Creegan & Nassoura Financial

Creegan & Nassoura Financial Group as of Sept. 30, 2025

Portfolio Holdings for Creegan & Nassoura Financial Group

Creegan & Nassoura Financial Group holds 76 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
JPMorgan Chase & Co. (JPM) 5.9 $9.1M 29k 315.44
Microsoft Corporation (MSFT) 5.5 $8.6M 17k 517.94
Blackstone Group Inc Com Cl A (BX) 4.8 $7.5M 44k 170.85
Berkshire Hathaway Inc Del Cl B New (BRK.B) 4.1 $6.4M 13k 502.74
Eaton Corp SHS (ETN) 3.5 $5.4M 14k 374.25
Broadcom (AVGO) 3.4 $5.3M 16k 329.91
Enbridge (ENB) 2.4 $3.7M 74k 50.46
Cigna Corp (CI) 2.4 $3.7M 13k 288.24
Alphabet Cap Stk Cl A (GOOGL) 2.4 $3.7M 15k 243.10
Procter & Gamble Company (PG) 2.3 $3.6M 23k 153.65
Wp Carey (WPC) 2.3 $3.5M 52k 67.57
Ishares Tr S&p 100 Etf (OEF) 2.2 $3.4M 10k 332.84
Blackrock (BLK) 2.1 $3.3M 2.9k 1165.87
Apple (AAPL) 2.1 $3.2M 13k 254.64
Union Pacific Corporation (UNP) 2.0 $3.0M 13k 236.37
Schwab Strategic Tr Us Sml Cap Etf (SCHA) 1.9 $3.0M 108k 27.90
Toronto Dominion Bk Ont Com New (TD) 1.9 $3.0M 37k 79.95
Johnson & Johnson (JNJ) 1.9 $3.0M 16k 185.42
Merck & Co (MRK) 1.7 $2.7M 32k 83.93
Pepsi (PEP) 1.7 $2.7M 19k 140.44
Chevron Corporation (CVX) 1.7 $2.6M 17k 155.29
Vanguard Tax-managed Fds Van Ftse Dev Mkt (VEA) 1.7 $2.6M 43k 59.92
Deere & Company (DE) 1.6 $2.5M 5.6k 457.24
Illinois Tool Works (ITW) 1.6 $2.5M 9.7k 260.77
Exxon Mobil Corporation (XOM) 1.6 $2.5M 23k 112.75
Diageo Spon Adr New (DEO) 1.6 $2.4M 25k 95.43
3M Company (MMM) 1.6 $2.4M 16k 155.18
General Mills (GIS) 1.5 $2.4M 47k 50.42
Walt Disney Company (DIS) 1.4 $2.2M 19k 114.50
Medtronic SHS (MDT) 1.4 $2.2M 23k 95.24
Pfizer (PFE) 1.3 $2.1M 81k 25.48
Ishares Tr Pfd And Incm Sec (PFF) 1.2 $1.9M 59k 31.62
Schwab Strategic Tr Us Brd Mkt Etf (SCHB) 1.2 $1.8M 71k 25.71
CVS Caremark Corporation (CVS) 1.2 $1.8M 24k 75.39
Caterpillar (CAT) 1.2 $1.8M 3.8k 477.15
Enterprise Products Partners (EPD) 1.2 $1.8M 58k 31.27
Hercules Technology Growth Capital (HTGC) 1.0 $1.5M 80k 18.91
Lockheed Martin Corporation (LMT) 1.0 $1.5M 3.0k 499.21
Abbott Laboratories (ABT) 1.0 $1.5M 11k 133.94
Novartis Sponsored Adr (NVS) 0.9 $1.5M 11k 128.24
UnitedHealth (UNH) 0.9 $1.3M 3.9k 345.30
Palantir Technologies Cl A (PLTR) 0.8 $1.3M 7.2k 182.42
Raytheon Technologies Corp (RTX) 0.8 $1.3M 7.7k 167.33
Ishares Tr Core S&p500 Etf (IVV) 0.8 $1.3M 1.9k 669.30
FedEx Corporation (FDX) 0.8 $1.3M 5.4k 235.80
Unilever Spon Adr New (UL) 0.8 $1.3M 21k 59.28
Honeywell International (HON) 0.8 $1.2M 5.6k 210.50
Stryker Corporation (SYK) 0.7 $1.1M 2.9k 369.67
Verizon Communications (VZ) 0.7 $1.1M 24k 43.95
Boeing Company (BA) 0.7 $1.1M 4.9k 215.82
RPM International (RPM) 0.7 $1.0M 8.8k 117.88
Johnson Ctls Intl SHS (JCI) 0.7 $1.0M 9.4k 109.95
Schwab Strategic Tr Us Dividend Eq (SCHD) 0.6 $1.0M 37k 27.30
Emerson Electric (EMR) 0.6 $995k 7.6k 131.18
Vanguard Index Fds Total Stk Mkt (VTI) 0.6 $958k 2.9k 328.17
Ryder System (R) 0.5 $804k 4.3k 188.62
Spdr S&p 500 Etf Tr Tr Unit (SPY) 0.5 $700k 1.1k 666.18
Visa Com Cl A (V) 0.4 $647k 1.9k 341.38
L3harris Technologies (LHX) 0.4 $606k 2.0k 305.41
Schwab Strategic Tr Us Mid-cap Etf (SCHM) 0.4 $603k 20k 29.64
Select Sector Spdr Tr Indl (XLI) 0.4 $551k 3.6k 154.23
Constellation Brands Cl A (STZ) 0.3 $505k 3.8k 134.67
Select Sector Spdr Tr Financial (XLF) 0.3 $458k 8.5k 53.87
Ishares Tr Rus 1000 Etf (IWB) 0.3 $439k 1.2k 365.48
Thermo Fisher Scientific (TMO) 0.2 $372k 767.00 485.02
Schwab Strategic Tr Emrg Mkteq Etf (SCHE) 0.2 $370k 11k 33.37
Nike CL B (NKE) 0.2 $324k 4.7k 69.73
Vanguard Index Fds Large Cap Etf (VV) 0.2 $308k 1.0k 307.86
Amazon (AMZN) 0.2 $285k 1.3k 219.57
United Parcel Service CL B (UPS) 0.2 $285k 3.4k 83.53
Vanguard Index Fds Mid Cap Etf (VO) 0.2 $242k 825.00 293.74
Brookfield Infrast Partners Lp Int Unit (BIP) 0.1 $226k 6.9k 32.89
Vanguard World Inf Tech Etf (VGT) 0.1 $224k 300.00 746.63
Waste Management (WM) 0.1 $210k 950.00 220.83
Mccormick & Co Com Non Vtg (MKC) 0.1 $207k 3.1k 66.91
Invesco Qqq Tr Unit Ser 1 (QQQ) 0.1 $204k 340.00 600.37