HUDSON EDGE INVESTMENT PARTNERS INC. - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on January 27, 2026, for the 2025 Q4 period, HUDSON EDGE INVESTMENT PARTNERS INC. held in its portfolio 87 assets valued at $674,937,520 (i.e. $674.94M).

The most valuable assets in the portfolio included: Taiwan Semiconductor Manufacturing ($71.57M), RYANAIR HOLDINGS PLC-SP ADR ($68.55M), and HDFC Bank Ltd. ($54.63M).

The chart below shows the top 10 valuable assets, and the table below shows the top 87 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in HUDSON EDGE INVESTMENT PARTNERS INC. Portfolio
Taiwan Semiconductor Manufacturing
RYANAIR HOLDINGS PLC-SP ADR
HDFC Bank Ltd.
Infosys Ltd
Icon Plc
Warner Bros. Discovery Inc
Citigroup Inc
JPMorgan Chase & Co.
Bristol-Myers Squibb Co.
Johnson & Johnson
HUDSON EDGE INVESTMENT PARTNERS INC. - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
Taiwan Semiconductor Manufacturing 235503 71567007 SPONSORED ADS
RYANAIR HOLDINGS PLC-SP ADR 949550 68548015 SPONSORED ADS
HDFC Bank Ltd. 1495000 54627300 SPONSORED ADS
Infosys Ltd 2845690 50710196 SPONSORED ADR
Icon Plc 260449 47459017 SHS
Warner Bros. Discovery Inc 382368 11019846 COM SER A
Citigroup Inc 87329 10190421 COM NEW
JPMorgan Chase & Co. 28430 9160715 COM
Bristol-Myers Squibb Co. 168767 9103292 COM
Johnson & Johnson 43706 9044957 SHS
Dover Corp. 42966 8388682 COM
Becton Dickinson And Co. 42792 8304643 COM
ACCENTURE PLC-CL A 30790 8260957 SHS CLASS A
Lockheed Martin Corp. 16809 8130009 COM
Metlife Inc 101903 8044223 COM
UDR Inc 218910 8029619 COM
Huntington Bancshares Inc. 462017 8015995 COM
M & T Bank Corp 39752 8009233 COM
State Street Corp. 61724 7963013 COM
Snap-on Inc. 23028 7935449 COM
Capital One Financial Corp. 32245 7814898 COM
Nucor Corp. 47397 7730925 COM
Oneok Inc. 104460 7677810 COM
Dollar General Corp. 57603 7647950 COM
Conoco Phillips 81612 7639699 COM
HCA Healthcare Inc 16237 7580406 COM
Hubbell Inc. 17064 7578293 COM
Simon Property Group Inc. 40756 7544343 COM
CVS Health Corp 94175 7473728 COM
Cencora, Inc 22103 7465288 COM
Duke Energy Corp. 63317 7421386 COM NEW
Aflac Inc. 66164 7295904 COM
American Electric Power Company Inc. 63149 7281711 COM
Medtronic Plc 75355 7238601 SHS
Applied Materials Inc. 27878 7164367 COM
Home Depot Inc. 20792 7154527 COM
J.M. Smucker Co. 72437 7085063 COM NEW
Cisco Systems Inc. 90900 7002027 COM
EOG Resources Inc. 66470 6980015 COM
Abbvie Inc 30531 6976028 COM
United Rentals Inc. 8523 6897834 COM
Omnicom Group Inc. 85363 6893062 COM
Comcast Corp 229400 6856766 CL A
Fiserv Inc. 100415 6744876 COM
International Business Machines Corp. 22499 6664429 COM
Constellation Brands Inc 48062 6630634 CL A
Genuine Parts Co. 53434 6570245 COM
Kraft Heinz Co 259473 6292220 COM
Hershey Company 34271 6236637 COM
Realty Income Corp. 97124 5474880 COM
Marathon Petroleum Corp 31364 5100727 COM
Amcor Plc 604625 5042573 ORD
Prosperity Bancshares Inc. 22696 1568521 COM
Home Bancshares Inc 53818 1495064 COM
Cactus Inc 27354 1249531 CL A
Brady Corp. 14612 1145142 Cl A
Old Second Bancorporation Inc. 58241 1135700 COM
Independent Bank Corporation (Ionia MI) 34655 1127327 COM
Progress Software Corp. 25626 1100893 COM
Federal Agricultural Mortgage Corp. 6000 1053420 CLASS A
SLM CORP 38591 1044272 COM
MKS Instruments Inc. 6310 1008338 COM
Regal Rexnord Corp 7182 1007778 COM
Exlservice Hldgs Inc 23511 997807 COM
Evercore Inc 2757 938069 CLASS A
Caci International Inc. 1673 891391 CL A
Taylor Morrison Home Corp 14813 872041 COM
Brunswick Corp. 11732 870984 COM
Gibraltar Industries Inc. 17580 869155 COM
Enersys 5786 849096 COM
NMI Holdings Inc 20709 844720 CL A
Belden Inc 6937 808507 COM
Valvoline Inc 27672 804148 COM
Alamo Group Inc. 4556 764816 COM
Ollies Bargain Outlet Holdings Inc 6619 725509 COM
LXP Industrial Trust 14618 724760 COM
STAG Industrial Inc 18686 686897 COM
Wesco International Inc. 2734 668846 COM
Knight-Swift Transportation Holdings Inc 12775 667877 CL A
AdaptHealth Corp 61636 613895 COM
PROG Holdings Inc 19518 575586 COM NPV
National Storage Affiliates Trust 19878 560758 COM SHS BEN IN
Chart Industries Inc 1865 384619 COM
McGrath Rentcorp 3422 359070 COM
Curtiss-Wright Corp. 630 347300 COM
Innospec Inc 4316 330347 COM
Avista Corp. 4538 174895 COM