 55k 101.50
Southern Company (SO) 1.5 $5.5M 58k 94.77
Pepsi (PEP) 1.5 $5.5M 39k 140.44
Procter & Gamble Company (PG) 1.5 $5.3M 34k 153.65
Mccormick & Co Com Non Vtg (MKC) 1.4 $5.2M 77k 66.91
Stag Industrial (STAG) 1.4 $5.1M 143k 35.29
Truist Financial Corp equities (TFC) 1.4 $5.0M 110k 45.72
salesforce (CRM) 1.3 $4.8M 20k 237.00
Walt Disney Company (DIS) 1.3 $4.8M 42k 114.50
State Street Corporation (STT) 1.3 $4.7M 41k 116.01
Colgate-Palmolive Company (CL) 1.3 $4.7M 59k 79.94
Xcel Energy (XEL) 1.3 $4.6M 57k 80.65
CVS Caremark Corporation (CVS) 1.3 $4.6M 61k 75.39
Dominion Resources (D) 1.2 $4.5M 73k 61.17
Ge Vernova (GEV) 1.2 $4.5M 7.3k 614.90
Meta Platforms Cl A (META) 1.2 $4.4M 6.0k 734.38
At&t (T) 1.2 $4.3M 154k 28.24
Union Pacific Corporation (UNP) 1.1 $4.1M 17k 236.37
Exxon Mobil Corporation (XOM) 1.1 $4.1M 37k 112.75
Lowe's Companies (LOW) 1.1 $4.0M 16k 251.31
Medtronic SHS (MDT) 1.1 $3.9M 41k 95.24
General Mills (GIS) 1.1 $3.9M 78k 50.42
Chevron Corporation (CVX) 1.1 $3.8M 25k 155.29
Home Depot (HD) 1.1 $3.8M 9.4k 405.19
Verizon Communications (VZ) 1.1 $3.8M 87k 43.95
Shell Spon Ads (SHEL) 1.0 $3.8M 53k 71.53
Air Products & Chemicals (APD) 1.0 $3.7M 14k 272.72
First Horizon National Corporation (FHN) 1.0 $3.7M 162k 22.61
Aptar (ATR) 1.0 $3.5M 26k 133.66
United Parcel Service CL B (UPS) 1.0 $3.5M 42k 83.53
Ormat Technologies (ORA) 1.0 $3.5M 36k 96.25
Norfolk Southern (NSC) 0.9 $3.4M 11k 300.41
Texas Instruments Incorporated (TXN) 0.9 $3.4M 18k 183.73
Oracle Corporation (ORCL) 0.9 $3.2M 12k 281.24
American Water Works (AWK) 0.9 $3.2M 23k 139.19
Comcast Corp Cl A (CMCSA) 0.8 $3.0M 95k 31.42
Bhp Group Sponsored Ads (BHP) 0.8 $2.9M 52k 55.75
Manulife Finl Corp (MFC) 0.8 $2.7M 88k 31.15
Ametek (AME) 0.8 $2.7M 14k 188.00
Zimmer Holdings (ZBH) 0.7 $2.7M 27k 98.50
Costco Wholesale Corporation (COST) 0.7 $2.7M 2.9k 925.63
Henry Schein (HSIC) 0.7 $2.6M 39k 66.37
Ge Healthcare Technologies I Common Stock (GEHC) 0.7 $2.6M 34k 75.10
Cisco Systems (CSCO) 0.7 $2.5M 37k 68.42
Teleflex Incorporated (TFX) 0.6 $2.3M 19k 122.36
Danaher Corporation (DHR) 0.6 $2.2M 11k 198.26
Thermo Fisher Scientific (TMO) 0.6 $2.2M 4.5k 485.02
Merck & Co (MRK) 0.5 $1.9M 22k 83.93
Albemarle Corporation (ALB) 0.5 $1.9M 23k 81.08
Honeywell International (HON) 0.5 $1.8M 8.5k 210.50
Eli Lilly & Co. (LLY) 0.4 $1.5M 2.0k 763.00
Analog Devices (ADI) 0.4 $1.4M 5.8k 245.70
Corteva (CTVA) 0.4 $1.3M 20k 67.63
International Business Machines (IBM) 0.3 $1.2M 4.3k 282.16
Alphabet Cap Stk Cl A (GOOGL) 0.3 $1.1M 4.6k 243.10
Old Dominion Freight Line (ODFL) 0.3 $943k 6.7k 140.78
Phillips 66 (PSX) 0.3 $933k 6.9k 136.02
Vodafone Group Sponsored Adr (VOD) 0.2 $832k 72k 11.60
Ford Motor Company (F) 0.2 $809k 68k 11.96
Hershey Company (HSY) 0.2 $799k 4.3k 187.05
Vanguard Index Fds Total Stk Mkt (VTI) 0.2 $791k 2.4k 328.17
ConocoPhillips (COP) 0.2 $771k 8.2k 94.59
Vanguard Intl Equity Index F Allwrld Ex Us (VEU) 0.2 $687k 9.6k 71.37
Vanguard Specialized Funds Div App Etf (VIG) 0.2 $680k 3.2k 215.79
Wells Fargo & Company (WFC) 0.2 $620k 7.4k 83.82
Berkshire Hathaway Inc Del Cl B New (BRK.B) 0.2 $600k 1.2k 502.74
Schlumberger Com Stk (SLB) 0.2 $600k 18k 34.37
Mondelez Intl Cl A (MDLZ) 0.1 $478k 7.6k 62.47
Vanguard Tax-managed Fds Van Ftse Dev Mkt (VEA) 0.1 $475k 7.9k 59.92
Vanguard World Utilities Etf (VPU) 0.1 $469k 2.5k 189.41
Invesco Qqq Tr Unit Ser 1 (QQQ) 0.1 $460k 766.00 600.37
Emerson Electric (EMR) 0.1 $432k 3.3k 131.18
Vanguard Star Fds Vg Tl Intl Stk F (VXUS) 0.1 $432k 5.9k 73.46
Vanguard World Inf Tech Etf (VGT) 0.1 $414k 555.00 746.63
Abbott Laboratories (ABT) 0.1 $407k 3.0k 133.94
Vanguard Intl Equity Index F Ftse Emr Mkt Etf (VWO) 0.1 $406k 7.5k 54.18
Invesco Exchange Traded Fd T S&p500 Eql Wgt (RSP) 0.1 $386k 2.0k 189.70
BP Sponsored Adr (BP) 0.1 $373k 11k 34.46
Kellogg Company (K) 0.1 $353k 4.3k 82.02
Welltower Inc Com reit (WELL) 0.1 $344k 1.9k 178.17
Boeing Company (BA) 0.1 $323k 1.5k 215.90
Sherwin-Williams Company (SHW) 0.1 $317k 915.00 346.26
Broadcom (AVGO) 0.1 $309k 935.00 329.91
Duke Energy Corp Com New (DUK) 0.1 $286k 2.3k 123.75
Amphenol Corp Cl A (APH) 0.1 $272k 2.2k 123.75
Tesla Motors (TSLA) 0.1 $267k 601.00 444.72
Bristol Myers Squibb (BMY) 0.1 $257k 5.7k 45.10
Vaneck Etf Trust Environmental Sr (EVX) 0.1 $245k 6.3k 38.94
Vanguard World Energy Etf (VDE) 0.1 $245k 1.9k 125.86
Snap-on Incorporated (SNA) 0.1 $243k 700.00 346.53
Clorox Company (CLX) 0.1 $236k 1.9k 123.30
United Rentals (URI) 0.1 $220k 230.00 954.66
Vanguard Index Fds S&p 500 Etf Shs (VOO) 0.1 $218k 357.00 611.69
American Tower Reit (AMT) 0.1 $218k 1.1k 192.32
Amgen (AMGN) 0.1 $216k 765.00 282.20
Vanguard World Consum Dis Etf (VCR) 0.1 $212k 535.00 396.15
Vanguard World Industrial Etf (VIS) 0.1 $210k 710.00 296.29
Vanguard World Financials Etf (VFH) 0.1 $209k 1.6k 131.24
Vanguard World Health Car Etf (VHT) 0.1 $203k 780.00 259.60