CCM INVESTMENT ADVISERS LLC - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on January 12, 2026, for the 2025 Q4 period, CCM INVESTMENT ADVISERS LLC held in its portfolio 89 assets valued at $1,044,740,736 (i.e. $1.05B).

The most valuable assets in the portfolio included: Alphabet Inc. Class A ($42.81M), NVIDIA Corp. ($39.72M), and Broadcom Inc ($34.84M).

The chart below shows the top 10 valuable assets, and the table below shows the top 89 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in CCM INVESTMENT ADVISERS LLC Portfolio
Alphabet Inc. Class A
NVIDIA Corp.
Broadcom Inc
Apple Inc.
Amazon.Com Inc.
Microsoft Corp.
Jabil Circuit, Inc.
Caterpillar Inc Del
Seagate Technology Holdings
Meta Platforms Inc.
CCM INVESTMENT ADVISERS LLC - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
Alphabet Inc. Class A 136768 42808388 COM
NVIDIA Corp. 212982 39721180 COM
Broadcom Inc 100655 34837011 COM
Apple Inc. 125892 34225092 COM
Amazon.Com Inc. 147399 34022638 COM
Microsoft Corp. 63992 30948044 COM
Jabil Circuit, Inc. 131470 29977952 COM
Caterpillar Inc Del 51365 29425961 COM
Seagate Technology Holdings 102281 28167330 COM
Meta Platforms Inc. 38987 25735149 COM
J. P. Morgan 75942 24470148 COM
Applied Materials Inc. 92338 23730011 COM
Cisco Systems 295448 22758422 COM
Wal Mart Stores 202966 22612503 COM
Booking Holdings Inc. 4087 21890018 COM
Home Depot Inc. 59440 20453598 COM
Netflix Inc 217007 20346641 COM
Eaton Corp. 61547 19603440 COM
Evercore Inc. 55862 19007145 COM
Eli Lilly & Co 17114 18392183 COM
Berkshire Hathaway Inc. Cl B 36136 18163760 COM
Capital One Financial 74896 18151849 COM
Crowdstrike Hldgs 37629 17638970 COM
Delta Air Lines 247128 17150699 COM
Bank Of America Corp. 305583 16807091 COM
Visa Inc. 47483 16652942 COM
AbbVie Inc. 72711 16613865 COM
Merck & Co. 152740 16077437 COM
Thermo Fisher Scientific 27724 16064733 COM
Chubb Limited 51338 16023781 COM
General Motors 193211 15711981 COM
Pepsico Inc. 107464 15423313 COM
Freeport McMoran Copper & Gold 300592 15267098 COM
Advanced Micro Devices 70521 15102777 COM
Procter & Gamble 103609 14848278 COM
KLA-Tencor Corp. 12210 14836158 COM
Southern Company 163407 14249144 COM
First Energy Corp. 304484 13631758 COM
Lockheed Martin Corp. 27495 13298660 COM
Sherwin-Williams Co. 40257 13044698 COM
Abbott Laboratories 102601 12854997 COM
Marathon Pete Corp. 76304 12409322 COM
Phillips 66 94574 12203957 COM
Duke Energy Corp. 103702 12154952 COM
Vertex Pharmctls Inc. 26249 11900247 COM
Synopsys Corp. 25128 11803124 COM
Medtronic PLC 121422 11663823 COM
Walt Disney Co. 101656 11565407 COM
Prologis Inc 89591 11437274 COM
Chevron Corp. 73982 11275622 COM
State Street Corp. 76879 9918159 COM
Equinix Inc 12041 9225535 COM
Oracle Systems Corp. 38998 7601137 COM
Lam Research 43920 7518225 COM
Monolithic Power Systems 7061 6399808 COM
TJX Cos. Inc. 33442 5137025 COM
SalesForce Inc. 16705 4425321 COM
Emcor Group Inc. 5686 3478637 COM
Simon PPTY Group 12120 2243533 COM
O'Reilly Automotive Inc. 11795 1075821 COM
Qualcomm Inc. 5698 974813 COM
Alphabet Class-C Share 2567 805524 COM
iShares Bitcoin Trust ETF 13885 689390 COM
Victory 500 Index Reward Fd 8004 662313 MMF
IShares S&P 500 Index 873 597952 COM
Lowe's Companies Inc. 2425 584813 COM
American Tower Corp. 2900 509153 COM
Fiserv Inc. 7347 493531 COM
Vanguard Div. Appreciation 2200 483516 COM
UnitedHealth Group Inc. 1420 468756 COM
Standard & Poors Depository Re 674 459614 COM
Mastercard Inc. 487 278018 COM
Coca-Cola Co. 3973 277755 COM
Astrazeneca Plc Adr 2988 274686 COM
Vanguard Total Etf 779 261175 COM
Exxon Mobil Corp. 2098 252557 COM
McDonald's Corp. 772 235946 COM
Public Storage Pfd 12000 223920 PFD
Intuitive Surgical Inc 388 219747 COM
First Citizens BancShares Inc 100 214618 COM
Apollo Pfd 8000 210720 PFD
General Dynamics 625 210412 COM
Allstate 1000 208150 COM
Amgen 631 206532 COM
JP Morgan PFD 8000 201120 PFD
US Bancorp Pfd 12000 196080 PFD
Bank of America Pfd 10000 181400 PFD
Schwab Government Money Inv Fd 159740 159740 MMF
Schwab Value Adv MMF 15013 15013 MMF