BRIGHT ROCK CAPITAL MANAGEMENT, LLC - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on January 15, 2026, for the 2025 Q4 period, BRIGHT ROCK CAPITAL MANAGEMENT, LLC held in its portfolio 77 assets valued at $508,696,069 (i.e. $508.70M).

The most valuable assets in the portfolio included: ALPHABET INC ($32.87M), MICROSOFT CORP ($30.95M), and MASTERCARD INCORPORATED ($17.13M).

The chart below shows the top 10 valuable assets, and the table below shows the top 77 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in BRIGHT ROCK CAPITAL MANAGEMENT, LLC Portfolio
ALPHABET INC
MICROSOFT CORP
MASTERCARD INCORPORATED
THERMO FISHER SCIENTIFIC INC
APPLE INC
MERCK & CO INC
ISHARES TR
TJX COS INC NEW
CHUBB LIMITED
SCHWAB CHARLES CORP
BRIGHT ROCK CAPITAL MANAGEMENT, LLC - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
ALPHABET INC 105000 32865000 CAP STK CL A
MICROSOFT CORP 64000 30951680 COM
MASTERCARD INCORPORATED 30000 17126400 CL A
THERMO FISHER SCIENTIFIC INC 27500 15934875 COM
APPLE INC 56000 15224160 COM
MERCK & CO INC 142000 14946920 COM
ISHARES TR 300000 14259000 U.S. ENERGY ETF
TJX COS INC NEW 92500 14208925 COM
CHUBB LIMITED 45000 14045400 COM
SCHWAB CHARLES CORP 125000 12488750 COM
UNION PAC CORP 53500 12375620 COM
BLACKROCK INC 10500 11238570 COM
HONEYWELL INTL INC 52500 10242225 COM
TEXAS INSTRS INC 59000 10235910 COM
VEEVA SYS INC 43000 9598890 CL A COM
NIKE INC 150000 9556500 CL B
ACCENTURE PLC IRELAND 35000 9390500 SHS CLASS A
PEPSICO INC 65000 9328800 COM
NEXTERA ENERGY INC 110000 8830800 COM
INTUIT 12500 8280250 COM
STARBUCKS CORP 95000 7999950 COM
SELECT SECTOR SPDR TR 50000 7756000 INDL
WALMART INC 69000 7687290 COM
MCCORMICK & CO INC 110000 7492100 COM NON VTG
LINDE PLC 17500 7461825 SHS
NVIDIA CORPORATION 40000 7460000 COM
ELEVANCE HEALTH INC FORMERLY 21000 7361550 COM
JPMORGAN CHASE & CO. 22000 7088840 COM
VERIZON COMMUNICATIONS INC 170000 6924100 COM
ORACLE CORP 35000 6821850 COM
ZOETIS INC 54000 6794280 CL A
VISA INC 18250 6400458 COM CL A
COPART INC 162000 6342300 COM
ROPER TECHNOLOGIES INC 14000 6231820 COM
ARISTA NETWORKS INC 45000 5896350 COM SHS
AMPHENOL CORP NEW 43000 5811020 CL A
META PLATFORMS INC 8000 5280720 CL A
SLB LIMITED 130000 4989400 COM STK
EXXON MOBIL CORP 40000 4813600 COM
IDEXX LABS INC 7000 4735710 COM
ECOLAB INC 18000 4725360 COM
COLGATE PALMOLIVE CO 59000 4662180 COM
WEC ENERGY GROUP INC 42000 4429320 COM
FASTENAL CO 101600 4077208 COM
MONSTER BEVERAGE CORP NEW 53000 4063510 COM
INTERCONTINENTAL EXCHANGE IN 25000 4049000 COM
TRACTOR SUPPLY CO 80000 4000800 COM
RESMED INC 15500 3733485 COM
EOG RES INC 35000 3675350 COM
HERSHEY CO 20000 3639600 COM
AMETEK INC 17500 3592925 COM
HENRY JACK & ASSOC INC 19600 3576608 COM
ROLLINS INC 50250 3016005 COM
MORGAN STANLEY 16000 2840480 COM NEW
TYLER TECHNOLOGIES INC 6250 2837188 COM
ONEOK INC NEW 34850 2561475 COM
LINCOLN ELEC HLDGS INC 10000 2396400 COM
VULCAN MATLS CO 8000 2281760 COM
HEICO CORP NEW 7000 2265130 COM
PTC INC 12500 2177625 COM
APTARGROUP INC 17500 2134300 COM
EDWARDS LIFESCIENCES CORP 25000 2131250 COM
LULULEMON ATHLETICA INC 10000 2078100 COM
GALLAGHER ARTHUR J & CO 7500 1940925 COM
PINTEREST INC 74000 1915860 CL A
BENTLEY SYS INC 50000 1908250 COM CL B
DT MIDSTREAM INC 15000 1795200 COMMON STOCK
FACTSET RESH SYS INC 6000 1741140 COM
HOME DEPOT INC 5000 1720500 COM
MORNINGSTAR INC 7500 1629825 COM
SYSCO CORP 20000 1473800 COM
ROSS STORES INC 8000 1441120 COM
WEST PHARMACEUTICAL SVSC INC 5000 1375700 COM
COTERRA ENERGY INC 50000 1316000 COM
CHIPOTLE MEXICAN GRILL INC 30000 1110000 COM
CLOROX CO DEL 10400 1048632 COM
CHEMED CORP NEW 2000 855720 COM