M. Kraus & Co - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on January 21, 2026, for the 2025 Q4 period, M. Kraus & Co held in its portfolio 84 assets valued at $358,147,278 (i.e. $358.15M).

The most valuable assets in the portfolio included: Microsoft Corp. ($36.25M), Alphabet Inc. Class C ($31.90M), and Berkshire Hathaway - B ($22.01M).

The chart below shows the top 10 valuable assets, and the table below shows the top 84 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in M. Kraus & Co Portfolio
Microsoft Corp.
Alphabet Inc. Class C
Berkshire Hathaway - B
Thermo Fisher Scientific
RTX Corporation
L3 Harris Technologies
Rockwell Automation
Norfolk Southern
Cisco Systems Inc.
NextEra Energy, Inc.
M. Kraus & Co - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
Microsoft Corp. 74952 36248077 COM
Alphabet Inc. Class C 101651 31898084 COM
Berkshire Hathaway - B 43791 22011546 COM
Thermo Fisher Scientific 29680 17198091 COM
RTX Corporation 78188 14339618 COM
L3 Harris Technologies 47593 13971926 COM
Rockwell Automation 32152 12509436 COM
Norfolk Southern 42339 12224164 COM
Cisco Systems Inc. 153139 11796301 COM
NextEra Energy, Inc. 133445 10712965 COM
Johnson & Johnson 49457 10235082 COM
Ecolab Inc. 36931 9695213 COM
Abbott Laboratories 75760 9492010 COM
Illinois Tool Works 38075 9377872 COM
AbbVie Inc. 39248 8967709 COM
Church & Dwight Co. 100150 8397599 COM
Procter & Gamble 57001 8168795 COM
Broadcom Inc 23577 8160000 COM
PepsiCo Inc. 52850 7585077 COM
Carrier Global Corp 141263 7464352 COM
Apple Inc. 26704 7259625 COM
Enbridge Inc. 142848 6832420 COM
Linde Plc 15432 6580050 COM
Mondelez International 113584 6114208 COM
MicrochipTechnology 89460 5700400 COM
Republic Services, Inc. 16090 3409954 COM
Accenture PLC 12574 3373604 COM
J.P. Morgan Chase 8752 2820069 COM
Verizon Communications 64630 2632380 COM
Becton, Dickinson 12468 2419696 COM
IBM 7948 2354277 COM
Disney, Walt 20461 2327848 COM
Amazon.com, Inc. 9413 2172709 COM
Otis Worldwide Corp 24316 2124003 COM
Adobe Systems Inc. 6061 2121289 COM
Alphabet Inc. Class A 6361 1990976 COM
Fiserv, Inc. 27326 1835487 COM
ConocoPhillips 19536 1828765 COM
Chevron Corp 9689 1476700 COM
NVIDIA Corp. 6515 1215047 COM
Eaton Corporation 3719 1184539 COM
SPDR Gold Trust 2865 1135428 ETF
Merck & Co Inc. 10408 1095546 COM
Lilly, Eli 926 995154 COM
MasterCard Inc. 1531 874017 COM
Home Depot 2459 846142 COM
Midcap SPDR Trust Series 1 1375 829510 ETF
Amgen 2436 797318 COM
iShares Russell 2000 ETF 2925 720018 ETF
Costco Companies, Inc. 820 707119 COM
McDonald's Corp. 2222 679110 COM
Walmart Inc 5929 660550 COM
FlexShares Quality Dividend In 8000 646480 ETF
Visa, Inc. 1668 584928 COM
Exxon Mobil 4789 576308 COM
Vanguard Total Stock Mkt ETF 1455 487818 ETF
Coca-Cola 6888 481541 COM
Pfizer, Inc. 17839 444191 COM
TJX Companies 2866 440246 COM
Union Pacific Corp. 1744 403422 COM
Oracle Corporation 1959 381829 COM
iShares S&P 500 Growth ETF 3000 369780 ETF
Dover Corp. 1750 341670 COM
Honeywell International 1739 339310 COM
Yum! Brands, Inc. 2242 339170 COM
Paychex, Inc. 2824 316761 COM
3M Company 1965 314596 COM
American Express Co. 836 309278 COM
General Dynamics 906 305014 COM
Philip Morris Int'l 1895 303958 COM
Donaldson Company 3304 292933 COM
SPDR S&P 500 ETF 426 290498 ETF
Vanguard S&P 500 ETF 450 282208 ETF
Duke Energy 2312 271008 COM
Vanguard Growth Index Fund ETF 532 259542 ETF
iShares Gold Trust ETF 3125 253656 ETF
Netflix Inc. 2610 244714 COM
Wells Fargo 2539 236635 COM
Exact Sciences Corp 2160 219370 COM
Meta Platforms Inc Class A 325 214529 COM
Vanguard Info Tech Index ETF 284 214074 ETF
Altria Group Inc. 3600 207576 COM
Bank of America Corp. 3752 206360 COM
GoLogiq Inc - Restricted Share 17000 0 COM