DEARBORN PARTNERS LLC Q3 2025 Filing

Filed November 10, 2025

Portfolio Value

$2.1T

Holdings

255

Report Date

Q3 2025

Filing Type

13F-HR

All Holdings (255 positions)

#StockSharesValue% PortfolioType
1
AAPLApple Inc.
462,537$117.8B5.52%
2
MSFTMicrosoft Corp
186,307$96.5B4.52%
3
ADPAutomatic Data Processing
193,820$56.9B2.67%
4
MCDMcDonalds Corp
168,490$51.2B2.40%
5
CASYCasey's General Stores Inc
86,041$48.6B2.28%
6
HDHome Depot Inc
109,053$44.2B2.07%
7
WECWEC Energy Group Inc
381,925$43.8B2.05%
8
WMTWal-Mart Stores
421,815$43.5B2.04%
9
RSGRepublic Services Inc
178,496$41.0B1.92%
10
MAMastercard Inc
71,392$40.6B1.90%
11
APHAmphenol Corp Cl A
327,599$40.5B1.90%
12
ABBVAbbVie Inc
174,046$40.3B1.89%
13
WSOWatsco, Inc.
97,935$39.6B1.86%
14
QCOMQualcomm Inc.
234,591$39.0B1.83%
15
AJGArthur J. Gallagher & Co
125,990$39.0B1.83%
16
TSCOTractor Supply Company
682,517$38.8B1.82%
17
ITWIllinois Tool Works Inc
148,343$38.7B1.81%
18
SNASnap-On
109,144$37.8B1.77%
19
XOMExxon Mobil Corp
330,695$37.3B1.75%
20
ATOAtmos Energy Corporation
214,056$36.6B1.71%
21
INTUIntuit
49,417$33.7B1.58%
22
SHWSherwin-Williams Co
96,654$33.5B1.57%
23
COSTCostco Wholesale Corp
35,898$33.2B1.56%
24
BACVerizon Communications
752,993$33.1B1.55%
25
PGProcter & Gamble Co
212,983$32.7B1.53%
26
ABTAbbott Labs
243,636$32.6B1.53%
27
CTVACorteva Inc
470,442$31.8B1.49%
28
TMUST-Mobile US Inc.
132,319$31.7B1.49%
29
SYKStryker Corp
84,085$31.1B1.46%
30
TXNTexas Instruments Incorporated
165,864$30.5B1.43%
31
ACNAccenture PLC Cl A
121,270$29.9B1.40%
32
MKC/VMcCormick & Company Inc
443,288$29.7B1.39%
33
SPGIS&P Global, Inc.
60,627$29.5B1.38%
34
MSIMotorola Solutions, Inc.
64,389$29.4B1.38%
35
STESteris plc
118,221$29.3B1.37%
36
CITCintas Corp
140,612$28.9B1.35%
37
NDAQNasdaq, Inc.
323,743$28.6B1.34%
38
FASTFastenal Company
563,828$27.7B1.30%
39
JPMJ P Morgan Chase & Co
85,149$26.9B1.26%
40
AWCAmerican Water Works Co
178,939$24.9B1.17%
41
TRI4EURThomson Reuters
158,580$24.6B1.15%
42
BRBroadridge Financial Solutions
102,770$24.5B1.15%
43
MRKMerck & Co Inc
228,899$19.2B0.90%
44
EQIXEquinix Inc
24,127$18.9B0.89%
45
MDLZMondelez International Inc A
291,004$18.2B0.85%
46
ZTSZoetis, Inc Class A
123,176$18.0B0.85%
47
NEENextEra Energy Inc
231,924$17.5B0.82%
48
ARESAres Management Corporation
108,749$17.4B0.82%
49
EOGEOG Resources Inc
154,779$17.4B0.81%
50
JKHYJack Henry & Assoc Inc Com
106,516$15.9B0.74%
51
GDGeneral Dynamics Corp
45,342$15.5B0.72%
52
JNJJohnson & Johnson
81,913$15.2B0.71%
53
POOLPool Corporation
48,956$15.2B0.71%
54
IBMInternational Business Machine
51,865$14.6B0.69%
55
CATCaterpillar Inc
29,227$13.9B0.65%
56
GOOGLAlphabet Inc CL A
48,704$11.8B0.56%
57
BDXBecton Dickinson and Co
61,232$11.5B0.54%
58
RPMRPM Intl Inc
94,605$11.2B0.52%
59
RSReliance Steel & Aluminum Co
34,552$9.7B0.45%
60
UNPUnion Pacific Corp
37,317$8.8B0.41%
61
GILDGilead Sciences Incorporated
75,853$8.4B0.39%
62
NVDANvidia Corp
41,634$7.8B0.36%
63
PEPPepsiCo Inc
53,343$7.5B0.35%
64
OKEONEOK, Inc.
90,621$6.6B0.31%
65
APDAir Products & Chemicals, Inc
24,219$6.6B0.31%
66
MDTMedtronic PLC
55,350$5.3B0.25%
67
CVXChevron Corp
33,645$5.2B0.24%
68
LINLinde PLC
10,931$5.2B0.24%
69
ORealty Income Corporation
83,410$5.1B0.24%
70
RTXRaytheon Technologies Com
30,094$5.0B0.24%
71
VVisa Inc Cl A
13,666$4.7B0.22%
72
NVSNNovartis AG ADR
35,160$4.5B0.21%
73
AMZNAmazon.com
20,511$4.5B0.21%
74
KMBKimberly-Clark Corp
31,490$3.9B0.18%
75
SPYMSpdr Ser Tr Portfolio S&P500
46,407$3.6B0.17%
76
SBUXStarbucks Corporation
42,805$3.6B0.17%
77
LLYEli Lilly & Co
4,686$3.6B0.17%
78
AVGOBroadcom Inc
9,993$3.3B0.15%
79
KOCoca Cola Co
49,583$3.3B0.15%
80
CMECME Group Inc
11,648$3.1B0.15%
81
DEDeere & Co
6,825$3.1B0.15%
82
BLKCHFBlackRock, Inc.
2,608$3.0B0.14%
83
HSYHershey Company
12,826$2.4B0.11%
84
CARRCarrier Global Corp Com
39,241$2.3B0.11%
85
MORNMorningstar, Inc.
9,544$2.2B0.10%
86
VCLTVanguard Long-Term Corp Bond E
26,427$2.1B0.10%
87
GOOGAlphabet Inc CL C NON Voting
8,388$2.0B0.10%
88
BXBlackstone Group Inc
11,677$2.0B0.09%
89
MAINMain Street Capital Corp
31,352$2.0B0.09%
90
NDQInvesco QQQ Trust Series 1
3,193$1.9B0.09%
91
ADIAnalog Devices Inc
7,568$1.9B0.09%
92
AGGIShares Barclays Aggregate Bon
18,079$1.8B0.08%
93
VRPInvesco Variable Rate Pref Por
73,368$1.8B0.08%
94
PREFPrincpal Spectrum Preferred Se
90,032$1.7B0.08%
95
VEAVanguard FTSE Developed Mkts E
28,560$1.7B0.08%
96
XLCCommunication Services Select
14,339$1.7B0.08%
97
SOSouthern Co
17,767$1.7B0.08%
98
SMHVanEck Vectors Semiconductor E
5,034$1.6B0.08%
99
PGRProgressive Corp Ohio Com
6,555$1.6B0.08%
100
ECLEcolab Inc
5,857$1.6B0.08%
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