Ramsay, Stattman, Vela & Price, Inc.
CIK: 0001541399SEC EDGAR →
Portfolio Value
$555.2M
Holdings
80
As of
Q4 2025
New Positions
80
Closed Positions
0
Portfolio Value History
Top 10 Holdings
| Rank | Stock | Shares | Value | % of Portfolio |
|---|---|---|---|---|
| 1 | Microsoft Corp. | 105,297 | $50.9M | 9.17% |
| 2 | Apple Inc. | 166,286 | $45.2M | 8.14% |
| 3 | Nvidia Corp. | 171,237 | $31.9M | 5.75% |
| 4 | — Alphabet Inc. Cl. C | 97,093 | $30.5M | 5.49% |
| 5 | Berkshire Hathaway Cl. B | 47,735 | $24.0M | 4.32% |
| 6 | Amazon.com | 86,140 | $19.9M | 3.58% |
| 7 | Visa Inc. | 55,014 | $19.3M | 3.48% |
| 8 | Stryker Corp. | 47,869 | $16.8M | 3.03% |
| 9 | Johnson & Johnson | 70,975 | $14.7M | 2.65% |
| 10 | Danaher Corp. | 63,226 | $14.5M | 2.61% |
Quarterly Changes
Top Sells
No sells this quarter
New Positions (80)
$50.9M · 105K shares
$45.2M · 166K shares
$31.9M · 171K shares
Alphabet Inc. Cl. C
$30.5M · 97K shares
$24.0M · 48K shares
$19.9M · 86K shares
$19.3M · 55K shares
$16.8M · 48K shares
$14.7M · 71K shares
$14.5M · 63K shares
$14.2M · 55K shares
$13.9M · 111K shares
Alphabet Inc. Cl. A
$13.1M · 42K shares
$12.4M · 86K shares
$12.2M · 50K shares
$12.1M · 85K shares
$11.7M · 34K shares
$11.1M · 13K shares
$10.1M · 76K shares
$9.7M · 139K shares
$9.1M · 138K shares
$9.0M · 16K shares
$8.4M · 34K shares
$7.2M · 17K shares
Cisco Systems
$6.8M · 89K shares
$6.7M · 44K shares
$6.4M · 25K shares
$6.0M · 61K shares
$5.9M · 52K shares
$5.8M · 30K shares
$5.7M · 59K shares
$5.4M · 12K shares
$5.3M · 29K shares
$5.2M · 61K shares
$4.8M · 7K shares
$4.6M · 16K shares
$4.5M · 71K shares
$4.4M · 4K shares
Adobe Inc.
$4.3M · 12K shares
$3.9M · 16K shares
$3.7M · 54K shares
$3.5M · 44K shares
JPMorgan Chase
$3.2M · 10K shares
$2.9M · 24K shares
Vanguard Shrt-Term Corp. Bond ETF
$2.9M · 37K shares
IDEXX Laboratories
$2.7M · 4K shares
$2.3M · 7K shares
$2.1M · 10K shares
$1.8M · 18K shares
$1.8M · 15K shares
$1.6M · 26K shares
$1.5M · 28K shares
$1.5M · 8K shares
$1.4M · 5K shares
Vanguard Info. Technology ETF
$1.4M · 2K shares
$1.2M · 12K shares
$1.2M · 5K shares
$1.1M · 19K shares
$1.0M · 9K shares
$984K · 18K shares
$895K · 2K shares
$834K · 12K shares
$808K · 9K shares
$590K · 1K shares
$453K · 1K shares
$424K · 525 shares
$384K · 2K shares
$362K · 15K shares
$300K · 1K shares
$296K · 3K shares
$284K · 3K shares
$275K · 2K shares
$255K · 5K shares
$233K · 372 shares
$231K · 3K shares
$226K · 331 shares
$224K · 4K shares
$211K · 3K shares
$207K · 2K shares
$205K · 191 shares
Sector Breakdown
| Sector | # Holdings | Value | % |
|---|---|---|---|
| Technology | 9 | $147.2M | 26.5% |
| Unknown | 11 | $95.2M | 17.1% |
| Healthcare | 9 | $77.5M | 14.0% |
| Financial Services | 19 | $63.3M | 11.4% |
| Consumer Defensive | 9 | $50.6M | 9.1% |
| Consumer Cyclical | 6 | $49.0M | 8.8% |
| Industrials | 9 | $44.7M | 8.0% |
| Basic Materials | 2 | $11.1M | 2.0% |
| Energy | 2 | $9.7M | 1.7% |
| Communication Services | 3 | $6.7M | 1.2% |
| Utilities | 1 | $211K | 0.0% |