Violich Capital Management, Inc. - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 3, 2026, for the 2025 Q4 period, Violich Capital Management, Inc. held in its portfolio 114 assets valued at $896,083,665 (i.e. $896.08M).

The most valuable assets in the portfolio included: Alphabet Inc Cl C ($106.94M), Alphabet Inc Cl A ($101.92M), and Microsoft Corp ($87.67M).

The chart below shows the top 10 valuable assets, and the table below shows the top 114 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in Violich Capital Management, Inc. Portfolio
Alphabet Inc Cl C
Alphabet Inc Cl A
Microsoft Corp
Apple Inc
Visa Inc Cl A
Costco Wholesale Corp
Oracle Corp
Berkshire Hathaway Inc Cl B
Abbvie Inc
SPDR Gold Shares
Violich Capital Management, Inc. - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
Alphabet Inc Cl C 340776 106935509 COM
Alphabet Inc Cl A 325628 101921564 COM
Microsoft Corp 181272 87666765 COM
Apple Inc 212967 57897209 COM
Visa Inc Cl A 143357 50276733 COM
Costco Wholesale Corp 49133 42369351 COM
Oracle Corp 212483 41415062 COM
Berkshire Hathaway Inc Cl B 58206 29257246 COM
Abbvie Inc 111394 25452415 COM
SPDR Gold Shares 51886 20562941 COM
Amazon Inc 85659 19771810 COM
Johnson & Johnson 94038 19461164 COM
Lam Research Corp 100250 17160795 COM
Alerian MLP ETF 335815 15790021 COM
Philip Morris Intl Inc 85555 13723022 COM
Honeywell Intl Inc 61536 12005058 COM
BHP Billiton Ltd Spon Ads 186326 11248501 COM
Chevron Corp 72427 11038599 COM
Pepsico Inc 73006 10477821 COM
UnitedHealth Group Inc 30312 10006294 COM
JPMorgan Chase & Co 28265 9107548 COM
Agnico Eagle Mines Ltd 53273 9031372 COM
Accenture Plc Ireland Cl A 33181 8902462 COM
Danaher Corp 35151 8046767 COM
Vanguard S&P 500 ETF 12519 7851040 COM
AON Plc Cl A 21608 7625031 COM
Union Pacific Corp 31455 7276171 COM
Broadcom Inc 18200 6299020 COM
Exxon Mobil Corp 50355 6059721 COM
Mastercard Inc Cl A 10273 5864650 COM
Cisco Sys Inc 71585 5514193 COM
Merck & Co Inc 50207 5284759 COM
Automatic Data Processing Inc 20377 5241576 COM
Verizon Communications Inc 113510 4623262 COM
Goldman Sachs Group Inc 5100 4482900 COM
Nextera Energy Inc 52397 4206431 COM
ConocoPhillips 44349 4151510 COM
CVS Health Corp 49997 3967762 COM
Becton Dickinson & Co 20286 3936904 COM
Nike Inc Cl B 60060 3826423 COM
Meta Platforms Inc Cl A 5725 3779015 COM
Amgen Inc 10250 3354928 COM
Coca Cola Co 46097 3222641 COM
Vanguard S&P Mid-Cap 400 Index Fund ETF 26500 2962700 COM
Advanced Micro Devices Inc 13100 2805496 COM
Procter & Gamble Co 19564 2803717 COM
iShares Silver Tr 42810 2757820 COM
SPDR S&P 500 ETF 3568 2433216 COM
Fleetcor Technologies Inc 7300 2196789 COM
Deere & Co 4675 2176540 COM
Stryker Corp 5100 1792497 COM
Walt Disney Co 15182 1727256 COM
Vanguard Russell 2000 Index Fund 17000 1691840 COM
iShares Core S&P 500 ETF 2269 1554129 COM
Eli Lilly & Co 1446 1553987 COM
Lockheed Martin Corp 3010 1455847 COM
Walmart Inc 12625 1406551 COM
McDonalds Corp 4573 1397646 COM
Adobe Inc 3976 1391560 COM
Rio Tinto Plc Spon ADR 16400 1312492 COM
Healthpeak Properties Inc 6250 1197250 COM
Nvidia Corp 6010 1120865 COM
iShares MSCI USA Quality Factor ETF 5540 1100355 COM
Dell Technologies Inc Cl C 8488 1068469 COM
Caterpillar Inc 1800 1031166 COM
Duke Energy Corp 8708 1020665 COM
Invesco QQQ Trust 1605 985968 COM
Pfizer Inc 28650 713385 COM
Huntington Ingalls Inds Inc 2035 692042 COM
Solstice Advanced Material Inc 14006 680411 COM
Dynatrace Inc 15000 650100 COM
Thermo Fisher Scientific Inc 1100 637395 COM
Fedex Corp 2100 606606 COM
Linde Plc 1415 603342 COM
Novartis A G Spon ADR 4347 599321 COM
Kenvue Inc 33802 583085 COM
Royal Gold Inc 2600 577954 COM
3M Co 3536 566114 COM
Veralto Corp 5546 553380 COM
Palo Alto Networks Inc 2850 524970 COM
Wesdome Gold Mines Ltd 30250 501398 COM
Astera Labs Inc 3000 499080 COM
Nestle S A Spon ADR 4940 487973 COM
Schlumberger Ltd 11450 439451 COM
Diamondback Energy Inc 2900 435957 COM
Home Depot Inc 1250 430125 COM
Blackrock Inc 400 428136 COM
Paccar Inc 3900 427089 COM
PureCycle Technologies Inc 48700 418333 COM
Colgate Palmolive Co 5120 404582 COM
Southern Co 4629 403649 COM
S&P Global Inc 750 391943 COM
Nexgen Energy Ltd 42400 390080 COM
Hewlett Packard Enterprise Co 15800 379516 COM
Enterprise Prods Partners LP 9800 314188 COM
Emerson Elec Co 2250 298620 COM
Cameco Corp 3200 292768 COM
Comerica Inc 3334 289825 COM
American Tower Corp 1650 289691 COM
Dominion Energy Inc 4655 272736 COM
Alamos Gold Inc Cl A 7000 270060 COM
Kimberly Clark Corp 2546 256866 COM
General Dynamics Corp 745 250812 COM
Acadia Pharmaceuticals Inc 9025 241058 COM
The Charles Schwab Corp 2400 239784 COM
Boeing Co 1100 238832 COM
Wells Fargo Co 2500 233000 COM
ACM Research Inc 5900 232755 COM
United Technologies Corp 1250 229250 COM
Microchip Technology Inc 3500 223020 COM
ACI Worldwide Inc 4625 221121 COM
Vanguard Mid-Cap Index Fund 730 211861 COM
Turning Point Brands Inc 1940 210296 COM
Aberdeen Standard Physical Silver Shares ETF 3000 202920 COM