VESTOR CAPITAL, LLC Q1 2026 Filing

Filed May 21, 2026

Portfolio Value

$1.4B

Holdings

276

Report Date

Q1 2026

Filing Type

13F-HR

All Holdings (276 positions)

StockValue
BABoeing Company
$557K
KOCoca Cola Company
$541K
COPConocoPhillips
$521K
Bowater Inc
$493K
ELVElevance Health Inc
$482K
VLOValero Energy
$461K
BSXBoston Scientific Corp
$450K
GLDSpdr Gold Tr Gold Shs ETF
$446K
AJGGallagher Arthur J & Co
$443K
HBIAHills Bancorp
$439K
MSIMotorola Solutions Inc Com
$434K
PSXPhillips 66 Com
$423K
PTIRGRANITESHARES 2X LNG PLTR DLY
$405K
SLVIshares Silver Tr
$403K
FITBFifth Third Bancorp
$401K
NVDLGRANITESHARES NVDA LNG DAILY E
$399K
DFACDIMENSIONAL U S CORE EQUITY 2
$398K
RBCAARepublic Bancorp Inc. Cl. A
$395K
IBMInternational Business Machine
$378K
SPHQInvesco S&P 500 Quality ETF
$375K
ANETEURArista Networks Inc
$374K
MOAltria Group Inc
$371K
VOSeagram LTD
$370K
JUNSJUPITER NEUROSCIENCES ORD
$365K
SYKStryker Corp
$364K
NDQPowershares QQQ Tr Unit Ser 1
$360K
NOCNorthrop Grumman Corp
$332K
FELGFIDELITY ENHANCED LARGE CAP ET
$327K
XLFFinancial Select Sector SPDR F
$323K
MUUDirexion Daily MU Bull 2X Shar
$315K
WFCWells Fargo & Co
$314K
FBTCFIDELITY WISE ORIGIN BITCOIN F
$313K
NVDXT REX 2X LONG NVIDIA DAILY ETF
$312K
VBVanguard Small-Cap ETF 529F
$309K
XLFISector Spdr Tr Shs Ben Int Tec
$307K
TAT&T Inc
$305K
OLEDUniversal Display Corp
$279K
STXSeagate Technology PLC
$270K
IWFiShares Tr Russell 1000 Gorwth
$270K
AMDAdvanced Micro Devices Inc
$269K
CVXChevron Corp
$266K
DFAIDimensional International Cr E
$264K
RTXRaytheon Technologies Ord
$262K
CDWCDW Corp
$252K
XLFIConsumer Staples Select Sector
$247K
AXPAmerican Express Co.
$245K
VOOGVanguard S&P 500 Growth ETF
$238K
EWEdwards Lifesciences Corp
$235K
DONSPDR Dow Jones Industrial Aver
$232K
VBVanguard Index Fds Small-Cap E
$219K
NFLXNetflix Inc
$212K
SOXLDirexion Daily Semicondct Bull
$207K
RKTRocket Companies Inc
$195K
JEFJefferies Group Inc New Com
$192K
SPGSimon Property Group Inc
$187K
FBCGFidelity Blue Chip Growth ETF
$185K
DUKDuke Energy Corp New Com New
$181K
VVisa Inc Class A Shares
$180K
UNHUnitedhealth Group Inc
$180K
VIGVanguard Spcld Port Div App In
$170K
XELXcel Energy Inc
$165K
PLTRPalantir Technologies Inc
$165K
IWDiShares Tr Russell 1000 Value
$160K
TSSITSS Inc
$156K
GUNRFlexShares Mstar Glbl Upstrm N
$155K
ADSKAutodesk Inc
$153K
SNOUT-Rex 2X Long SNOW Daily Targe
$140K
MRSHMarsh & McLennan
$139K
MDLZMondelez Intl Incl Cl A
$138K
AWCAmerican Waterworks Co Inc
$136K
CLColgate Palmolive
$133K
MIDDMiddleby Corp
$133K
DFEVDimensional Emerging Markets V
$132K
OXYOccidental Petroleum Corp
$131K
PEOExelon Corp
$131K
DHRDanaher Corp. Del
$128K
BXBlackstone Group L P Com Unit
$125K
SCHWCharles Schwab Corp. New
$123K
Petroleo Brasileiro SA Petroba
$119K
SBUXStarbucks Corp Com
$118K
VEAVanguard Tax-Managed Intl Fd M
$117K
SPGIS&P Global Inc
$115K
KMBKimberly-Clark Corp
$114K
AMDLGraniteShares 2x Long AMD Dail
$112K
MGKVanguard World Fd Mega Cap Gr
$111K
VHTVanguard Health Care ETF
$108K
FASTFastenal Co.
$108K
BPBP Plc Spons ADR
$105K
PNCPNC Financial
$104K
SOFISoFi Technologies Inc
$104K
SAIASaia Inc
$104K
DYHTarget Corp Com
$101K
GDXVanEck Vectors Gold Miners ETF
$99K
UBERUber Technologies Inc
$98K
CRMSalesforce Inc
$98K
APLDApplied Digital Corp
$98K
BRK/BBerkshire Hathaway Inc B
$96K
TELTE Connectivity Ltd Reg Shares
$95K
XLFISelect Sector Spdr Tr Consumer
$95K
WMWaste Management Inc
$91K
PreviousPage 2 of 3Next