DILLON & ASSOCIATES INC - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 9, 2026, for the 2025 Q4 period, DILLON & ASSOCIATES INC held in its portfolio 77 assets valued at $774,447 (i.e. $774.45K).

The most valuable assets in the portfolio included: NVIDIA Corp ($161.89K), Apple Inc ($69.36K), and Alphabet Inc Cl A ($60.59K).

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 DILLON & ASSOCIATES INC Portfolio
NVIDIA Corp
Apple Inc
Alphabet Inc Cl A
Visa Inc
Stryker Corp
Abbott Laboratories
Amazon.com Inc
Palo Alto Networks
Alphabet Inc Cl C
Automatic Data Proc
DILLON & ASSOCIATES INC - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
NVIDIA Corp 870360 161887 COMM
Apple Inc 255000 69360 COMM
Alphabet Inc Cl A 193562 60585 COMM
Visa Inc 116411 40860 COMM
Stryker Corp 86307 30294 COMM
Abbott Laboratories 226443 28305 COMM
Amazon.com Inc 97288 22474 COMM
Palo Alto Networks 116104 21363 COMM
Alphabet Inc Cl C 58941 18507 COMM
Automatic Data Proc 70464 18109 COMM
Lowe's Companies Inc 74862 18042 COMM
Intuitive Surgical 31836 18019 COMM
O'Reilly Automotive Inc 191101 17390 COMM
Novo-Nordisk A-S ADR 301198 15361 COMM
Casey's General Stores 26254 14518 COMM
Norfolk Southern Corp 48855 14119 COMM
Air Products & Chemicals 56950 14067 COMM
Ecolab Inc 51980 13671 COMM
Danaher Corporation 54692 12524 COMM
Costco Wholesale Corp 13658 11773 COMM
Paycom Software 71181 11318 COMM
Chipotle Mexican Grill 290449 10747 COMM
Microsoft Corp 18478 8943 COMM
Salesforce.com 31949 8466 COMM
Meta Platforms Inc 12312 8126 COMM
Lilly (Eli) 7111 7644 COMM
RTX Corp 40327 7380 COMM
Canadian Nat'l Railway 73546 7281 COMM
Eaton Corp PLC 21976 7010 COMM
Starbucks Corp 77530 6513 COMM
NextEra Energy Inc 75627 6050 COMM
Paychex Inc 46430 5200 COMM
JP Morgan Chase & Co 15665 5044 COMM
Johnson & Johnson 23608 4887 COMM
PepsiCo Inc 32166 4632 COMM
Monster Beverage Corp 54557 4201 COMM
Home Depot 11111 3822 COMM
Regeneron Pharmaceuticals 4373 3376 COMM
McDonald's Corp 9369 2867 COMM
Procter & Gamble 17259 2468 COMM
AstraZeneca PLC 25963 2389 COMM
Colgate-Palmolive 28656 2264 COMM
Wal-Mart Stores 16397 1820 COMM
ASML Holding NV 1583 1694 COMM
AbbVie Inc 7071 1612 COMM
Fiserv Inc 22118 1482 COMM
Honeywell Int'l 6901 1346 COMM
Celsius Holdings Inc 29202 1343 COMM
Analog Devices 4182 1133 COMM
QUALCOMM Inc 6333 1083 COMM
Sysco Corp 13505 999 COMM
Generac Holdings Inc 6956 946 COMM
Amgen Inc 2483 812 COMM
Netflix Inc 6218 584 COMM
Disney Walt Co 4940 563 COMM
Adobe Inc 1416 496 COMM
Mondelez Int'l 8575 463 COMM
Rockwell Automation inc 1187 462 COMM
Hershey Company 2458 447 COMM
Emerson Electric 3208 427 COMM
Cisco Systems 5413 417 COMM
Tesla Motors Inc 865 389 COMM
UnitedHealth Group Inc 1113 367 COMM
AFLAC Inc 3300 363 COMM
Capital One Fin'l 1502 363 COMM
Marsh & McLennan 1800 335 COMM
Novartis AG ADS 2202 304 COMM
Taiwan Semiconductor Mfg ADR 1000 304 COMM
U S Bancorp 5176 274 COMM
Constellation Brands Inc 1953 270 COMM
Berkshire Hathaway Cl B 520 262 COMM
Coca-Cola Co 3725 261 COMM
Enbridge Inc 5237 251 COMM
Palantir Technologies Inc 1310 233 COMM
Merck & Co Inc 2078 218 COMM
Linde PLC 508 216 COMM
ImmunityBio Inc 25800 52 COMM