Maple Capital Management

Maple Capital Management as of March 31, 2026

Portfolio Holdings for Maple Capital Management

Maple Capital Management holds 119 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
Apple (AAPL) 8.8 $131M 516k 253.79
Alphabet Cap Stk Cl C (GOOG) 8.1 $121M 422k 286.86
NVIDIA Corporation (NVDA) 7.7 $115M 658k 174.40
Microsoft Corporation (MSFT) 6.5 $96M 261k 370.17
Amazon (AMZN) 5.7 $86M 411k 208.27
Costco Wholesale Corporation (COST) 4.2 $63M 64k 996.43
Meta Platforms Cl A (META) 3.8 $57M 100k 572.13
Ishares Tr Core S&p Scp Etf (IJR) 3.2 $48M 388k 124.31
JPMorgan Chase & Co. (JPM) 3.1 $47M 160k 294.16
Texas Instruments Incorporated (TXN) 3.1 $46M 237k 194.14
Eli Lilly & Co. (LLY) 2.9 $44M 48k 919.78
Johnson & Johnson (JNJ) 2.8 $42M 172k 244.44
Mastercard Incorporated Cl A (MA) 2.7 $41M 82k 499.66
Chevron Corporation (CVX) 2.5 $37M 179k 206.90
TJX Companies (TJX) 2.4 $36M 224k 159.70
Honeywell International (HON) 2.4 $35M 156k 226.03
Applied Materials (AMAT) 2.3 $34M 99k 341.79
Morgan Stanley Com New (MS) 2.0 $30M 181k 164.57
Broadcom (AVGO) 1.8 $27M 87k 309.51
Home Depot (HD) 1.7 $25M 77k 328.89
Ge Aerospace Com New (GE) 1.7 $25M 87k 283.77
American Express Company (AXP) 1.5 $22M 73k 302.48
Accenture Plc Ireland Shs Class A (ACN) 1.5 $22M 112k 198.29
Air Products & Chemicals (APD) 1.5 $22M 75k 290.49
Ishares Core Msci Emkt (IEMG) 1.3 $19M 273k 69.75
Cme (CME) 1.2 $19M 63k 295.35
S&p Global (SPGI) 1.2 $18M 43k 425.34
Abbott Laboratories (ABT) 1.2 $17M 169k 102.67
Intuitive Surgical Com New (ISRG) 1.1 $17M 37k 460.99
Colgate-Palmolive Company (CL) 1.0 $15M 180k 85.23
Ecolab (ECL) 0.8 $12M 46k 266.02
Chipotle Mexican Grill (CMG) 0.8 $12M 369k 32.01
Taiwan Semiconductor Manufac Sponsored Ads (TSM) 0.8 $12M 35k 337.95
Netflix (NFLX) 0.8 $12M 120k 96.15
Zoetis Cl A (ZTS) 0.7 $10M 87k 118.21
Uber Technologies (UBER) 0.6 $8.7M 121k 71.93
Msci (MSCI) 0.5 $7.2M 13k 539.01
Fidelity Merrimack Str Tr Total Bd Etf (FBND) 0.3 $5.0M 111k 45.62
State Str Spdr S&p 500 Etf T Tr Unit (SPY) 0.2 $3.0M 4.6k 650.38
Spdr Series Trust State Street Spd (SPYM) 0.2 $2.9M 38k 76.54
Exxon Mobil Corporation (XOM) 0.2 $2.7M 16k 169.66
Berkshire Hathaway Inc Del Cl B New (BRK.B) 0.2 $2.6M 5.4k 479.20
Alphabet Cap Stk Cl A (GOOGL) 0.2 $2.5M 8.8k 287.57
Ishares Tr Msci Eafe Etf (EFA) 0.2 $2.5M 26k 97.13
Ishares Tr Core S&p Mcp Etf (IJH) 0.1 $2.1M 32k 67.53
Ishares Tr Core S&p500 Etf (IVV) 0.1 $2.1M 3.2k 653.11
J P Morgan Exchange Traded F Ultra Shrt Etf (JPST) 0.1 $1.8M 35k 50.61
Corning Incorporated (GLW) 0.1 $1.6M 12k 135.97
Vanguard Index Fds S&p 500 Etf Shs (VOO) 0.1 $1.3M 2.2k 597.52
Ishares Tr Core Msci Total (IXUS) 0.1 $1.3M 15k 86.64
Procter & Gamble Company (PG) 0.1 $1.2M 8.4k 144.44
Tesla Motors (TSLA) 0.1 $1.2M 3.2k 371.75
Invesco Qqq Tr Unit Ser 1 (QQQ) 0.1 $1.1M 1.9k 577.18
International Business Machines (IBM) 0.1 $1.0M 4.2k 242.37
Merck & Co (MRK) 0.1 $1.0M 8.4k 120.29
Vanguard Specialized Funds Div App Etf (VIG) 0.1 $994k 4.6k 215.06
McDonald's Corporation (MCD) 0.1 $927k 3.0k 310.79
Caterpillar (CAT) 0.1 $855k 1.2k 708.60
Abbvie (ABBV) 0.1 $827k 3.8k 217.51
Union Pacific Corporation (UNP) 0.1 $823k 3.4k 242.62
PNC Financial Services (PNC) 0.1 $795k 3.8k 208.09
Berkshire Hathaway Inc Del Cl A (BRK.A) 0.0 $718k 1.00 718140.00
Cisco Systems (CSCO) 0.0 $664k 8.6k 77.59
Sherwin-Williams Company (SHW) 0.0 $658k 2.1k 320.55
Visa Com Cl A (V) 0.0 $638k 2.1k 302.30
Danaher Corporation (DHR) 0.0 $631k 3.3k 189.60
Nextera Energy (NEE) 0.0 $622k 6.7k 92.88
T Rowe Price Etf Price Blue Chip (TCHP) 0.0 $615k 14k 44.18
Oracle Corporation (ORCL) 0.0 $576k 3.9k 147.10
Coca-Cola Company (KO) 0.0 $563k 7.4k 76.04
Trustmark Corporation (TRMK) 0.0 $557k 13k 42.14
Vanguard Index Fds Total Stk Mkt (VTI) 0.0 $545k 1.7k 320.81
Moody's Corporation (MCO) 0.0 $534k 1.2k 436.25
Select Sector Spdr Tr State Street Uti (XLU) 0.0 $485k 11k 45.89
Pepsi (PEP) 0.0 $480k 3.1k 155.29
Schwab Strategic Tr Us Dividend Eq (SCHD) 0.0 $473k 15k 30.68
Quest Diagnostics Incorporated (DGX) 0.0 $453k 2.3k 195.98
Lowe's Companies (LOW) 0.0 $453k 1.9k 236.28
Ishares Tr Msci Acwi Ex Us (ACWX) 0.0 $449k 6.6k 68.47
Ishares Tr Sp Smcp600vl Etf (IJS) 0.0 $438k 3.7k 118.45
Ishares Tr Rus 1000 Etf (IWB) 0.0 $423k 1.2k 356.56
Waste Management (WM) 0.0 $410k 1.8k 229.79
Edwards Lifesciences (EW) 0.0 $399k 5.0k 80.08
Wal-Mart Stores (WMT) 0.0 $398k 3.2k 124.28
Wec Energy Group (WEC) 0.0 $390k 3.4k 115.77
Ishares Tr National Mun Etf (MUB) 0.0 $382k 3.6k 106.15
Philip Morris International (PM) 0.0 $380k 2.3k 165.34
Verizon Communications (VZ) 0.0 $380k 7.6k 50.20
Automatic Data Processing (ADP) 0.0 $376k 1.9k 203.18
Medtronic SHS (MDT) 0.0 $357k 4.1k 86.65
Ge Vernova (GEV) 0.0 $348k 398.00 873.02
Vanguard Index Fds Growth Etf (VUG) 0.0 $315k 721.00 436.79
California Water Service (CWT) 0.0 $302k 6.7k 45.34
Trane Technologies SHS (TT) 0.0 $302k 724.00 416.74
Ishares Tr Core Msci Eafe (IEFA) 0.0 $279k 3.1k 90.53
Qualcomm (QCOM) 0.0 $275k 2.1k 128.79
Thermo Fisher Scientific (TMO) 0.0 $272k 554.00 491.53
Rockwell Automation (ROK) 0.0 $270k 753.00 358.88
CF Industries Holdings (CF) 0.0 $266k 2.1k 129.84
IDEXX Laboratories (IDXX) 0.0 $264k 469.00 561.89
Jefferies Finl Group (JEF) 0.0 $261k 6.3k 41.27
Lockheed Martin Corporation (LMT) 0.0 $241k 399.00 604.39
Ishares Tr Msci Usa Qlt Fct (QUAL) 0.0 $237k 1.2k 191.81
Prologis (PLD) 0.0 $234k 1.8k 132.18
Roper Industries (ROP) 0.0 $227k 640.00 353.86
Qxo Com New (QXO) 0.0 $222k 11k 19.42
Vanguard Tax-managed Fds Van Ftse Dev Mkt (VEA) 0.0 $218k 3.4k 64.07
Ishares Tr Rus 1000 Val Etf (IWD) 0.0 $218k 1.0k 213.67
UnitedHealth (UNH) 0.0 $214k 791.00 270.50
Amgen (AMGN) 0.0 $213k 606.00 351.80
Capital One Financial (COF) 0.0 $209k 1.1k 182.43
Ishares Tr S&p 500 Grwt Etf (IVW) 0.0 $207k 1.8k 113.11
Raytheon Technologies Corp (RTX) 0.0 $207k 1.1k 192.90
Pfizer (PFE) 0.0 $204k 7.3k 28.08
Linde SHS (LIN) 0.0 $204k 411.00 495.76
Best Buy (BBY) 0.0 $201k 3.1k 64.20
Norfolk Southern (NSC) 0.0 $201k 699.00 287.00
At&t (T) 0.0 $200k 6.9k 28.99
Ford Motor Company (F) 0.0 $132k 11k 11.54