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

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on January 26, 2026, for the 2025 Q4 period, CAMPBELL NEWMAN ASSET MANAGEMENT INC held in its portfolio 110 assets valued at $1,366,272,404 (i.e. $1.37B).

The most valuable assets in the portfolio included: Apple, Inc. ($93.56M), Microsoft Corp. ($88.25M), and Broadcom, Inc. ($80.31M).

The chart below shows the top 10 valuable assets, and the table below shows the top 110 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in CAMPBELL NEWMAN ASSET MANAGEMENT INC Portfolio
Apple, Inc.
Microsoft Corp.
Broadcom, Inc.
KLA Corp.
Amphenol Corp.
Eli Lilly & Co.
RTX Corp.
WEC Energy Group, Inc.
Eaton Corp. plc
AbbVie, Inc.
CAMPBELL NEWMAN ASSET MANAGEMENT INC - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
Apple, Inc. 344157 93562636 COMMON STOCKS
Microsoft Corp. 182483 88252428 COMMON STOCKS
Broadcom, Inc. 232037 80308006 COMMON STOCKS
KLA Corp. 50956 61915671 COMMON STOCKS
Amphenol Corp. 370188 50027206 COMMON STOCKS
Eli Lilly & Co. 41553 44656178 COMMON STOCKS
RTX Corp. 219861 40322474 COMMON STOCKS
WEC Energy Group, Inc. 371669 39196174 COMMON STOCKS
Eaton Corp. plc 117471 37415688 COMMON STOCKS
AbbVie, Inc. 162759 37188692 COMMON STOCKS
Lowe's Companies, Inc. 144801 34920273 COMMON STOCKS
Intercontinental Exchange, Inc 214663 34766819 COMMON STOCKS
Analog Devices, Inc. 128006 34715227 COMMON STOCKS
Jacobs Solutions, Inc. 254792 33749748 COMMON STOCKS
Nasdaq, Inc. 344191 33431272 COMMON STOCKS
Emerson Electric Co. 249775 33150138 COMMON STOCKS
TE Connectivity plc 141899 32283441 COMMON STOCKS
Wells Fargo & Co. 337184 31425549 COMMON STOCKS
Arthur J. Gallagher & Co. 121432 31425387 COMMON STOCKS
Texas Instruments, Inc. 171930 29828194 COMMON STOCKS
Abbott Laboratories 237614 29770705 COMMON STOCKS
Visa, Inc. Class A 84110 29498242 COMMON STOCKS
Mastercard, Inc. 47348 27030045 COMMON STOCKS
Moody's Corp. 46589 23799991 COMMON STOCKS
Stryker Corp. 63217 22218908 COMMON STOCKS
State Street Corp. 166768 21514740 COMMON STOCKS
The Williams Companies, Inc. 348456 20945690 COMMON STOCKS
Intuit, Inc. 30238 20030256 COMMON STOCKS
Cognizant Technology Solutions 233518 19382022 COMMON STOCKS
Amazon.com, Inc. 82531 19049805 COMMON STOCKS
Vulcan Materials Co. 65709 18741521 COMMON STOCKS
Deere & Co. 30946 14407544 COMMON STOCKS
S&P Global, Inc. 22743 11885264 COMMON STOCKS
Alphabet, Inc. Class C 35728 11211446 COMMON STOCKS
Alphabet, Inc. Class A 35439 11092407 COMMON STOCKS
Intl. Flavors & Fragrances, In 136671 9210259 COMMON STOCKS
McDonald's Corp. 23204 7091839 COMMON STOCKS
Medpace Holdings, Inc. 9039 5076754 COMMON STOCKS
NVIDIA Corp. 27114 5056761 COMMON STOCKS
Dycom Industries, Inc. 14276 4823860 COMMON STOCKS
MasTec, Inc. 22123 4808877 COMMON STOCKS
Fabrinet 10486 4774066 COMMON STOCKS
Johnson & Johnson 22601 4677277 COMMON STOCKS
Curtiss-Wright Corp. 8426 4645001 COMMON STOCKS
Modine Manufacturing Co. 30724 4101961 COMMON STOCKS
Rambus, Inc. 40346 3707394 COMMON STOCKS
Onto Innovation, Inc. 22779 3595893 COMMON STOCKS
Evercore, Inc. 9854 3352824 COMMON STOCKS
Ensign Group, Inc. 18768 3269386 COMMON STOCKS
ExlService Holdings, Inc. 76685 3254511 COMMON STOCKS
ePlus, Inc. 32955 2890154 COMMON STOCKS
The Home Depot, Inc. 8384 2884934 COMMON STOCKS
Meta Platforms, Inc. 4337 2862810 COMMON STOCKS
APi Group Corp. 73310 2804841 COMMON STOCKS
Norfolk Southern Corporation 9165 2646119 COMMON STOCKS
Halozyme Therapeutics, Inc. 35527 2390967 COMMON STOCKS
The TJX Companies, Inc. 15251 2342706 COMMON STOCKS
Lantheus Holdings, Inc. 34616 2303695 COMMON STOCKS
Amgen,Inc. 6762 2213270 COMMON STOCKS
Ollie's Bargain Outlet Holding 20089 2201955 COMMON STOCKS
Boot Barn Holdings, Inc. 12477 2201816 COMMON STOCKS
Supernus Pharmaceuticals, Inc. 44070 2190279 COMMON STOCKS
Catalyst Pharmaceuticals 90917 2122003 COMMON STOCKS
Vital Farms, Inc. 66219 2115035 COMMON STOCKS
DigitalOcean Holdings, Inc. 43667 2101256 COMMON STOCKS
Magnolia Oil & Gas Corp. Cl A 95099 2081717 COMMON STOCKS
PTC, Inc. 11709 2039825 COMMON STOCKS
VSE Corp. 11653 2013289 COMMON STOCKS
Advanced Energy Industries, In 9334 1954260 COMMON STOCKS
Bank of America Corp. 34350 1889250 COMMON STOCKS
Lithia Motors, Inc. 5636 1873012 COMMON STOCKS
Advanced Micro Devices, Inc. 8532 1827213 COMMON STOCKS
T-Mobile US, Inc. 8967 1820660 COMMON STOCKS
American Superconductor Corp. 63148 1817399 COMMON STOCKS
Cisco Systems, Inc. 23140 1782474 COMMON STOCKS
RadNet, Inc. 24848 1772905 COMMON STOCKS
The Walt Disney Co. 15565 1770830 COMMON STOCKS
AAON, Inc. 20871 1591414 COMMON STOCKS
Century Communities, Inc. 25801 1531289 COMMON STOCKS
Thermo Fisher Scientific, Inc. 2633 1525692 COMMON STOCKS
Stride, Inc. 23383 1518258 COMMON STOCKS
Oracle Corp. 7719 1504510 COMMON STOCKS
Transmedics Group, Inc. 12039 1464544 COMMON STOCKS
Clear Secure, Inc. 38881 1363945 COMMON STOCKS
PepsiCo, Inc. 9454 1356838 COMMON STOCKS
Skyward Specialty Insurance Gr 26318 1345113 COMMON STOCKS
Sprouts Farmers Market, Inc. 16596 1322203 COMMON STOCKS
Fiserv, Inc. 18911 1270252 COMMON STOCKS
Knife River Corp. 17062 1200312 COMMON STOCKS
The Hershey Co. 6379 1160850 COMMON STOCKS
Moelis 16565 1138678 COMMON STOCKS
Starbucks Corp. 13179 1109804 COMMON STOCKS
Pool Corp. 4785 1094569 COMMON STOCKS
Honeywell International, Inc. 5572 1087041 COMMON STOCKS
Upstart Holdings, Inc. 21045 920298 COMMON STOCKS
Primo Brands Corp. 53843 880333 COMMON STOCKS
NIKE, Inc. Class B 13341 849955 COMMON STOCKS
Trane Technologies plc 2127 827828 COMMON STOCKS
Motorola Solutions, Inc. 2140 820305 COMMON STOCKS
Vertex Pharmaceuticals, Inc. 1622 735350 COMMON STOCKS
O Reilly Automotive 8010 730592 COMMON STOCKS
ExxonMobil Corp. 5133 617705 COMMON STOCKS
Procter & Gamble Co. 4150 594737 COMMON STOCKS
Corcept Therapeutics, Inc. 16931 589199 COMMON STOCKS
SPDR Tr Unit Ser 1 814 555083 EXCHANGE-TRADED
Carrier Global Corp. 9488 501346 COMMON STOCKS
The Boeing Co. 2244 487217 COMMON STOCKS
Costco Wholesale Corp. 505 435482 COMMON STOCKS
Johnson Controls Intl PLC 3600 431100 COMMON STOCKS
ConocoPhillips 2451 229438 COMMON STOCKS