Drexel Morgan & Co. as of March 31, 2026
Portfolio Holdings for Drexel Morgan & Co.
Drexel Morgan & Co. holds 60 positions in its portfolio as reported in the March 2026 quarterly 13F filing
| Company (Ticker) | Portfolio Weight | Valued At | Change in Shares | Share Count | Share Price |
|---|---|---|---|---|---|
| At&t (T) | 18.4 | $125M | 4.3M | 28.99 | |
| United Parcel Svcs CL B (UPS) | 11.7 | $80M | 812k | 98.38 | |
| Johnson & Johnson (JNJ) | 7.8 | $53M | 216k | 244.44 | |
| JPMorgan Chase & Co. (JPM) | 7.1 | $48M | 164k | 294.16 | |
| Coca-Cola Company (KO) | 5.1 | $35M | 456k | 76.05 | |
| International Business Machines (IBM) | 5.0 | $34M | 140k | 242.39 | |
| American Express Company (AXP) | 4.3 | $29M | 96k | 302.48 | |
| Cleveland-cliffs (CLF) | 4.2 | $29M | 3.4M | 8.45 | |
| Ford Motor Company (F) | 3.6 | $24M | 2.1M | 11.54 | |
| Campbell Soup Company (CPB) | 3.3 | $22M | 1.0M | 22.27 | |
| Caterpillar (CAT) | 2.9 | $20M | 28k | 708.46 | |
| SLB Com Stk (SLB) | 2.6 | $18M | 345k | 51.39 | |
| Merck & Co (MRK) | 2.3 | $16M | 132k | 120.29 | |
| Deere & Company (DE) | 2.3 | $16M | 28k | 563.30 | |
| Exxon Mobil Corporation (XOM) | 1.7 | $12M | 69k | 169.66 | |
| Walt Disney Company (DIS) | 1.6 | $11M | 117k | 96.38 | |
| Apple (AAPL) | 1.6 | $11M | 44k | 253.79 | |
| Microsoft Corporation (MSFT) | 1.6 | $11M | 30k | 370.17 | |
| Washington Trust Ban (WASH) | 1.5 | $10M | 301k | 33.46 | |
| State Str Spdr S&p 500 Etf T Tr Unit (SPY) | 1.0 | $6.9M | 11k | 650.34 | |
| Verizon Communications (VZ) | 0.8 | $5.3M | 105k | 50.20 | |
| Union Pacific Corporation (UNP) | 0.7 | $4.7M | 19k | 242.62 | |
| Procter & Gamble Company (PG) | 0.6 | $4.3M | 30k | 144.44 | |
| Emerson Electric (EMR) | 0.6 | $3.9M | 30k | 131.02 | |
| McDonald's Corporation (MCD) | 0.6 | $3.9M | 13k | 310.79 | |
| NVIDIA Corporation (NVDA) | 0.6 | $3.8M | 22k | 174.40 | |
| Invesco Qqq Tr Unit Ser 1 (QQQ) | 0.6 | $3.8M | 6.5k | 577.18 | |
| Raytheon Technologies Corp (RTX) | 0.5 | $3.7M | 19k | 192.90 | |
| Shell Spon Ads (SHEL) | 0.5 | $3.6M | 39k | 93.00 | |
| Abbott Laboratories (ABT) | 0.5 | $3.5M | 34k | 102.67 | |
| 3M Company (MMM) | 0.5 | $3.4M | 23k | 145.23 | |
| Invesco Exchange Traded Fd T S&p500 Eql Wgt (RSP) | 0.4 | $2.9M | 15k | 191.92 | |
| Kyndryl Hldgs Common Stock (KD) | 0.4 | $2.6M | 200k | 13.12 | |
| Colgate-Palmolive Company (CL) | 0.4 | $2.5M | 29k | 85.23 | |
| Thomson Reuters Corp. (TRI) | 0.3 | $2.2M | 25k | 89.98 | |
| Eli Lilly & Co. (LLY) | 0.3 | $2.0M | 2.1k | 919.77 | |
| Medtronic SHS (MDT) | 0.3 | $1.9M | 22k | 86.65 | |
| Novartis Sponsored Adr (NVS) | 0.2 | $1.6M | 11k | 152.75 | |
| Unilever Spon Adr New (UL) | 0.2 | $1.6M | 28k | 56.97 | |
| Home Depot (HD) | 0.2 | $1.1M | 3.3k | 328.89 | |
| State Str Spdr Dow Jones Ind Ut Ser 1 (DIA) | 0.1 | $926k | 2.0k | 463.19 | |
| Chevron Corporation (CVX) | 0.1 | $724k | 3.5k | 206.90 | |
| Ishares Tr Russell 2000 Etf (IWM) | 0.1 | $711k | 2.9k | 248.00 | |
| Dupont De Nemours (DD) | 0.1 | $653k | 14k | 45.80 | |
| Howmet Aerospace (HWM) | 0.1 | $576k | 2.5k | 230.46 | |
| Wells Fargo & Company (WFC) | 0.1 | $537k | 6.7k | 79.61 | |
| Ishares Tr Core S&p Mcp Etf (IJH) | 0.1 | $524k | 7.8k | 67.53 | |
| Select Sector Spdr Tr State Street Fin (XLF) | 0.1 | $494k | 10k | 49.37 | |
| Carrier Global Corporation (CARR) | 0.1 | $483k | 8.6k | 56.31 | |
| Alphabet Cap Stk Cl A (GOOGL) | 0.1 | $437k | 1.5k | 287.56 | |
| Pepsi (PEP) | 0.1 | $419k | 2.7k | 155.29 | |
| Abbvie (ABBV) | 0.1 | $413k | 1.9k | 217.49 | |
| Qnity Electronics Common Stock (Q) | 0.1 | $378k | 3.3k | 115.38 | |
| Otis Worldwide Corp (OTIS) | 0.0 | $331k | 4.3k | 77.08 | |
| Amazon (AMZN) | 0.0 | $292k | 1.4k | 208.27 | |
| Cisco Systems (CSCO) | 0.0 | $283k | 3.7k | 77.59 | |
| Amgen (AMGN) | 0.0 | $264k | 750.00 | 351.85 | |
| Lowe's Companies (LOW) | 0.0 | $255k | 1.1k | 236.28 | |
| Berkshire Hathaway Inc Del Cl B New (BRK.B) | 0.0 | $240k | 500.00 | 479.20 | |
| Williams Companies (WMB) | 0.0 | $218k | 3.0k | 72.78 |