AR ASSET MANAGEMENT INC - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 9, 2026, for the 2025 Q4 period, AR ASSET MANAGEMENT INC held in its portfolio 115 assets valued at $489,538 (i.e. $489.54K).

The most valuable assets in the portfolio included: APPLE INC. ($67.74K), ALPHABET INC. CL C ($20.52K), and JPMORGAN CHASE & CO. ($19.28K).

The chart below shows the top 10 valuable assets, and the table below shows the top 115 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in AR ASSET MANAGEMENT INC Portfolio
APPLE INC.
ALPHABET INC. CL C
JPMORGAN CHASE & CO.
PHILIP MORRIS INTERNATIONAL-AL
CHEVRON CORP
MERCK & CO., INC.
NVIDIA CORPORATION
BERKSHIRE HATHAWAY INC. CL A
COCA-COLA CO
MICROSOFT CORPORATION
AR ASSET MANAGEMENT INC - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
APPLE INC. 249153 67735 COM
ALPHABET INC. CL C 65390 20519 COM
JPMORGAN CHASE & CO. 59825 19277 COM
PHILIP MORRIS INTERNATIONAL-AL 111528 17889 COM
CHEVRON CORP 113364 17278 COM
MERCK & CO., INC. 155220 16338 COM
NVIDIA CORPORATION 78230 14590 COM
BERKSHIRE HATHAWAY INC. CL A 18 13586 COM
COCA-COLA CO 170231 11901 COM
MICROSOFT CORPORATION 24399 11800 COM
IRON MOUNTAIN INC. REIT 130600 10833 COM
PROCTER & GAMBLE CO 75359 10800 COM
BERKSHIRE HATHAWAY INC. CL B 20418 10263 COM
ABBVIE INC. 42960 9816 COM
INTERNATIONAL BUSINESS MACHINE 31452 9316 COM
GENERAL MOTORS COMPANY 113540 9233 COM
WALMART INC. 80300 8946 COM
LOEWS CORP 77917 8205 COM
AMAZON.COM, INC. 34425 7946 COM
TANGER INC. REIT 237050 7910 COM
KINDER MORGAN, INC. 245570 6751 COM
HOME DEPOT 19250 6624 COM
JOHNSON & JOHNSON 30597 6332 COM
PEPSICO 42209 6058 COM
ALTRIA GROUP INC. 104401 6020 COM
NIKE, INC. CL B 90670 5777 COM
ENTERPRISE PRODUCTS PARTNERS, 177060 5677 COM
ROCHE HOLDING LTD ADR 107700 5554 COM
ENERGY TRANSFER LP 314420 5185 COM
BANK OF HAWAII CORPORATION 72760 4975 COM
ZOETIS INC. 37864 4764 COM
CHUBB LIMITED (FRMLY ACE LIMIT 14906 4652 COM
AON PLC 11618 4100 COM
VERIZON COMMUNICATIONS INC. 100259 4084 COM
BRISTOL-MYERS SQUIBB CO 74774 4033 COM
PFIZER, INC. 158661 3951 COM
CATERPILLAR INC. 6700 3838 COM
DIGITAL REALTY TRUST, INC. REI 22840 3534 COM
BRITISH AMERICAN TOBACCO PLC - 61464 3480 COM
EQUITY RESIDENTIAL REIT 54500 3436 COM
RTX CORP (FRMLY RAYTHEON TECH 17400 3191 COM
TAIWAN SEMICONDUCTOR MFG CO LT 10121 3076 COM
VICI PROPERTIES INC. (REIT) 101850 2864 COM
GENERAL MILLS, INC. 56000 2604 COM
SEMPRA ENERGY 29000 2560 COM
MONDELEZ INTL INC.(FMRLY KRAFT 45500 2449 COM
KKR & CO. INC. 18000 2295 COM
REXFORD INDUSTRIAL REALTY, INC 57050 2209 COM
MCDONALD'S CORP 7000 2139 COM
CONSTELLATION BRANDS, INC. 15200 2097 COM
CONOCOPHILLIPS 21700 2031 COM
MORGAN STANLEY 11400 2024 COM
PRUDENTIAL FINANCIAL INC 5.625 73000 1739 PREFERRED
ASML HOLDING ADR 1624 1737 COM
TEXAS INSTRUMENTS INC. 10000 1735 COM
UNION PACIFIC CORPORATION 7500 1735 COM
BLACKSTONE INC. (THE) 11000 1696 COM
NESTLE SA - SPON ADR 17000 1679 COM
CIGNA CORP (ACQUIRED EXPRESS S 5932 1633 COM
ON HOLDING AG 35000 1627 COM
PHILLIPS 66 12600 1626 COM
NOVARTIS AG - ADR 10750 1482 COM
EXXON MOBIL CORPORATION 12300 1480 COM
VISA INC. 4185 1468 COM
BROOKFIELD PRPTY PTNRS LP 6.5 98000 1431 PREFERRED
FORD MOTOR COMPANY 107890 1416 COM
KIMBERLY-CLARK 13520 1364 COM
LVMH MOET HENNESSY LOUIS VUITT 8500 1282 COM
INTUITIVE SURGICAL, INC. 2250 1274 COM
AMERICAN ELECTRIC POWER 10000 1153 COM
DISNEY WALT CO 10000 1138 COM
ABBOTT LABORATORIES 8700 1090 COM
JPMORGAN CHASE 6.00 CALLABLE 43000 1081 PREFERRED
ELI LILLY & CO. 1000 1075 COM
RALPH LAUREN CORP (FMLY POLO R 3000 1061 COM
EDWARDS LIFESCIENCES CORP. 11620 991 COM
ENBRIDGE INC. 20000 957 COM
COLGATE-PALMOLIVE COMPANY 12000 948 COM
TRAVELERS COMPANIES, INC. 3264 947 COM
EMERSON ELECTRIC CO 7130 946 COM
AVALONBAY COMMUNITIES, INC REI 5000 907 COM
YUM BRANDS INC. (FORMERLY TRIC 5960 902 COM
UBER TECHNOLOGIES INC. 11000 899 COM
PUBLIC STORAGE 5.15 SER F CAL 40000 826 PREFERRED
RIO TINTO PLC SPONSORED ADR 10000 800 COM
APPLIED MATERIALS INC 3075 790 COM
U.S. BANCORP (FORMERLY FIRST B 14610 780 COM
CARRIER GLOBAL CORP (RTX SPINO 14300 756 COM
SYSCO CORP 10000 737 COM
ASTRAZENECA PLC-SPONS ADR 8000 735 COM
FEDERAL REALTY INVESTMENT TRUS 7000 706 COM
OTIS WORLDWIDE CORP (RTX SPINO 7150 625 COM
BROADCOM INC. 1800 623 COM
PUBLIC STORAGE - REIT 2388 620 COM
ZIMMER BIOMET HOLDINGS(FRMLY Z 6700 602 COM
ARCHER-DANIELS-MIDLAND CORP 10172 585 COM
ORACLE CORP 3000 585 COM
FIDELITY NATIONAL FINANCIAL, I 10458 571 COM
DARDEN RESTAURANTS INC. 3000 552 COM
COSTCO WHOLESALE CORP 600 517 COM
UNITED PARCEL SERVICE, INC. CL 5100 506 COM
VODAFONE GROUP PLC SPONS ADR 32564 430 COM
TOAST, INC. 11800 419 COM
ALLSTATE CORP 2000 416 COM
BXP INC. (FRMLY BOSTON PROPERT 6000 405 COM
BP PLC SPONS ADR 11642 404 COM
FIDELITY NATIONAL INFORMATION 5364 356 COM
SWIRE PACIFIC LTD SPONS ADR RP 40000 321 COM
METLIFE INC. 4000 316 COM
CITIGROUP INC. 2576 301 COM
AEGON LTD - NY REG SHRS 36691 283 COM
YUM CHINA HOLDINGS, INC. 5600 267 COM
COPT DEFENSE PROP REIT(FRM COR 9100 253 COM
CARDINAL HEALTH INC. 1002 206 COM
CHURCH & DWIGHT 2400 201 COM