Madison Asset Management, LLC - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 4, 2026, for the 2025 Q4 period, Madison Asset Management, LLC held in its portfolio 338 assets valued at $8,696,711,665 (i.e. $8.70B).

The most valuable assets in the portfolio included: Arch Capital Group Ltd ($415.57M), Ross Stores Inc ($271.54M), and PACCAR Inc ($249.95M).

The chart below shows the top 10 valuable assets, and the table below shows the top 338 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in Madison Asset Management, LLC Portfolio
Arch Capital Group Ltd
Ross Stores Inc
PACCAR Inc
Alphabet Inc
Amphenol Corp
Gartner Inc
Amazon.com Inc
Copart Inc
Brown & Brown Inc
CDW Corp/DE
Madison Asset Management, LLC - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
Arch Capital Group Ltd 4332431 415566746 COM
Ross Stores Inc 1507387 271540765 COM
PACCAR Inc 2282440 249949983 COM
Alphabet Inc 784496 246163113 COM
Amphenol Corp 1340841 181201300 COM
Gartner Inc 675398 170389307 COM
Amazon.com Inc 702961 162257472 COM
Copart Inc 4072359 159432860 COM
Brown & Brown Inc 1987110 158372632 COM
CDW Corp/DE 1154334 157220264 COM
Medpace Holdings Inc 277757 156002444 COM
Carlisle Cos Inc 475632 152135729 COM
MKS Inc 921450 147247760 COM
Labcorp Holdings Inc 525878 131932153 COM
Liberty Media Corp-Liberty For 1347649 128603997 COM
Danaher Corp 545044 124771540 COM
Visa Inc 355548 124694243 COM
WR Berkley Corp 1724598 120928782 COM
Texas Instruments Inc 677878 117605014 COM
Waters Corp 293164 111352638 COM
Teledyne Technologies Inc 210832 107678355 COM
Thor Industries Inc 1043703 107157029 COM
Keysight Technologies Inc 519312 105518906 COM
Invesco S&P 500 Quality ETF 1362392 102247526 ETF
Analog Devices Inc 367468 99657210 COM
Microsoft Corp 196935 95241768 COM
Brookfield Asset Management Lt 1801474 94379240 COM
Arista Networks Inc 712155 93313692 COM
MSA Safety Inc 568244 90998633 COM
Lowe's Cos Inc 375532 90563313 COM
Ferguson Enterprises Inc 397291 88448936 COM
Lithia Motors Inc 266043 88414100 COM
Parker-Hannifin Corp 98952 86974494 COM
Floor & Decor Holdings Inc 1411076 85920407 COM
Moelis & Co 1218178 83737560 COM
Progressive Corp 367175 83613152 COM
Agilent Technologies Inc 609418 82923569 COM
A O Smith Corp 1209405 80884989 COM
Asbury Automotive Group Inc 346280 80520565 COM
Expeditors International of Wa 525834 78354593 COM
Charles Schwab Corp/The 761350 76066496 COM
Honeywell International Inc 386074 75319227 COM
Janus Henderson Mortgage-Backe 1532028 69998344 ETF
Bio-Techne Corp 1181308 69472749 COM
TJX Cos Inc 449390 69030872 COM
Brookfield Corp 1498571 68769405 COM
ServiceTitan Inc 638075 67955003 COM
Accenture PLC 244254 65533386 COM
Eli Lilly & Co 60914 65463058 COM
Madison Short-Term Strategic I 2820994 57844482 ETF
Liberty Broadband Corp 1181920 57441324 COM
Distillate US Fundamental Stab 943332 55562262 ETF
NextEra Energy Inc 686878 55142566 COM
Marsh & McLennan Cos Inc 290337 53863334 COM
Kinsale Capital Group Inc 137362 53725111 COM
Madison Aggregate Bond ETF 2606897 53454423 ETF
Madison Dividend Value ETF 2328892 53357951 ETF
Apple Inc 195520 53153935 COM
SPDR S&P MidCap 400 ETF Trust 83341 50278248 ETF
Airbnb Inc 362323 49174537 COM
Deere & Co 98137 45689870 COM
Cullen/Frost Bankers Inc 356874 45190908 COM
JPMorgan Chase & Co 137868 44423827 COM
Vanguard Information Technolog 58121 43810598 ETF
SPDR S&P 500 ETF Trust 64038 43668793 ETF
Glacier Bancorp Inc 987362 43493295 COM
Graco Inc 473849 38841408 COM
iShares MSCI Emerging Markets 392640 36915966 ETF
Vanguard FTSE All-World ex-US 497130 36568914 ETF
Blackrock Inc 33693 36062966 COM
Madison Covered Call ETF 1885000 34742812 ETF
QUALCOMM Inc 202944 34713571 COM
TE Connectivity PLC 152050 34592896 COM
Johnson & Johnson 157184 32529229 COM
Home Depot Inc 94398 32482352 COM
MSCI Inc 55494 31838578 COM
Starbucks Corp 367263 30927195 COM
CME Group Inc 110567 30193636 COM
iShares Core S&P Small-Cap ETF 249350 29966883 ETF
Schwab Intermediate-Term U.S. 1132088 28392767 ETF
Exxon Mobil Corp 222970 26832210 COM
State Street SPDR Portfolio Hi 1130255 26753136 ETF
Oracle Corp 133071 25936869 COM
Alcon Inc 320900 25290166 COM
PepsiCo Inc 173291 24870724 COM
iShares Core U.S. Aggregate Bo 247990 24769234 ETF
State Street SPDR S&P Bank ETF 406063 24643963 ETF
Chevron Corp 159868 24365482 COM
Costco Wholesale Corp 27581 23783894 COM
JPMorgan International Researc 310496 23249940 ETF
Vanguard FTSE Europe ETF 266160 22253638 ETF
Illinois Tool Works Inc 86961 21418494 COM
Workday Inc 93120 20000243 COM
Linde PLC 46772 19943113 COM
iShares Core S&P Mid-Cap ETF 297331 19623846 ETF
Medtronic PLC 195216 18752449 COM
Automatic Data Processing Inc 70666 18177415 COM
Morgan Stanley 101108 17949703 COM
VictoryShares Free Cash Flow E 437966 17247101 ETF
ASML Holding NV - Spons NY Reg 15672 16766846 COM
Ecolab Inc 63218 16595989 COM
iShares 7-10 Year Treasury Bon 164014 15771586 ETF
AES Corp/VA 1094000 15687960 COM
Vanguard Large-Cap ETF 49754 15662637 ETF
Hershey Co/The 85914 15634630 COM
Berkshire Hathaway Inc 30808 15485772 COM
iShares MSCI Eurozone ETF 237385 15216379 ETF
AbbVie Inc 65421 14948044 COM
Union Pacific Corp 64069 14820441 COM
Fastenal Co 363279 14578386 COM
Bank of America Corp 254087 13974785 COM
iShares 5-10 Year Investment G 245961 13252353 ETF
VanEck J. P. Morgan EM Local C 511961 13218833 ETF
NIKE Inc 207225 13202319 COM
State Street SPDR Portfolio In 454171 13098290 ETF
McDonald's Corp 41366 12642691 COM
Transocean Ltd 3030000 12513900 COM
salesforce.com Inc 46599 12344541 COM
Abbott Laboratories 97681 12238452 COM
Adobe Inc 34887 12210101 COM
Procter & Gamble Co 82997 11894300 COM
UnitedHealth Group Inc 35623 11759509 COM
Schneider Electric SE - Unspon 212988 11700389 COM
ConocoPhillips 117200 10971092 COM
U.S. Bancorp 198996 10618424 COM
Microchip Technology Inc 163303 10405654 COM
CVS Health Corp 126650 10050944 COM
Schwab US Dividend Equity ETF 365292 10019960 ETF
TCW Flexible Income ETF 249639 9885704 ETF
Archer-Daniels-Midland Co 170500 9802045 COM
State Street SPDR Portfolio S& 132722 9500336 ETF
Global X MLP ETF 196210 9498526 ETF
Franklin FTSE Japan ETF 273154 9410148 ETF
Matador Resources Co 221000 9379240 COM
EOG Resources Inc 88985 9344315 COM
iShares Aaa - A Rated Corporat 188104 9045921 ETF
State Street SPDR Portfolio Sh 306015 8960119 ETF
Vanguard Short-Term Corporate 111584 8896619 ETF
T-Mobile US Inc 43300 8791632 COM
PayPal Holdings Inc 150300 8774514 COM
Vanguard Financials ETF 65237 8708460 ETF
Rockwell Automation Inc 21477 8356056 COM
APA Corp 338700 8284602 COM
Constellation Brands Inc 58900 8125844 COM
Encompass Health Corp 73127 7761700 COM
Vertex Pharmaceuticals Inc 16435 7450972 COM
Freeport-McMoRan Inc 140719 7147118 COM
Equifax Inc 32760 7108265 COM
GMO US Quality ETF 183547 7059218 ETF
Cummins Inc 13781 7034511 COM
Air Products & Chemicals Inc 28227 6972634 COM
Scotts Miracle-Gro Co/The 112598 6570093 COM
Hayward Holdings Inc 423937 6549827 COM
RLI Corp 94929 6073557 COM
Core & Main Inc 116796 6069888 COM
Pfizer Inc 242132 6029087 COM
Elevance Health Inc 16054 5627730 COM
HealthEquity Inc 60938 5582530 COM
Colgate-Palmolive Co 70437 5565932 COM
Texas Capital Bancshares Inc 60996 5522578 COM
Vanguard Growth ETF 10964 5348897 ETF
Fiserv Inc 79500 5340015 COM
FormFactor Inc 95562 5330448 COM
Entegris Inc 62756 5287193 COM
Option Care Health Inc 163684 5214972 COM
Las Vegas Sands Corp 78000 5077020 COM
American Tower Corp 28568 5015684 COM
iShares Core S&P 500 ETF 7178 4916499 ETF
Weyerhaeuser Co 207000 4903830 COM
Box Inc 162911 4872668 COM
Caterpillar Inc 8366 4792630 COM
Shake Shack Inc 58404 4740653 COM
Knowles Corp 219777 4709821 COM
Taiwan Semiconductor Manufactu 15293 4647390 COM
Regeneron Pharmaceuticals Inc 5969 4607292 COM
Axis Capital Holdings Ltd 42881 4592126 COM
Workiva Inc 53138 4583153 COM
Vanguard S&P 500 ETF 7163 4492132 ETF
iShares 3-7 Year Treasury Bond 37151 4433972 ETF
VF Corp 236287 4272069 COM
NVIDIA Corp 22639 4222174 COM
Crane Co 22296 4112051 COM
Alibaba Group Holding Ltd - Sp 27444 4022742 COM
Revolve Group Inc 129686 3915220 COM
iShares MSCI International Qua 85068 3866341 ETF
Ping An Insurance Group Co of 222664 3736302 COM
DELISTED: AstraZeneca PLC - Sp 40584 3730887 COM
Power Integrations Inc 103843 3690580 COM
Cameco Corp 39851 3645968 COM
Comcast Corp 120521 3602373 COM
Leonardo DRS Inc 105538 3597790 COM
AIA Group Ltd - Spons ADR 86499 3549054 COM
Advanced Drainage Systems Inc 23292 3373380 COM
Airbus SE - Unspons ADR 57958 3356927 COM
HDFC Bank Ltd - Spons ADR 91380 3339025 COM
Prologis Inc 25655 3275117 COM
Hanover Insurance Group Inc/Th 17915 3274325 COM
OneSpaWorld Holdings Ltd 156572 3247303 COM
Broadcom Inc 9361 3239842 COM
WW Grainger Inc 3182 3210797 COM
Amgen Inc 9797 3206656 COM
CTS Corp 72807 3121236 COM
Charles River Laboratories Int 15622 3116277 COM
Viavi Solutions Inc 169009 3011740 COM
CommVault Systems Inc 23947 3001996 COM
Prudential PLC - Spons ADR 94884 2952790 COM
Simply Good Foods Co/The 144519 2901942 COM
KION Group AG - Unspons ADR 136605 2707511 COM
Wal-Mart de Mexico SAB de CV - 84515 2634333 COM
Brandes International ETF 64950 2607093 ETF
Itau Unibanco Holding SA - Spo 361149 2585827 COM
Ollie's Bargain Outlet Holding 23222 2545363 COM
Merck & Co Inc 23918 2517609 COM
Baldwin Insurance Group Inc/Th 104282 2505896 COM
Vanguard Dividend Appreciation 11330 2490107 ETF
iShares Russell Mid-Cap ETF 25602 2464680 ETF
Meta Platforms Inc 3730 2462136 COM
Tencent Holdings Ltd - Unspons 31859 2438806 COM
Hexcel Corp 32944 2434562 COM
Mueller Water Products Inc 101929 2427949 COM
Mitsubishi UFJ Financial Group 149570 2372180 COM
Primo Brands Corp 144435 2361512 COM
Chord Energy Corp 24950 2312865 COM
Edgewell Personal Care Co 135035 2302347 COM
Deutsche Telekom AG - Spons AD 69870 2284749 COM
Gitlab Inc 60354 2265086 COM
Southern Copper Corp 15755 2260370 COM
Kerry Group PLC - Spons ADR 24750 2254725 COM
Daiichi Sankyo Co Ltd - Spons 105074 2231772 COM
NU Holdings Ltd 133218 2230069 COM
Lasertec Corp - Unspons ADR 58717 2229484 COM
adidas AG - Spons ADR 22543 2228376 COM
Siemens AG - Spons ADR 15813 2213029 COM
Eagle Materials Inc 10544 2179234 COM
SPDR S&P Dividend ETF 15638 2176184 ETF
Distillate Small/Mid Cash Flow 60500 2145935 ETF
Crane NXT Co 45289 2131753 COM
Invesco BuyBack Achievers ETF 15839 2127499 ETF
Infosys Ltd - Spons ADR 117830 2099731 COM
Pan Pacific International Hold 176268 2081725 COM
Genmab A/S - Spons ADR 66491 2047923 COM
Olin Corp 97616 2033341 COM
Sezzle Inc 31165 1978198 COM
Toray Industries Inc - Unspons 152471 1977549 COM
Energy Select Sector SPDR Fund 44160 1974394 ETF
Sony Group Corp - Spons ADR 74432 1905459 COM
Norsk Hydro ASA - Spons ADR 237919 1848631 COM
Murata Manufacturing Co Ltd - 177556 1828827 COM
Vericel Corp 50518 1819153 COM
Canadian Pacific Kansas City L 24579 1809752 COM
S&P Global Inc 3379 1765832 COM
WillScot Holdings Corp 92834 1748064 COM
Sony Financial Group Inc - Uns 333536 1744393 COM
Standard Chartered PLC - Unspo 34846 1723483 COM
Coca-Cola Co 24388 1704965 COM
Carlsberg AS - Spons ADR 64748 1690570 COM
SAP SE - Spons ADR 6810 1654217 COM
Schwab Fundamental U.S. Large 60771 1653579 ETF
AAON Inc 21363 1628929 COM
Fomento Economico Mexicano SAB 15822 1599130 COM
NXP Semiconductors NV 7334 1591918 COM
Duluth Holdings Inc 762777 1586576 COM
Nice Ltd - Spons ADR 13988 1581204 COM
Yum China Holdings Inc 32276 1540856 COM
Invesco S&P SmallCap Quality E 36338 1529637 ETF
Sika AG - Unspons ADR 73238 1496252 COM
Ferrari NV 3867 1429089 COM
Iron Mountain Inc 17052 1414463 COM
Lonza Group AG - Unspons ADR 20934 1406555 COM
iShares Russell 2000 ETF 5686 1399666 ETF
State Street Corp 10684 1378343 COM
PRADA SpA - Unspons ADR 119045 1369018 COM
SLB Ltd 34649 1329829 COM
Mirion Technologies Inc 56644 1326602 COM
Globus Medical Inc 15151 1322834 COM
Tokyo Electron Ltd - Unspons A 11885 1320424 COM
Agnico Eagle Mines Ltd 7603 1288937 COM
Wise PLC - Spons ADR 103503 1268947 COM
Symrise AG - Unspons ADR 62100 1249452 COM
Shin-Etsu Chemical Co Ltd - Un 79785 1236668 COM
Allstate Corp 5909 1229958 COM
iShares Russell 1000 Growth ET 2440 1154852 ETF
Air Liquide SA - Unspons ADR 30512 1146031 COM
Hermes International SCA - Uns 4547 1127656 COM
Shell PLC - Spons ADR 14929 1096983 COM
Wells Fargo & Co 11621 1083077 COM
Lumen Technologies Inc 124000 963480 COM
Vanguard Mid-Cap ETF 3118 904979 ETF
Amplitude Inc 78000 903240 COM
Garmin Ltd 4384 889294 COM
General Dynamics Corp 2630 885416 COM
Invesco S&P 500 Equal Weight E 4477 857614 ETF
iShares Core MSCI EAFE ETF 9246 827147 ETF
Mastercard Inc 1447 826063 COM
iShares Russell 1000 ETF 2205 823278 ETF
Intuit Inc 1200 794904 COM
Vanguard Small-Cap ETF 2945 759663 ETF
Waste Management Inc 3275 719550 COM
Capital One Financial Corp 2897 702117 COM
abrdn Bloomberg All Commodity 21646 670160 ETF
iShares MSCI ACWI ex US ETF 9887 663714 ETF
Prudential Financial Inc 5686 641836 COM
ATI Inc 5500 631180 COM
Cisco Systems Inc 8097 623712 COM
Travelers Cos Inc 2126 616668 COM
Schwab International Equity ET 25380 610135 ETF
Markel Corp 279 599752 COM
JPMorgan BetaBuilders Japan ET 8411 554369 ETF
iShares Core MSCI Emerging Mar 7898 530904 ETF
Verizon Communications Inc 12826 522403 COM
iShares Core S&P U.S. Growth E 2967 498278 ETF
Gilead Sciences Inc 4000 490960 COM
iShares MSCI USA Quality Facto 2309 458614 ETF
iShares Russell Mid-Cap Growth 3078 421501 ETF
Alliant Energy Corp 6431 418104 COM
Global X Artificial Intelligen 8173 415679 ETF
Aflac Inc 3326 366758 COM
Nestle SA - Spons ADR 3640 359559 COM
Walmart Inc 3176 353838 COM
iShares MBS ETF 3519 335079 ETF
iShares Russell 2000 Growth ET 1032 333346 ETF
iShares Treasury Floating Rate 6579 331976 ETF
Vanguard FTSE Emerging Markets 5851 314550 ETF
Target Corp 3117 304687 COM
Goldman Sachs JUST US Large Ca 2916 281964 ETF
Nucor Corp 1723 281039 COM
iShares Bitcoin Trust ETF 5375 266869 ETF
Blackstone Group Inc/The 1721 265275 COM
Jacobs Solutions Inc 1885 249658 COM
MGE Energy Inc 3138 246078 COM
Invesco QQQ Trust Series 1 400 245724 ETF
CSX Corp 6188 224315 COM
Philip Morris International In 1393 223437 COM
Bank of Montreal 1702 220903 COM
Raytheon Technologies Corp 1139 208893 COM
Armstrong World Industries Inc 1091 208570 COM
American Express Co 556 205692 COM
Bristol-Myers Squibb Co 3712 200225 COM