TOWER BRIDGE ADVISORS - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 13, 2026, for the 2025 Q4 period, TOWER BRIDGE ADVISORS held in its portfolio 186 assets valued at $990,179,154 (i.e. $990.18M).

The most valuable assets in the portfolio included: MICROSOFT CORP ($68.57M), ALPHABET CLASS C ($58.72M), and APPLE INC ($57.25M).

The chart below shows the top 10 valuable assets, and the table below shows the top 186 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in TOWER BRIDGE ADVISORS Portfolio
MICROSOFT CORP
ALPHABET CLASS C
APPLE INC
BROADCOM INC COM
J P MORGAN CHASE &
ORACLE SYS CORP
LAM RESEARCH CORP
VISA INC
MCDONALD'S CORP
RTX CORPORATION
TOWER BRIDGE ADVISORS - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
MICROSOFT CORP 141786 68570475 COMMON
ALPHABET CLASS C 187135 58723089 COMMON
APPLE INC 210589 57250797 COMMON
BROADCOM INC COM 133863 46329984 COMMON
J P MORGAN CHASE & 124046 39970015 COMMON
ORACLE SYS CORP 148142 28874304 COMMON
LAM RESEARCH CORP 133721 22890410 COMMON
VISA INC 59492 20864439 COMMON
MCDONALD'S CORP 65242 19939894 COMMON
RTX CORPORATION 102565 18810334 COMMON
JOHNSON & JOHNSON 87805 18171340 COMMON
ALPHABET CLASS A 54993 17212809 COMMON
JACOBS SOLUTIONS I 118128 15647235 COMMON
ACCENTURE PLC 57639 15464544 COMMON
THERMO FISHER SCIE 26125 15138371 COMMON
IQVIA HOLDINGS INC 65966 14869396 COMMON
INTERCONTINENTAL E 89614 14513877 COMMON
META PLATFORMS INC 19694 12999812 COMMON
PEPSICO INC 84988 12197462 COMMON
SCHWAB CHARLES COR 119285 11917764 COMMON
EXXON MOBIL 98848 11895361 COMMON
EATON CORP PLC SHS 37231 11858446 COMMON
AON PLC SHS CL A 33362 11772783 COMMON
AMAZON COM INC 50766 11717808 COMMON
PROCTER & GAMBLE C 78601 11264257 COMMON
LOWE'S COS INC 45346 10935726 COMMON
TOLL BROTHERS INC 75897 10262792 COMMON
T MOBILE US INC 50435 10240322 COMMON
NOVARTIS ADR 70901 9775121 COMMON
COCA COLA CO. 139748 9769770 COMMON
DUKE ENERGY CORPOR 78049 9148123 COMMON
ABBVIE INC 40023 9144855 COMMON
DANAHER CORP 39552 9054179 COMMON
NVIDIA CORP 47985 8949203 COMMON
COSTCO WHOLESALE 10164 8764824 COMMON
PARKER HANNIFIN CO 9731 8553160 COMMON
CHEVRON CORP 54386 8288961 COMMON
MOODYS CORP 16191 8271205 COMMON
NEXTERA ENERGY INC 100144 8039560 COMMON
BECTON DICKINSON & 37626 7301989 COMMON
LILLY, ELI AND CO 6691 7190684 COMMON
BERKSHIRE HATHAWAY 12427 7000729 COMMON
HOME DEPOT INC 20210 6954261 COMMON
CME GROUP INC COM 24981 6821842 COMMON
WAL MART STORES IN 58751 6545476 COMMON
L3 HARRIS TECHNOLO 21683 6365478 COMMON
HONEYWELL INTL INC 32092 6260915 COMMON
AMERICAN EXPRESS C 16784 6209241 COMMON
ONEOK INC NEW 84211 6189509 COMMON
ANALOG DEVICES INC 21659 5873921 COMMON
ABBOTT LABS 46865 5871716 COMMON
LENNAR CORP 56122 5769358 COMMON
BROWN & BROWN INC 67970 5417177 COMMON
WATSCO INC 15812 5327874 COMMON
UNION PACIFIC CORP 20842 4821171 COMMON
AMGEN INC 14559 4765306 COMMON
WASTE MGMT INC DEL 21213 4660708 COMMON
CISCO SYSTEMS INC 58242 4486402 COMMON
S&P GLOBAL INC COM 8532 4458740 COMMON
LINDE PLC SHS 9975 4253240 COMMON
ENTERPRISE PRODS P 132635 4252278 COMMON
BANK OF AMERICA CO 74620 4104097 COMMON
TRAVELERS COMPANIE 13541 3927702 COMMON
WELLS FARGO & CO 40926 3814289 COMMON
GOLDMAN SACHS GROU 196807 3810451 PREFERR
MERCK & COMPANY 35935 3782502 COMMON
DEERE & CO. 7884 3670554 COMMON
AMERIPRISE FINL IN 7449 3652543 COMMON
MEDTRONIC PLC 37833 3634238 COMMON
LEIDOS HLDGS INC 20086 3623514 COMMON
AIR PRODS & CHEMS 14212 3510648 COMMON
LOCKHEED MARTIN CO 6894 3334421 COMMON
INT'L BUSINESS MAC 11038 3269566 COMMON
MONDELEZ INTL INC 60515 3257541 COMMON
TEXAS PACIFIC LAND 11162 3205950 COMMON
ENBRIDGE INC 65210 3118994 COMMON
PNC FINANCIAL CORP 14600 3047451 COMMON
UNITED PARCEL SVC 29396 2915789 COMMON
CSX CORP 79385 2877696 COMMON
QUALCOMM INC 14892 2547277 COMMON
US BANCORP DEL 5.5 135816 2424316 PREFERR
NORFOLK SOUTHERN C 8338 2407347 COMMON
ROCHE HLDG LTD ADR 46314 2398273 COMMON
SIMON PPTY GROUP I 12625 2337014 COMMON
CATERPILLAR INC 4000 2291480 COMMON
METLIFE INC PFD 103119 2229433 PREFERR
COLGATE PALMOLIVE 22822 1803394 COMMON
PHILIP MORRIS INTL 10964 1758626 COMMON
AFLAC INC 15722 1733665 COMMON
CDW CORP 12405 1689561 COMMON
TRANE TECHNOLOGIES 4158 1618294 COMMON
BANK OF AMERICA PF 86222 1591658 PREFERR
BRISTOL MYERS SQUI 26648 1437393 COMMON
VULCAN MATLS CO CO 4936 1407846 COMMON
GE AEROSPACE 4568 1407081 COMMON
AUTOMATIC DATA PRO 5454 1402932 COMMON
AMPHENOL CORP CL A 9975 1348021 COMMON
PHILLIPS 66 10148 1309498 COMMON
RAYMOND JAMES FINA 8059 1294195 COMMON
PFIZER INC 50100 1247490 COMMON
NETFLIX COM INC 12990 1217942 COMMON
ALLSTATE CORP 5753 1197487 COMMON
NISOURCE INC 26382 1101712 COMMON
SOUTHERN CO 12369 1078577 COMMON
GOLDMAN SACHS GROU 1225 1076775 COMMON
BLACKROCK INC COM 1003 1073551 COMMON
DIAMONDBACK ENERGY 7095 1066591 COMMON
BOSTON SCIENTIFIC 11100 1058385 COMMON
AMENTUM HOLDINGS I 34182 991278 COMMON
WALT DISNEY COMPAN 8528 970231 COMMON
NXP SEMICONDUCTORS 4415 958320 COMMON
MARATHON PETE CORP 5778 939676 COMMON
UNILEVER PLC SPON 13837 904940 COMMON
EMERSON ELECTRIC C 6807 903425 COMMON
FEDEX CORP 3067 885934 COMMON
PRUDENTIAL FINL IN 7349 829571 COMMON
WELLTOWER INC 4425 821324 COMMON
GE VERNOVA INC 1184 773827 COMMON
CIGNA CORP NEW COM 2727 750552 COMMON
UNITEDHEALTH GROUP 2243 740318 COMMON
CDN IMPERIAL BK CO 7614 689905 COMMON
MILLROSE PROPERTIE 22809 681316 COMMON
MCCORMICK & CO INC 9986 680146 COMMON
PROLOGIS INC COM 5195 663194 COMMON
MORGAN STANLEY PFD 33795 652244 PREFERR
APPLIED MATLS INC 2518 647101 COMMON
VERIZON COMMUNICAT 15781 642760 COMMON
ILLINOIS TOOL WORK 2514 619198 COMMON
CARRIER GLOBAL COR 11534 609457 COMMON
VICTORY PORTFOLIOS 19735 593637 MUTUAL
CONOCOPHILLIPS 6277 587590 COMMON
AMERICAN ELECTRIC 4975 573667 COMMON
VANGUARD/WELLINGTO 7201 555846 MUTUAL
A T & T INC (NEW) 21898 543946 COMMON
ALTRIA GROUP INC 9359 539640 COMMON
ADOBE SYS INC 1541 539335 COMMON
ROPER INDS INC NEW 1140 507448 COMMON
HERSHEY FOODS CORP 2700 491346 COMMON
VANGUARD BD INDEX 7829 483018 MUTUAL
TORONTO DOMINION B 5065 477123 COMMON
BK OF AMERICA CORP 25100 464350 PREFERR
DOVER CORP 2367 462133 COMMON
VERALTO CORP 4461 445146 COMMON
STARBUCKS CORP 5120 431155 COMMON
AGNICO EAGLE MINES 2500 423825 COMMON
GLOBE LIFE INC 3000 419580 COMMON
COMCAST CORP NEW C 13671 408626 COMMON
BLACKSTONE GROUP I 2609 402151 COMMON
KIMBERLY CLARK COR 3855 388931 COMMON
ALAMOS GOLD INC NE 10000 385800 COMMON
TRUIST FINANCIAL C 7820 384822 COMMON
CHUBB LIMITED 1228 383283 COMMON
SCHWAB S&P 500 IND 21731 381167 MUTUAL
UBER TECHNOLOGIES 4500 367695 COMMON
3M CO. 2243 359104 COMMON
MARSH & MCLENNAN C 1916 355456 COMMON
ASML HOLDING N V N 327 349844 COMMON
AMERICAN BALANCED 8997 337304 MUTUAL
SPROTT PHYSICAL GO 10000 330200 COMMON
SOLSTICE ADVANCED 6469 314264 COMMON
SANDOZ GROUP AG SP 4242 309697 COMMON
WILLIAMS COS INC 4979 299288 COMMON
VANGUARD US GROWTH 1522 296793 MUTUAL
CONSTELLATION ENER 826 291801 COMMON
PPG INDUSTRIES INC 2800 286888 COMMON
STATE STREET CORP 2200 283822 COMMON
OTIS WORLDWIDE COR 3034 265020 COMMON
ZETA GLOBAL HOLDIN 12600 256410 COMMON
PPL CORP 7264 254385 COMMON
CVS HEALTH CORP. 3152 250143 COMMON
FRANKLIN CUSTODIAN 98774 245948 MUTUAL
FIDELITY 500 INDEX 1013 240787 MUTUAL
REGIONS FINANCIAL 8809 238724 COMMON
WARNER BROS DISCOV 8188 235978 COMMON
EMERA INC COM 4771 234924 COMMON
INTERNATIONAL PAPE 5825 229447 COMMON
BOEING CO. 1053 228627 COMMON
CAPITAL WORLD GROW 3152 225426 MUTUAL
TAIWAN SEMICONDUCT 725 220320 COMMON
VANGUARD MUN BD FD 19990 216688 MUTUAL
VANGUARD CHARLOTTE 11124 215356 MUTUAL
TRACTOR SUPPLY CO 4125 206291 COMMON
DOMINION RES INC V 3504 205299 COMMON
VANGUARD PA TAX FR 16815 182110 MUTUAL
VANGUARD INT-TERM 18030 161012 MUTUAL
ARCOS DORADOS HOLD 11068 81239 COMMON