EVERETT HARRIS & CO /CA/ - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 11, 2026, for the 2025 Q4 period, EVERETT HARRIS & CO /CA/ held in its portfolio 333 assets valued at $8,265,873,448 (i.e. $8.27B).

The most valuable assets in the portfolio included: Apple, Inc. ($1.13B), Berkshire Hathaway Class A ($1.07B), and Microsoft Corp. ($708.59M).

The chart below shows the top 10 valuable assets, and the table below shows the top 333 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in EVERETT HARRIS & CO /CA/ Portfolio
Apple, Inc.
Berkshire Hathaway Class A
Microsoft Corp.
Costco Companies Inc.
Alphabet, Class C
Berkshire Hathaway Class B
Novo Nordisk ADR
Amazon.com
Vanguard Health Care ETF
Abbott Laboratories
EVERETT HARRIS & CO /CA/ - Stock Holdings in 13F Filings (SEC)
Items per page:
0 of 0
Name of Issuer No. of Shares Value ($) Class
Apple, Inc. 4140002 1125500969 COM
Berkshire Hathaway Class A 1416 1068796800 COM
Microsoft Corp. 1465184 708592494 COM
Costco Companies Inc. 784138 676193898 COM
Alphabet, Class C 1980958 621624473 COM
Berkshire Hathaway Class B 657811 330648758 COM
Novo Nordisk ADR 6407366 326006782 COM
Amazon.com 1026862 237020207 COM
Vanguard Health Care ETF 732278 210786207 COM
Abbott Laboratories 1458381 182720528 COM
Alphabet, Class A 563513 176379569 COM
TJX Companies, Inc. 1139561 175048034 COM
Bank of America Corp. 2800178 154009780 COM
Walt Disney Company 1162497 132257227 COM
McDonalds Corp. 395961 121017679 COM
AbbVie Inc. 516966 118121561 COM
Becton Dickinson & Co 550894 106911904 COM
Johnson & Johnson 477221 98760873 COM
Accenture Ltd. - Cl A 366321 98283924 COM
Unilever Plc ADR 1419887 92860595 COM
Wal Mart Stores, Inc. 783511 87290961 COM
Chevron Corporation 548522 83600238 COM
Starbucks Corp. 971577 81816460 COM
Nike Inc Class B 1036087 66009083 COM
Colgate-Palmolive Co. 781141 61725731 COM
Pepsico Incorporated 384714 55214200 COM
Comcast Corp CL A 1475918 44115193 COM
FactSet Research Systems, Inc. 145384 42188983 COM
American Water Works 306961 40058410 COM
Home Depot 104643 36007508 COM
Vanguard Growth ETF 67839 33095792 COM
Shell PLC 419347 30813618 COM
Expeditors International of Wa 203528 30327707 COM
Progressive Corp 132655 30208197 COM
Taiwan Semiconductor - Spons A 85873 26095946 COM
Lockheed Martin Corp. 51451 24885305 COM
Mastercard Inc 43265 24699327 COM
Merck & Company Inc. 225183 23702763 COM
Verizon Communications 559829 22801841 COM
Charles Schwab Corp. 211780 21158940 COM
RTX Corporation 115101 21109527 COM
Ecolab, Inc. 73957 19415192 COM
Jacobs Solutions Inc 143059 18949595 COM
Bank of America Corp. 14890 18642280 CONV PFD
Union Pacific Corp. 74148 17151859 COM
Exxon Mobil 139688 16810038 COM
Vanguard S&P 500 26030 16323984 COM
Anheuser-Busch InBev NV - Spon 245815 15741993 COM
Invesco PowerShares QQQ Trust 21550 13238405 COM
Henry Schein Inc 168218 12713916 COM
NextEra Energy, Inc 130783 10499259 COM
Eli Lilly & Co 8939 9606565 COM
Labcorp Holdings Inc 38003 9534193 COM
Meta Platforms Inc 14105 9310569 COM
Thermo Fisher Scientific Inc 15498 8980316 COM
J.P. Morgan Chase & Co. 26815 8640329 COM
Dominion Energy Inc 137934 8081581 COM
Procter & Gamble Co. 56009 8026658 COM
Oneok, Inc. 105230 7734405 COM
Amgen Inc. 23539 7704550 COM
iShares Core MSCI Emerging Mar 109808 7381269 FOREIGN
Simon Property Group 39374 7288452 COM
Coca Cola Company 103862 7260962 COM
Edwards Lifesciences Corp. 84658 7217094 COM
Tetra Technologies Inc 765042 7168444 COM
Nvidia Corp 38344 7151248 COM
Arrowhead Pharma Inc 104993 6970485 COM
Vanguard Ultra-Short Bond ETF 139400 6947696 BOND ETF
Pfizer Inc. 269665 6714658 COM
United Parcel Service 66236 6569973 COM
Allison Transmission Holdings 64532 6317683 COM
Canadian Pacific Kansas City L 77423 5700655 COM
Vanguard Short-Term Corp Bond 69930 5575519 BOND ETF
Cogeco Inc 118507 5497540 COM
Pason System Inc 617463 5394472 COM
Victoria's Secret & Co 99037 5364834 COM
Medtronic PLC 54275 5213618 COM
SPDR S&P 500 Index ETF 7387 5037434 COM
CSW Industrials Inc 17120 5025234 COM
Magnum Ice Cream Company NV 313786 4973505 COM
Visa Inc - Class A 14058 4930195 COM
Alexander & Baldwin Inc 238535 4923362 COM
Emerson Electric 36242 4810038 COM
Qualcomm, Inc. 28015 4791966 COM
Vanguard High Dividend Yield E 32682 4690579 COM
BlackRock, Inc. 4349 4654909 COM
Vanguard Short-Term Treasury E 70880 4162782 BOND ETF
Kinder Morgan Inc 145990 4013257 COM
Yum! Brands Inc 23854 3608633 COM
Sysco Corp. 47837 3525109 COM
CitiGroup Inc. 27969 3263703 COM
Baxter International Inc. 166896 3189384 COM
Alerian MLP Index ETN 100890 3017620 COM
Las Vegas Sands Corp 45676 2973051 COM
Valvoline Inc 101590 2952205 COM
Zimmer Biomet Holdings Inc. 32050 2881936 COM
Intuitive Surgical Inc. 5083 2878808 COM
Vanguard Short-Term Bond ETF 35195 2773714 BOND ETF
Novartis A.G. ADR 19363 2669577 COM
iShares MSCI Singapore Index F 94856 2609489 FOREIGN
Enterprise Products Partners 81311 2606845 COM
Cisco Systems Inc. 33677 2594139 COM
GE Aerospace 8373 2579135 COM
American Express Co. 6850 2534157 COM
Cardinal Health Inc. 12246 2516553 COM
Brookfield Corporation 54342 2493754 FOREIGN
Wells Fargo & Co. 26166 2438671 COM
Philip Morris International In 15170 2433268 COM
Danaher Corp 10289 2355358 COM
Int'l. Flavors & Fragrance 34570 2329672 COM
Caterpillar 3972 2275440 COM
PayPal Holdings Inc. 38095 2223986 COM
Vanguard Total Stock Market ET 6582 2206747 COM
Pax Ellevate Global Women's In 62565 2163482 COM
International Business Machine 6907 2045922 COM
Bank of Hawaii Corporation 29723 2032162 COM
Stryker Corp. 5775 2029739 COM
Automatic Data Processing Inc. 7814 2009995 COM
iShares Dow Jones US Utilities 18039 1954706 COM
Vanguard ESG US Stock ETF 16000 1935360 COM
Intel Corp. 50665 1869538 COM
Enbridge Inc. 38601 1846286 COM
Phillips 66 13620 1757525 COM
Oracle Systems Corp. 8962 1746784 COM
Dorchester Minerals LP 77389 1730418 COM
Weyerhaeuser Co. 71112 1684643 COM
iShares S&P 500 Index Fund 2344 1605499 COM
Atlanta Braves Holdings, Inc C 40399 1593735 COM
Host Hotels & Resorts 86908 1540879 COM
Vanguard Dividend Appreciation 6740 1481317 COM
WisdomTree Floating Rate Treas 28700 1444184 BOND ETF
Bath & Body Works Inc. 68585 1377192 COM
China Mobile Ltd. F (941 HK) 129000 1354230 COM
U.S. Bancorp 25059 1337127 COM
DBS Group Holdings - Spons ADR 7500 1317075 FOREIGN
US Technology SPDR 9144 1316462 COM
Arthur J Gallagher & Co. 5032 1302231 COM
Komatsu Ltd. 40900 1298575 FOREIGN
GE Vernova 1965 1284592 COM
Deere & Co. 2758 1284042 COM
TC Energy Corp 23334 1283603 COM
Broadcom Ltd 3636 1258420 COM
Altria Group, Inc. 21726 1252721 COM
Fedex Corporation 4234 1223033 COM
Honeywell Inc. 6254 1220093 COM
iShares Russell 1000 Growth In 2573 1217801 COM
Viasat Inc. 35000 1206100 COM
Utah Medical Products Inc 21344 1194410 COM
Tesla Motors 2646 1190008 COM
PACCAR Inc 10733 1175371 COM
Daily Journal Corp. 2339 1139841 COM
Boeing Company 5246 1139012 COM
3M Company 6971 1116057 COM
Netflix, Inc. 11490 1077302 COM
Alliant Energy Corp 16272 1057843 COM
Invesco S&P 500 Equal Weight E 5394 1033275 COM
eBay Inc 11838 1031090 COM
Siemens Healthineers AG 39035 1023888 COM
Williams Corp. 16962 1019586 COM
Lam Research Corporation 5913 1012187 COM
iShares Ultra Short Dur Bond A 20000 1011600 BOND ETF
AT&T 39687 985821 COM
Linde PLC 2310 984961 COM
Par Pacific Holdings Inc 27839 978262 COM
Schwab U.S. Large-Cap Growth E 29938 976578 COM
UnitedHealth Group Inc. 2953 974815 COM
OTC Markets Group Inc 18095 928273 COM
Vanguard Emerging Market ETF 17082 918348 FOREIGN
Suncor Energy Incorporated 20675 917143 COM
Coeur D'Alene Mines Corp. 51300 914679 COM
Sturm Ruger & Co Inc 27890 910608 COM
Pimco Income Fund 82252 903951 BOND ETF
iShares MSCI Emerging Markets 15691 858441 FOREIGN
S&P Global Inc 1642 858093 COM
Health Care Select SPDR 5502 851710 COM
Corning Inc. 9700 849332 COM
Federal Agricultural Mortgage 4772 837820 COM
Waste Management, Inc 3772 828746 COM
Phoenix Companies Inc 45000 822150 PFD
West Pharmaceutical Services I 2982 820467 COM
Air Products & Chemicals Inc 3298 814672 COM
Kroger Co. 13000 812240 COM
Brookfield Renewable Energy 30000 809100 COM
Schwab US Large Cap Value 26394 781526 COM
Vanguard FTSE Developed Market 12450 777745 FOREIGN
Ormat Technologies Inc. 7000 773290 COM
Hannon Armstrong Sustainable I 24600 773178 COM
Yum China Holdings Inc 16142 770619 COM
Agricultural Bank of China Ltd 41000 757065 FOREIGN
Northrop Grumman Corporation 1324 754958 COM
Chubb Ltd 2412 752833 COM
Texas Instruments Inc. 4319 749303 COM
Spirax-Sarco Engineering PLC ( 8000 733859 FOREIGN
ConocoPhillips 7816 731656 COM
Weatherford International PLC 8950 700427 COM
Applied Materials 2709 696186 COM
Carrier Global Corp 13152 694952 COM
Vanguard Info Tech Index Fund 919 692724 COM
CVS Corp. 8694 689956 COM
Kimberly Clark 6805 686556 COM
Rivian Automotive Inc. 34395 677925 COM
Eaton Corp. 2078 661864 COM
Siemens AG - Spons ADR 4726 661404 COM
Fidelity Wise Origin Bitcoin F 8514 649022 OTHER ASSET
Rogers Communications Inc 16865 636316 COM
Illinois Tool Works Inc. 2575 634222 COM
Kenvue Inc. 36762 634139 COM
Schneider Electric SA - Unspon 11530 633395 COM
Cummins Inc. 1213 619176 COM
Essential Utilities Inc 16000 613760 COM
Brookfield Renewable Corp 16000 613440 COM
Snap On Tools Corp. 1780 613388 COM
J.G. Boswell Company 1316 603590 COM
Advanced Micro Devices Inc. 2803 600290 COM
Bristol Myers Squibb Co. 10813 583253 COM
Franklin California Tax-Free M 84362 569441 BOND ETF
Vanguard Total Intl Bond ETF 11756 568050 BOND ETF
Vanguard Total Bond Market 7547 559006 BOND ETF
Vanguard California Int-term t 48083 555839 BOND ETF
Nuveen CA Quality Muni Income 46000 543260 BOND ETF
First National Bank of Alaska 1791 536852 COM
Zoetis Inc 4187 526808 COM
Lowes Cos. Inc. 2176 524764 COM
Sodexo 49410 507194 FOREIGN
iShares S&P Mid-Cap 400 ETF 7650 504900 COM
iShares S&P Glbl Technology Se 4716 495130 COM
Hubbell Inc. Class B 1100 488521 COM
Ameriprise Financial Inc 991 485927 COM
CSX Corp 13232 479660 COM
Brookfield Asset Management 9149 479316 FOREIGN
Roche Holding Ltd. 8962 462170 COM
Fidelity MSCI Information Tech 2050 460573 COM
Mondelez International 8507 457932 COM
iShares S&P Glbl Healthcare In 4630 450962 COM
Truist Financial Corporation 9080 446827 COM
First Solar Inc. 1700 444091 COM
Goldman Sachs 502 441258 COM
Schwab US Broad Market ETF 16775 440008 COM
General Dynamics Corp 1300 437658 COM
Schwab Intl Equity ETF 18156 436470 FOREIGN
Computer Modelling Group Ltd 112485 428230 COM
Lululemon Athletica Inc 2052 426426 COM
Nibe Industrier AB ORDF-SWEDEN 110000 425022 FOREIGN
Oersted A/S ORDF - DENMARK 22000 423250 FOREIGN
Grupo Aeroportuario del Pacifi 1600 421808 FOREIGN
iShares S&P Glbl Energy ETF 10000 419300 COM
Atmos Energy Corp 2422 406000 COM
Norfolk Southern Corp. 1392 401898 COM
Consumer Discretionary Select 3352 400262 COM
Check Point Software Technolog 2150 398954 COM
Otis Worldwide Corp 4518 394647 COM
Vanguard European ETF 4693 392374 FOREIGN
Public Storage Inc. 1492 387174 COM
iShares Nasdaq Biotechnology I 2235 377201 COM
The Blackstone Group Inc. Clas 2432 374868 COM
Target Corp. 3745 366074 COM
Morgan Stanley 2059 365534 COM
Hershey Creamery Co. 90 362520 COM
Rush Enterprises Class A 6700 361398 COM
iShares S&P Small Cap 600 Inde 3000 360540 COM
Energy Select SPDR 7728 345519 COM
Pan American Silver Corporatio 6450 334174 COM
Vanguard Total Intl Stock Inde 4412 332841 FOREIGN
Vanguard Russell 1000 Growth 2725 331769 COM
General Mills Inc. 7051 327871 COM
Allstate Corp. 1574 327628 COM
Post Holdings Inc 3307 327558 COM
Tencent Holdings Ltd - Unsp AD 4270 326868 COM
GSK Plc ADR 6653 326263 COM
Seabridge Gold Inc 11000 325490 COM
Torex Gold Resources Inc 6800 324739 COM
iShares Short Term Muni Bond E 3000 320100 BOND ETF
Elevance Health Inc 911 319351 COM
Centerpoint Energy Inc 8311 318644 COM
Salesforce.com, Inc. 1165 308620 COM
Limoneira Co. Santa Paula 24347 307381 COM
News Corp - Class A 11710 305865 COM
Fresenius Medical Care 12839 305825 FOREIGN
Agnico Eagle Mines 1800 305154 COM
XPLR Infrastructure LP 30000 300000 COM
Vanguard Extended Market Index 1426 298205 COM
Pulte Homes, Inc. 2527 296316 COM
iShares Russell 2000 Index Fun 1192 293423 COM
Public Service Enterprise Grp 3625 291087 COM
Fidelity National Financial, I 5295 289054 COM
iShares Lehman Aggregate Bond 2892 288853 BOND ETF
Church & Dwight Co. 3408 285761 COM
Marathon Petroleum Corp 1752 284928 COM
Trane Technologies PLC 732 284894 COM
National Grid PLC - Spons ADR 3682 284828 COM
First Trust SSI Strategic Conv 6585 283383 BOND ETF
Schlumberger Limited 7238 277794 COM
Levi Strauss & Co 13275 275323 COM
American Electric Power 2369 273169 COM
Embraer SA ADR 4200 270354 FOREIGN
Textron Inc 3100 270227 COM
Marsh & McLennan Cos. 1423 263995 COM
TCW Flexible Income ETF 6590 260964 BOND ETF
Principal Spectrum Pfd Sec Act 13000 247910 BOND ETF
Tower Properties 10 245000 COM
Gilead Sciences 1902 233451 COM
Samsung Electronics Pfd 3750 232168 COM
Analog Devices, Inc. 845 229164 COM
Chicago Atlantic Real Estate 18500 226810 COM
Renew Energy Global PLC 40000 226000 FOREIGN
PNC Bank Corp. 1082 225846 COM
Equifax Inc. 1033 224140 COM
EssilorLuxottica 1414 224006 COM
ASML Holding NV 209 223601 COM
H & R Block Inc. 5000 217900 COM
Pimco 0-5 Year H/Y Corp Bond E 2279 216095 BOND ETF
Applovin Corp 320 215622 COM
Bloom Energy Corp 2460 213749 COM
LPL Financial Holdings Inc 591 211087 COM
Agilent Technologies Inc. 1520 206826 COM
Adobe Systems, Inc. 587 205444 COM
ETF IShares MSCI Global Select 4000 205360 COM
Canadian National Railroad Co. 2063 203928 COM
Capital One Financial Corp 836 202613 COM
Prudential Financial Inc 1777 200588 COM
Invesco California Value Muni 16059 178737 BOND ETF
Organon & Co. 22314 159991 COM
Banco do Brasil S.A. 40000 158600 FOREIGN
Ford Motor Company 10425 136776 COM
Loomis Sayles Fds Bond Fund In 10805 132259 BOND ETF
Pimco GNMA and Govt Securities 13501 128533 BOND ETF
Metropolitan West Total Return 11190 102614 BOND ETF
PCM Fund Inc. 13076 80287 COM
Opentable Inc 12000 69960 COM
Plug Power Inc. 26744 52686 COM
Clean Energy Fuels Corp 12000 25200 COM
Kore Potash PLC 500000 20180 FOREIGN
H.E.R.C. Products Inc 15000 0 COM